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Financing Agreements (Tables)
12 Months Ended
Sep. 30, 2021
Debt Disclosure [Abstract]  
Schedule of Debt Total debt consists of the following:
(In millions)September 30,
2021
September 30, 2020
Current portion of long-term debt$50.1 $50.1 
Securitization Facility95.6 82.2 
Note Securitization Facility90.0 90.0 
Total Short-term borrowings$235.7 $222.3 
Revolving credit facility, matures August 2024$515.0 $— 
Senior secured Term Loan A, long-term-portion, matures August 2024$846.7 895.4 
Senior unsecured 5.00% notes due on February 15, 2025$ 297.5 
Senior unsecured 4.375% notes due on September 17, 2027$420.3 419.5 
Unsecured 7.00% debentures due on February 15, 2024$13.4 13.4 
Unsecured 6.75% debentures due on December 15, 2027$29.7 29.7 
Other$0.1 0.2 
Total Long-term debt$1,825.2 $1,655.7 
Total debt$2,060.9 $1,878.0 
Schedule of Maturities of Long-term Debt The following table summarizes the maturities of the 2024 TLA Facility for the fiscal years ending September 30, 2022 through 2024:
(In millions)Amount
2022$50.0 
202375.0 
2024775.0 
Schedule of Long-term Debt Instruments
The estimated fair values of our long-term debt instruments are described in the table below:
(In millions)September 30,
2021
September 30, 2020
Senior unsecured 5.00% notes due on February 15, 2025$ $310.1 
Senior unsecured 4.375% notes due on September 15, 2027445.4 441.2 
Unsecured debentures48.6 48.0 
Total$494.0 $799.3