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Debt (Tables)
12 Months Ended
Dec. 31, 2019
Debt Disclosure [Abstract]  
Schedule of Debt
The following table sets forth the Company’s long-term debt at December 31, (in millions):
 
Maturity
2019
2018

Senior notes at 3.625%
2022
$
298.8

$
298.3

Senior notes at 3.35%
2026
395.7

395.1

Senior notes at 3.15%
2027
295.9

295.4

Senior notes at 3.50%
2028
444.0

443.3

Term loan, net of current portion of $34.4 and $25 million, respectively
2023
71.6

305.0

TOTAL LONG-TERM DEBT(a)
       
$
1,506.0

$
1,737.1


(a) Long-term debt is presented net of debt issuance costs and unamortized discounts.
Other information related to short-term debt at December 31, is summarized below:
 
2019
2018
Interest rate on short-term debt:
 

 

At year end
2.59
%
3.21
%