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Debt - Narrative (Details)
$ in Millions
1 Months Ended 12 Months Ended
Jun. 22, 2020
USD ($)
Oct. 31, 2017
USD ($)
Dec. 31, 2022
USD ($)
country
facility
Jun. 30, 2022
USD ($)
quarterly_payment
Long-term Debt Types [Abstract]        
Number of quarterly installment payments at 0.625% | quarterly_payment       8
Senior Secured Credit Facility - Amended III        
Long-term Debt Types [Abstract]        
Commitment Fee     0.23%  
Senior Secured Credit Facility - Amended III | Minimum        
Long-term Debt Types [Abstract]        
Commitment Fee     0.15%  
Senior Secured Credit Facility - Amended III | Maximum        
Long-term Debt Types [Abstract]        
Commitment Fee     0.28%  
Three Committed Letter of Credit Facilities | Letter of Credit        
Long-term Debt Types [Abstract]        
Available capacity amount     $ 12  
Number of term loan facilities | facility     3  
Amount available     $ 70  
Undrawn letters of credit     58  
Fifteen Million Committed Facility | Letter of Credit        
Long-term Debt Types [Abstract]        
Maximum borrowing capacity     15  
Thirty Two Million Committed Facility | Letter of Credit        
Long-term Debt Types [Abstract]        
Maximum borrowing capacity     32  
Twenty-four Million Committed Facility | Letter of Credit        
Long-term Debt Types [Abstract]        
Maximum borrowing capacity     24  
Two Unsecured Letter of Credit Facilities | Letter of Credit        
Long-term Debt Types [Abstract]        
Available capacity amount     $ 29  
Number of term loan facilities | country     2  
Amount available     $ 55  
Undrawn letters of credit     26  
Forty Million Unsecured Letter of Credit Facility | Letter of Credit        
Long-term Debt Types [Abstract]        
Amount available     40  
Fifteen Million Unsecured Letter of Credit Facility | Letter of Credit        
Long-term Debt Types [Abstract]        
Amount available     $ 15  
Senior Secured Credit Facility - Amended III | SOFR        
Long-term Debt Types [Abstract]        
Interest rate margin     1.50%  
Senior Secured Credit Facility - Amended III | SOFR | Minimum        
Long-term Debt Types [Abstract]        
Interest rate margin     1.25%  
Senior Secured Credit Facility - Amended III | SOFR | Maximum        
Long-term Debt Types [Abstract]        
Interest rate margin     1.75%  
Senior Secured Credit Facility - Amended III | Base Rate        
Long-term Debt Types [Abstract]        
Interest rate margin     0.50%  
Senior Secured Credit Facility - Amended III | Base Rate | Minimum        
Long-term Debt Types [Abstract]        
Interest rate margin     0.25%  
Senior Secured Credit Facility - Amended III | Base Rate | Maximum        
Long-term Debt Types [Abstract]        
Interest rate margin     0.75%  
Term Loan A | Senior Secured Credit Facility - Amended III        
Long-term Debt Types [Abstract]        
Debt, aggregate principal amount       $ 1,400
First two years quarterly principal payment, percentage       0.625%
Post two years quarterly principal payment, percentage       1.25%
Revolving Credit Facility | Senior Secured Credit Facility - Amended III        
Long-term Debt Types [Abstract]        
Maximum borrowing capacity       $ 1,000
Available capacity amount     $ 353  
Senior unsecured notes | Four hundred million senior unsecured notes        
Long-term Debt Types [Abstract]        
Debt, aggregate principal amount $ 400      
Debt maturity period 5 years      
Interest Rate Percentage 5.50%      
Senior unsecured notes | Six hundred million senior unsecured notes        
Long-term Debt Types [Abstract]        
Debt, aggregate principal amount   $ 600    
Debt maturity period   10 years    
Interest Rate Percentage   4.625%