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DEBT AND BANK CREDIT FACILITIES (Tables)
6 Months Ended
Jun. 27, 2020
Debt Disclosure [Abstract]  
Schedule Of Indebtedness

The following table presents the Company’s indebtedness as of June 27, 2020 and December 28, 2019 (in millions):
 
June 27, 2020
 
December 28, 2019
Term Facility
$
720.0

 
$
720.0

Senior Notes
400.0

 
400.0

Multicurrency Revolving Facility
5.3

 
17.7

Other
4.5

 
4.5

Less: Debt Issuance Costs
(4.1
)
 
(4.7
)
Total
1,125.7

 
1,137.5

Less: Current Maturities
0.6

 
0.6

Long-Term Debt
$
1,125.1

 
$
1,136.9


Details On The Senior Notes
The following table presents details on the Notes at June 27, 2020 (in millions):
 
 
Principal
 
Interest Rate
 
Maturity
Fixed Rate Series 2011A
 
$
230.0

 
4.8 to 5.0%
 
July 14, 2021
Fixed Rate Series 2011A
 
170.0

 
4.9 to 5.1%
 
July 14, 2023
 
 
$
400.0