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Debt (Tables)
9 Months Ended
Oct. 02, 2021
Debt Disclosure [Abstract]  
Summary of Long-Term Debt
A summary of long-term debt, net of unamortized debt issuance costs and unamortized original issue premium (discount), and the related weighted average interest rates is shown below (in millions):
October 2, 2021
Debt InstrumentLong-Term DebtUnamortized Debt Issuance CostsUnamortized Original Issue Premium (Discount)Long-Term
Debt, Net
Weighted
Average
Interest
Rate
Credit Agreement — Term Loan Facility$206.3 $(0.4)$— $205.9 1.330%
3.8% Senior Notes due 2027 (the "2027 Notes")
750.0 (3.6)(3.1)743.3 3.885%
4.25% Senior Notes due 2029 (the "2029 Notes")
375.0 (2.4)(0.9)371.7 4.288%
3.5% Senior Notes due 2030 (the "2030 Notes")
350.0 (2.4)(0.7)346.9 3.525%
5.25% Senior Notes due 2049 (the "2049 Notes")
625.0 (6.1)13.8 632.7 5.103%
Other1.3 — — 1.3 N/A
$2,307.6 $(14.9)$9.1 $2,301.8 
Less — Current portion(206.0)
Long-term debt$2,095.8 
December 31, 2020
Debt InstrumentLong-Term DebtUnamortized Debt Issuance CostsUnamortized Original Issue Premium (Discount)Long-Term
Debt, Net
Weighted
Average
Interest
Rate
Credit Agreement — Term Loan Facility$220.3 $(0.6)$— $219.7 1.360%
2027 Notes750.0 (4.1)(3.5)742.4 3.885%
2029 Notes375.0 (2.6)(1.0)371.4 4.288%
2030 Notes350.0 (2.6)(0.7)346.7 3.525%
2049 Notes625.0 (6.3)14.2 632.9 5.103%
Other1.4 — — 1.4 N/A
$2,321.7 $(16.2)$9.0 2,314.5 
Less — Current portion(14.2)
Long-term debt$2,300.3 
Senior Notes
The issuance, maturity and interest payment dates of the Company's senior unsecured 2027 Notes, 2029 Notes, 2030 Notes and 2049 Notes (collectively, the "Notes") are shown below:
NoteIssuance Date(s)Maturity DateInterest Payment Dates
2027 NotesAugust 2017September 15, 2027March 15 and September 15
2029 NotesMay 2019May 15, 2029May 15 and November 15
2030 NotesFebruary 2020May 30, 2030May 30 and November 30
2049 NotesMay 2019 and February 2020May 15, 2049May 15 and November 15
Credit Agreement Interest Rate Ranges The ranges and rates as of October 2, 2021, are shown below (in percentages):
Eurocurrency RateBase Rate
Rate as ofRate as of
MinimumMaximumOctober 2, 2021MinimumMaximumOctober 2, 2021
Revolving Credit Facility1.00 %1.60 %1.10 %0.00 %0.60 %0.10 %
Term Loan Facility1.125 %1.90 %1.25 %0.125 %0.90 %0.25 %