Debt and Financing - Schedule of Outstanding Debt (Details) - USD ($) $ in Millions | Jun. 30, 2022 | Dec. 31, 2021 |
Debt Instrument [Line Items] | | | |
Par Value | | $ 1,603.1 | |
Discount | | (11.8) | |
Commitment Fee | | (24.7) | |
Debt Issuance Costs | | (11.9) | |
Book Value | | 1,554.7 | |
Book Value, Current Maturities | | (71.1) | $ (72.3) |
Par Value, Excluding Current Maturities | | 1,532 | |
Premium (Discount), Excluding Current Maturities | | (11.8) | |
Commitment Fee, Excluding Current Maturities | | (24.7) | |
Debt Issuance Costs, Noncurrent | | (11.9) | |
Book Value, Excluding Current Maturities | | 1,483.6 | $ 1,482.2 |
Term Loan | | | |
Debt Instrument [Line Items] | | | |
Par Value | [1] | 602.9 | |
Discount | [1] | (11.8) | |
Commitment Fee | [1] | 0 | |
Debt Issuance Costs | [1] | (5.3) | |
Book Value | [1] | $ 585.8 | |
Effective Interest Rate | [1] | 9.50% | |
ABL Facility | 2014 ABL Facility Credit Agreement | | | |
Debt Instrument [Line Items] | | | |
Par Value | | $ 0 | |
Discount | | 0 | |
Commitment Fee | | 0 | |
Debt Issuance Costs | | 0 | |
Book Value | | 0 | |
Tranche A | UST Loan | | | |
Debt Instrument [Line Items] | | | |
Par Value | [1] | 317.7 | |
Discount | [1] | 0 | |
Commitment Fee | [1] | (10.6) | |
Debt Issuance Costs | [1] | (2.8) | |
Book Value | [1] | $ 304.3 | |
Effective Interest Rate | [1] | 6.40% | |
Tranche B | UST Loan | | | |
Debt Instrument [Line Items] | | | |
Par Value | | $ 400 | |
Discount | | 0 | |
Commitment Fee | | (14.1) | |
Debt Issuance Costs | | (3.7) | |
Book Value | | $ 382.2 | |
Effective Interest Rate | | 6.50% | |
Secured Second A&R CDA | | | |
Debt Instrument [Line Items] | | | |
Par Value | | $ 23.5 | |
Discount | | 0 | |
Commitment Fee | | 0 | |
Debt Issuance Costs | | 0 | |
Book Value | | $ 23.5 | |
Effective Interest Rate | | 7.90% | |
Unsecured Second A&R CDA | | | |
Debt Instrument [Line Items] | | | |
Par Value | | $ 42.5 | |
Discount | | 0 | |
Commitment Fee | | 0 | |
Debt Issuance Costs | | 0 | |
Book Value | | $ 42.5 | |
Effective Interest Rate | | 7.90% | |
Lease financing obligations | | | |
Debt Instrument [Line Items] | | | |
Par Value | | $ 216.5 | |
Discount | | 0 | |
Commitment Fee | | 0 | |
Debt Issuance Costs | | (0.1) | |
Book Value | | $ 216.4 | |
Effective Interest Rate | | 17.60% | |
Par Value, Current Maturities | | $ (5.1) | |
Discount, Current Maturities | | 0 | |
Commitment Fee, Current Maturities | | 0 | |
Deferred Issuance Costs, Current | | 0 | |
Book Value, Current Maturities | | (5.1) | |
Secured and Unsecured Second A&R CDA [Member] | | | |
Debt Instrument [Line Items] | | | |
Par Value, Current Maturities | | 66 | |
Discount, Current Maturities | | 0 | |
Commitment Fee, Current Maturities | | 0 | |
Deferred Issuance Costs, Current | | 0 | |
Book Value, Current Maturities | | $ (66) | |
| |
[1] The Par Value and the Book Value both reflect the accumulated cash funds that have been drawn, plus the accumulated paid-in-kind interest. | |