Annual report pursuant to Section 13 and 15(d)

Long-Term Debt and Borrowing Arrangements (Narrative) (Details)

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Long-Term Debt and Borrowing Arrangements (Narrative) (Details) - USD ($)
1 Months Ended 12 Months Ended
May 25, 2023
Apr. 08, 2022
May 31, 2024
Aug. 31, 2020
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
May 31, 2018
Debt Instrument [Line Items]                
Debt instrument, interest rate, stated percentage         4.84% 4.77%    
Hedging ineffectiveness recognized         $ 0 $ 0 $ 0  
Reclassification during next twelve months         8,000,000      
Interest expense, debt         129,000,000 108,000,000 85,000,000  
Interest paid         126,000,000 103,000,000 82,000,000  
Interest income, other         5,000,000 6,000,000 5,000,000  
Early extinguishment of debt         3,000,000 3,000,000 2,000,000  
Interest Rate Swap                
Debt Instrument [Line Items]                
Notional amount               $ 1,400,000,000
Effect of interest rate swaps in interest expense         (36,000,000) (36,000,000) $ 2,000,000  
Interest Rate Swap 1                
Debt Instrument [Line Items]                
Notional amount         475,000,000      
Interest Rate Swap 2                
Debt Instrument [Line Items]                
Notional amount         600,000,000      
Interest Rate Swap 3                
Debt Instrument [Line Items]                
Notional amount         350,000,000      
Senior Secured Credit Facility                
Debt Instrument [Line Items]                
Aggregate amount of revolving loans (not to exceed)         650,000,000      
Senior Unsecured Notes due August 2028 [Member]                
Debt Instrument [Line Items]                
Debt instrument, face amount       $ 500,000,000        
Debt instrument, interest rate, stated percentage       4.375%        
Proceeds from issuance of unsecured debt       $ 492,000,000        
Long-term Debt | Term Loan due 2027                
Debt Instrument [Line Items]                
Long-term debt   $ 400,000,000     364,000,000 $ 384,000,000    
Periodic payment, year one, percentage   0.00%            
Periodic payment, year two and three, percentage   5.00%            
Periodic payment, year four and five, percentage   7.50%            
Debt instrument, face amount         400,000,000      
Debt instrument, interest rate, stated percentage           6.82%    
Long-term Debt | Term Loan due 2030                
Debt Instrument [Line Items]                
Long-term debt         1,515,000,000      
Debt instrument, face amount         $ 1,500,000,000      
Debt instrument, interest rate, stated percentage         4.20%      
Long-term Debt | Term Loan Due 2030, Additional Tranche                
Debt Instrument [Line Items]                
Debt instrument, face amount         $ 400,000,000      
Long-term Debt | $400 million term loan A (due April 2027)                
Debt Instrument [Line Items]                
Long-term debt           $ 1,123,000,000    
Debt instrument, face amount         1,500,000,000      
Debt instrument, interest rate, stated percentage           4.10%    
Interest rate cash flow hedge asset at fair value         18,000,000 $ 13,000,000    
Senior Notes | Senior Unsecured Notes due August 2028 [Member]                
Debt Instrument [Line Items]                
Long-term debt         496,000,000 $ 495,000,000    
Debt instrument, face amount         $ 500,000,000      
Debt instrument, interest rate, stated percentage       4.375% 4.375%      
Base Rate | Long-term Debt | Term Loan due 2030                
Debt Instrument [Line Items]                
Basis spread on variable rate (as a percent)     0.75%          
Secured Overnight Financing Rate (SOFR) | Long-term Debt | Term Loan due 2030                
Debt Instrument [Line Items]                
Basis spread on variable rate (as a percent)     1.75%          
Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate | Term Loan due 2027                
Debt Instrument [Line Items]                
Basis spread on variable rate, floor (as a percent)   0.10%            
Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate | Term Loan due 2030                
Debt Instrument [Line Items]                
Basis spread on variable rate, floor (as a percent) 0.00%              
Minimum | Interest Rate Swap                
Debt Instrument [Line Items]                
Fixed interest rate on interest rate swap         3.31%      
Minimum | Base Rate | Term Loan due 2027                
Debt Instrument [Line Items]                
Basis spread on variable rate (as a percent)   0.50%            
Minimum | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate | Term Loan due 2027                
Debt Instrument [Line Items]                
Basis spread on variable rate, floor (as a percent)   1.50%            
Maximum | Interest Rate Swap                
Debt Instrument [Line Items]                
Fixed interest rate on interest rate swap         3.84%      
Maximum | Base Rate | Term Loan due 2027                
Debt Instrument [Line Items]                
Basis spread on variable rate (as a percent)   1.00%            
Maximum | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate | Term Loan due 2027                
Debt Instrument [Line Items]                
Basis spread on variable rate, floor (as a percent)   2.00%            
Weighted Average                
Debt Instrument [Line Items]                
Fixed interest rate on interest rate swap         1.86% 1.77%    
$750 million revolving credit facility (due May 2023)                
Debt Instrument [Line Items]                
Debt instrument term         5 years      
Line of Credit Facility, Maximum Borrowing Capacity         $ 750,000,000     $ 750,000,000
Debt issuance costs         2,000,000 $ 3,000,000    
$750 million revolving credit facility (due May 2023) | Line of Credit                
Debt Instrument [Line Items]                
Long-term debt         88,000,000 $ 160,000,000    
Debt instrument, face amount         $ 750,000,000      
Debt instrument, interest rate, stated percentage           7.30%    
$750 million revolving credit facility (due May 2023) | Secured Overnight Financing Rate (SOFR) | Variable Rate Component Two                
Debt Instrument [Line Items]                
Basis spread on variable rate (as a percent)   0.10%            
$750 million revolving credit facility (due May 2023) | Minimum | Base Rate                
Debt Instrument [Line Items]                
Basis spread on variable rate (as a percent)   0.50%            
$750 million revolving credit facility (due May 2023) | Minimum | Secured Overnight Financing Rate (SOFR) | Variable Rate Component One                
Debt Instrument [Line Items]                
Basis spread on variable rate (as a percent)   1.50%            
$750 million revolving credit facility (due May 2023) | Maximum | Base Rate                
Debt Instrument [Line Items]                
Basis spread on variable rate (as a percent)   1.00%            
$750 million revolving credit facility (due May 2023) | Maximum | Secured Overnight Financing Rate (SOFR) | Variable Rate Component One                
Debt Instrument [Line Items]                
Basis spread on variable rate (as a percent)   2.00%