v3.21.1
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS - Long-term debt and lease obligations (Details)
€ in Millions, £ in Millions, $ in Millions
3 Months Ended
Jan. 15, 2021
USD ($)
Mar. 31, 2021
USD ($)
Jun. 30, 2022
USD ($)
Mar. 31, 2021
GBP (£)
Mar. 31, 2021
EUR (€)
Mar. 08, 2021
USD ($)
Jan. 31, 2021
Dec. 31, 2020
USD ($)
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Carrying value of corporate borrowings   $ 5,112.5           $ 5,411.6
Finance lease obligations   90.3           96.0
Paid-in-kind interest   60.2           7.6
Deferred financing costs   48.9           42.1
Net premium   335.6           338.7
Total long-term debt and finance lease obligations   5,549.7           5,811.8
Current maturities corporate borrowings   (20.0)           (20.0)
Current maturities of finance lease liabilities   (12.5)           (12.9)
Noncurrent portion of long-term debt and finance lease obligations   $ 5,517.2           5,778.9
2.95% Senior Secured Convertible Notes due 2026                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Carrying value of corporate borrowings               600.0
Net premium               $ (61.5)
Stated interest rate (as a percent)   2.95%   2.95% 2.95%   2.95% 2.95%
6.375% Senior Subordinated Notes due 2024                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Carrying value of corporate borrowings   $ 5.5           $ 5.4
Net premium   $ 0.1            
Stated interest rate (as a percent)   6.375%   6.375% 6.375%     6.375%
Debt instrument face amount | £       £ 4.0        
5.75 % Senior Subordinated Notes due 2025                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Carrying value of corporate borrowings   $ 98.3           $ 98.3
Stated interest rate (as a percent)   5.75%   5.75% 5.75%     5.75%
5.875% Senior Subordinated Notes due 2026                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Carrying value of corporate borrowings   $ 55.6           $ 55.6
Stated interest rate (as a percent)   5.875%   5.875% 5.875%     5.875%
6.125% Senior Subordinated Notes due 2027                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Carrying value of corporate borrowings   $ 130.7           $ 130.7
Stated interest rate (as a percent)   6.125%   6.125% 6.125%     6.125%
Senior Secured Credit Facility                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Debt instrument face amount     $ 100.0          
Senior Secured Credit Facility Term-Loan due 2022                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Debt instrument face amount           $ 225.0    
Debt Agreement with Mudrick Capital Management, LP [Member]                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Debt instrument face amount               $ 100.0
Debt Agreement with Mudrick Capital Management, LP [Member] | Minimum                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Stated interest rate (as a percent)               15.00%
Debt Agreement with Mudrick Capital Management, LP [Member] | Maximum                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Stated interest rate (as a percent)               17.00%
Senior Secured Credit Facility Term-Loan Due 2026                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Carrying value of corporate borrowings   $ 1,960.0           $ 1,965.0
Net premium   $ (7.2)           (7.5)
Stated interest rate (as a percent)   3.195%   3.195% 3.195%      
Senior Secured Credit Facility-Revolving Credit Facility due 2024                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Carrying value of corporate borrowings               212.2
Odeon Term Loan Facility due 2023                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Carrying value of corporate borrowings   $ 538.8            
Net premium   $ (18.4)            
Interest rate percentage in year one   10.75%   10.75% 10.75%      
Interest rate percentage in year thereafter   11.25%   11.25% 11.25%      
Debt instrument face amount       £ 140.0 € 296.0      
Odeon Revolving Credit Facility Due 2022 - 2.5785%                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Carrying value of corporate borrowings               120.8
10.5 % First Lien Notes due 2025                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Carrying value of corporate borrowings   $ 500.0           500.0
Net premium   $ (8.5)           $ (8.9)
Stated interest rate (as a percent)   10.50%   10.50% 10.50%     10.50%
10.5 % First Lien Notes due 2026                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Carrying value of corporate borrowings   $ 300.0           $ 300.0
Net premium   $ (27.6)           $ (28.5)
Stated interest rate (as a percent)   10.50%   10.50% 10.50%     10.50%
First Lien Toggle Notes due 2026                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Stated interest rate (as a percent)   15.00%   15.00% 15.00%      
PIK interest rate   17.00%            
Debt instrument face amount $ 100.0              
First Lien Toggle Notes due 2026 | Debt Agreement with Mudrick Capital Management, LP [Member]                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Carrying value of corporate borrowings   $ 100.0            
Net premium   (26.3)            
Stated interest rate (as a percent) 15.00%              
PIK interest rate 17.00%              
Second Lien Subordinated Notes due 2026                
CORPORATE BORROWINGS AND FINANCE LEASE OBLIGATIONS                
Carrying value of corporate borrowings   1,423.6           $ 1,423.6
Net premium   $ 423.5           $ 445.1
Stated interest rate (as a percent)   10.00%   10.00% 10.00%      
PIK interest rate   12.00%