Company: BRSL
Filing Date: 2025-11-04
Form Type: 6-K
Source: 0001628280-25-048813
Chunk: 16

Company: Brightstar Lottery PLC
Filing Date: 2025-11-04
Form: 6-K
Chunk 16
---
| Balance at beginning of period |     |               |  29 |     |            |  — |     |                                     | 16 |     |       |  46 |
| Restructuring expense, net     |     |               |   — |     |            | 23 |     |                                     |  — |     |       |  23 |
| Cash payments                  |     |               | -17 |     |            | -1 |     |                                     | -4 |     |       | -22 |
| Other adjustments, net(1)      |     |               |   1 |     |            |  — |     |                                     |  2 |     |       |   3 |
| Balance at end of period       |     |               |  13 |     |            | 22 |     |                                     | 14 |     |       |  50 |
| Cumulative expense             |     |               |  36 |     |            | 23 |     |                                     | 31 |     |       |  90 |

(1) Includes foreign currency translation adjustments and a OPtiMa 3.1 reduction of $2 million due to lower actual expense and savings from voluntary terminations.

All liabilities are related to severance and related employee costs.

#### 10.

#### Debt
The Company’s debt obligations consist of the following:

|                                                          |     | September 30, 2025 |       |     |           |     |     | December 31, 2024 |     |       |       |     |           |       |     |           |     |     |       |       |
|:---------------------------------------------------------|:----|:-------------------|------:|:----|:----------|----:|:----|:------------------|:----|:------|------:|:----|:----------|------:|:----|:----------|----:|:----|:------|------:|
| ($ in millions)                                          |     | Principal          |       |     | Debt      
 issuance  
 cost, net |     |     |                   |     | Total |       |     | Principal |       |     | Debt      
 issuance  
 cost, net |     |     | Total |       |
| 4.125% Senior Secured U.S. Dollar Notes due April 2026   |     |                    |     — |     |           |   — |     |                   |     |       |