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SUBSEQUENT EVENTS - Narrative (Details)
9 Months Ended 25 Months Ended
May 09, 2018
$ / shares
Apr. 30, 2018
USD ($)
Apr. 05, 2018
USD ($)
Feb. 08, 2018
$ / shares
Nov. 09, 2017
$ / shares
Aug. 22, 2017
$ / shares
Jan. 26, 2016
Mar. 31, 2018
$ / shares
Apr. 30, 2018
brand
Apr. 05, 2018
EUR (€)
Debt Instrument [Line Items]                    
Common stock, dividends, per share, declared | $ / shares       $ 0.125 $ 0.125 $ 0.125   $ 0.375    
Subsequent Event                    
Debt Instrument [Line Items]                    
Debt instrument, redemption price, percentage of principal amount redeemed     65.00%              
Common stock, dividends, per share, declared | $ / shares $ 0.125                  
Number of brands subject to divestiture or termination | brand                 14  
Loss on divestiture of two brands   $ 30,000,000                
Subsequent Event | Senior Notes                    
Debt Instrument [Line Items]                    
Debt instrument, redemption price, percentage     100.00%              
Early redemption premium, percent of outstanding principal amount     1.00%              
Subsequent Event | Senior Notes | 2026 Dollar Notes                    
Debt Instrument [Line Items]                    
Debt instrument, face amount     $ 550,000,000.0              
Debt instrument, interest rate, stated percentage     6.50%             6.50%
Debt instrument, redemption price, percentage     106.50%              
Subsequent Event | Senior Notes | Euro Notes                    
Debt Instrument [Line Items]                    
Debt instrument, redemption price, percentage     100.00%              
Subsequent Event | Senior Notes | 2023 Euro Notes                    
Debt Instrument [Line Items]                    
Debt instrument, face amount | €                   € 550,000,000.0
Debt instrument, interest rate, stated percentage     4.00%             4.00%
Debt instrument, redemption price, percentage     104.00%              
Subsequent Event | Senior Notes | 2026 Euro Notes                    
Debt Instrument [Line Items]                    
Debt instrument, face amount | €                   € 250,000,000.0
Debt instrument, interest rate, stated percentage     4.75%             4.75%
Debt instrument, redemption price, percentage     104.75%              
Subsequent Event | Senior Unsecured Notes                    
Debt Instrument [Line Items]                    
Debt instrument, redemption price, percentage     101.00%              
Subsequent Event | Line of Credit | 2018 Coty Term A Facility                    
Debt Instrument [Line Items]                    
Line of credit facility, maximum borrowing capacity     $ 1,000,000,000             € 2,035,000,000.0
Discount percentage     0.107%             0.107%
Debt instrument, quarterly pepayment percentage     1.25%              
Subsequent Event | Line of Credit | 2018 Coty Term B Facility                    
Debt Instrument [Line Items]                    
Line of credit facility, maximum borrowing capacity     $ 1,400,000,000             € 850,000,000
Discount percentage     0.25%             0.25%
Debt instrument, quarterly pepayment percentage     0.25%              
Revolving Credit Facility | Subsequent Event | Line of Credit | 2018 Coty Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Line of credit facility, maximum borrowing capacity     $ 3,250,000,000              
Letter of Credit | Subsequent Event | Line of Credit | 2018 Coty Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Line of credit facility, maximum borrowing capacity     150,000,000              
Swingline loans | Subsequent Event | Line of Credit | 2018 Coty Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Line of credit facility, maximum borrowing capacity     150,000,000.0              
Incurrence Incremental Facilities | Subsequent Event | Line of Credit | 2018 Coty Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Line of credit facility, maximum borrowing capacity     $ 1,700,000,000              
Total net leverage ratio     3.00              
LIBOR | Subsequent Event | Line of Credit | 2018 Coty Term B Facility                    
Debt Instrument [Line Items]                    
Basis spread on variable rate (percent)     2.25%              
Base Rate | Subsequent Event | Line of Credit | 2018 Coty Term B Facility                    
Debt Instrument [Line Items]                    
Basis spread on variable rate (percent)     1.25%              
Euro Interbank Offered Rate (Euribor) | Subsequent Event | Line of Credit | 2018 Coty Term B Facility                    
Debt Instrument [Line Items]                    
Basis spread on variable rate (percent)     2.50%              
Minimum | Line of Credit                    
Debt Instrument [Line Items]                    
Applicable leverage ratio following the closing of any material acquisition             1.00      
Minimum | LIBOR | Subsequent Event | Line of Credit | 2018 Coty Term B Facility                    
Debt Instrument [Line Items]                    
Basis spread on variable rate (percent)     0.00%              
Maximum | Line of Credit                    
Debt Instrument [Line Items]                    
Applicable leverage ratio following the closing of any material acquisition             5.95 4.75    
Maximum | Subsequent Event | Line of Credit                    
Debt Instrument [Line Items]                    
Applicable leverage ratio following the closing of any material acquisition     5.95              
2020 | Subsequent Event | Senior Notes | 2023 Euro Notes                    
Debt Instrument [Line Items]                    
Debt instrument, redemption price, percentage     102.00%              
2020 | Maximum | Subsequent Event                    
Debt Instrument [Line Items]                    
Debt instrument, redemption price, percentage of principal amount redeemed     35.00%