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Credit Facilities, Short-term Borrowings and Long-term Debt (Narrative) (Details)
€ in Thousands, BRL in Thousands, $ in Thousands
6 Months Ended 9 Months Ended
Jul. 24, 2017
Jun. 30, 2017
BRL
Jun. 30, 2017
BRL
Jun. 30, 2017
EUR (€)
Jun. 30, 2017
USD ($)
Dec. 31, 2016
BRL
Dec. 31, 2016
USD ($)
Sep. 30, 2016
USD ($)
Balance of unamortized debt issuance costs         $ 1,856     $ 2,091
Other Foreign Short-term Borrowings [Member]                
Outstanding borrowings         $ 0      
Revolving Credit Facility [Member]                
Credit facility effective interest rate on outstanding borrowing   2.28% 2.28% 2.28% 2.28%     1.77%
Outstanding borrowings         $ 116,900     $ 156,700
Revolving Credit Agreement [Member]                
Maximum borrowing capacity         1,000,000      
Option to increase maximum borrowings to this amount         1,200,000      
Line of Credit Facility, Expiration Date     Apr. 01, 2020          
Variable Rate Basis     LIBOR          
Balance of unamortized debt issuance costs, line of credit         2,478     3,134
Chinese Credit Facility [Member]                
Maximum borrowing capacity         4,550   $ 22,700  
Outstanding borrowings         0      
Chinese Credit Facility, RMB Denominated Loan [Member]                
Variable Rate Basis     prevailing interest rate offered by the People's Bank of China on the date of borrowing, plus a margin equal to 15% of that prevailing rate          
Basis Spread On Variable Rate     15.00%          
Chinese Credit Facility, USD Denominated Loan [Member]                
Variable Rate Basis     lender's cost of borrowing rate at the date of borrowing, plus 3%          
Basis Spread On Variable Rate     3.00%          
Brazil Credit Facility BRL Denominated Loan [Member]                
Maximum borrowing capacity | BRL   BRL 1,000 BRL 1,000     BRL 52,000    
Line of Credit Facility, Expiration Date Mar. 15, 2018 Jul. 14, 2017            
Variable Rate Basis     interest at the lender's cost of borrowing rate at the date of borrowing, plus 1.75%          
Basis Spread On Variable Rate     1.75%          
Outstanding borrowings         0      
Minimum [Member] | Revolving Credit Agreement [Member]                
Basis Spread On Variable Rate     0.85%          
Maximum [Member] | Revolving Credit Agreement [Member]                
Basis Spread On Variable Rate     1.65%          
The Notes [Member]                
Balance of unamortized debt issuance costs         1,856     $ 2,091
2008 Note Purchase Agreement [Member]                
Issuance Date     Oct. 01, 2008          
2009 Note Purchase Agreement [Member]                
Issuance Date     Apr. 01, 2009          
2013 Note Purchase Agreement [Member]                
Issuance Date     Oct. 01, 2013          
Face Amount         $ 250,000      
First Closing Notes [Member]                
Issuance Date     Oct. 01, 2013          
Second Closing Notes [Member]                
Issuance Date     Nov. 15, 2013          
Series J Notes [Member]                
Variable interest rate   2.40% 2.40% 2.40% 2.40%      
2016 Note Purchase Agreements [Member]                
Issuance Date     Sep. 23, 2016          
Face Amount | €       € 160,000        
Series M Notes [Member]                
Face Amount | €       40,000        
Series N Notes [Member]                
Face Amount | €       77,000        
Series O Notes [Member]                
Face Amount | €       € 43,000