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Debt (Tables)
3 Months Ended
Dec. 31, 2019
Debt Disclosure [Abstract]  
Schedule of debt instruments
Debt consisted of the following:
(in thousands)
 
December 31,
2019
 
September 30,
2019
Revolving credit note
 
$

 
$

Term loan due in 2020
 
399,819

 
399,778

Overdraft facility due 2021 (£30,000)
 
31,708

 
32,573

Receivables securitization facility due 2022
 
350,000

 
350,000

Multi-currency revolving credit facility due 2024
 

 

$500,000, 3.50% senior notes due 2021
 
499,037

 
498,908

$500,000, 3.40% senior notes due 2024
 
497,866

 
497,744

$500,000, 3.25% senior notes due 2025
 
496,481

 
496,311

$750,000, 3.45% senior notes due 2027
 
743,309

 
743,099

$500,000, 4.25% senior notes due 2045
 
494,568

 
494,514

$500,000, 4.30% senior notes due 2047
 
492,555

 
492,488

Nonrecourse debt
 
163,260

 
167,477

Total debt
 
4,168,603

 
4,172,892

Less AmerisourceBergen Corporation current portion
 
431,527

 
32,573

Less nonrecourse current portion
 
100,962

 
106,439

Total, net of current portion
 
$
3,636,114

 
$
4,033,880