XML 36 R26.htm IDEA: XBRL DOCUMENT v3.20.2
Debt (Tables)
9 Months Ended
Jun. 30, 2020
Debt Disclosure [Abstract]  
Schedule of debt instruments
Debt consisted of the following:
(in thousands)June 30,
2020
September 30,
2019
Revolving credit note$—  $—  
Term loan due in 2020399,928  399,778  
Overdraft facility due 2021 (£30,000)
—  32,573  
Receivables securitization facility due 2022350,000  350,000  
Multi-currency revolving credit facility due 2024—  —  
$500,000, 3.50% senior notes due 2021
—  498,908  
$500,000, 3.40% senior notes due 2024
498,110  497,744  
$500,000, 3.25% senior notes due 2025
496,819  496,311  
$750,000, 3.45% senior notes due 2027
743,730  743,099  
$500,000, 2.80% senior notes due 2030
493,983  —  
$500,000, 4.25% senior notes due 2045
494,676  494,514  
$500,000, 4.30% senior notes due 2047
492,688  492,488  
Nonrecourse debt170,417  167,477  
Total debt4,140,351  4,172,892  
Less AmerisourceBergen Corporation current portion399,928  32,573  
Less nonrecourse current portion119,782  106,439  
Total, net of current portion$3,620,641  $4,033,880