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Debt - Additional Information (Details)
3 Months Ended 9 Months Ended
May. 18, 2015
USD ($)
Mar. 31, 2014
USD ($)
Jun. 10, 2013
EUR (€)
Sep. 30, 2015
USD ($)
Sep. 30, 2014
USD ($)
Sep. 30, 2015
USD ($)
Sep. 30, 2015
PLN
Sep. 30, 2014
USD ($)
Jun. 26, 2015
USD ($)
Jun. 02, 2015
USD ($)
Dec. 31, 2014
USD ($)
Nov. 30, 2014
USD ($)
Sep. 16, 2013
EUR (€)
Jun. 10, 2013
PLN
Nov. 19, 2010
EUR (€)
Debt Instrument [Line Items]                              
All in interest rate percentage       2.86%   2.86%                  
Unsecured term loan       $ 250,000,000   $ 250,000,000                  
Debt issuance of costs       22,200,000   22,200,000                  
Amortization of debt issuance costs       $ 10,000,000 $ 700,000 $ 11,900,000   $ 2,200,000              
Cash Loan [Member]                              
Debt Instrument [Line Items]                              
Maturity date           Jun. 10, 2017 Jun. 10, 2017                
Cash loan and interest repaid in quarterly installments starting period           Nov. 05, 2013 Nov. 05, 2013                
TVN Revolving Credit Facility and Cash Loan [Member]                              
Debt Instrument [Line Items]                              
Debt instrument maturity term     4 years                        
Term Loan [Member]                              
Debt Instrument [Line Items]                              
Unsecured term loan                 $ 250,000,000            
Weighted average interest rate       1.29%   1.29%                  
2.75 % Senior Notes [Member]                              
Debt Instrument [Line Items]                              
Debt Instrument, Face Amount                       $ 500,000,000      
3.90 % Senior Notes [Member]                              
Debt Instrument [Line Items]                              
Debt Instrument, Face Amount                       500,000,000      
3.55 % Senior Notes [Member]                              
Debt Instrument [Line Items]                              
Debt Instrument, Face Amount                       $ 885,000,000      
2.70 % Senior Notes [Member]                              
Debt Instrument [Line Items]                              
Debt Instrument, Face Amount       $ 500,000,000   $ 500,000,000                  
2.80 % Senior Notes [Member]                              
Debt Instrument [Line Items]                              
Debt Instrument, Face Amount                   $ 600,000,000          
Stated interest rate (in hundredths)       2.80%   2.80%                  
3.50 % Senior Notes [Member]                              
Debt Instrument [Line Items]                              
Debt Instrument, Face Amount                   400,000,000          
3.95 % Senior Notes [Member]                              
Debt Instrument [Line Items]                              
Debt Instrument, Face Amount                   $ 500,000,000          
TVN 7.88% Senior Notes [Member]                              
Debt Instrument [Line Items]                              
Debt Instrument, Face Amount | €                             € 175,000,000
Stated interest rate (in hundredths)                             7.88%
TVN 7.38% Senior Notes [Member]                              
Debt Instrument [Line Items]                              
Debt Instrument, Face Amount | €                         € 430,000,000    
Stated interest rate (in hundredths)       7.38%   7.38%             7.38%    
Bank Pekao S.A [Member] | TVN Facility [Member]                              
Debt Instrument [Line Items]                              
Line of Credit Facility, Maximum Borrowing Capacity | PLN                           PLN 300,000,000  
TVN facility used by the company | PLN             PLN 8,000,000                
Bank Pekao S.A [Member] | Cash Loan [Member]                              
Debt Instrument [Line Items]                              
Line of Credit Facility, Maximum Borrowing Capacity | €     € 25,000,000                        
Minimum [Member] | Term Loan [Member]                              
Debt Instrument [Line Items]                              
Basis spread on variable rate (in hundredths)           62.50% 62.50%                
Maximum [Member] | Term Loan [Member]                              
Debt Instrument [Line Items]                              
Basis spread on variable rate (in hundredths)           137.50% 137.50%                
Revolving Credit Facility                              
Debt Instrument [Line Items]                              
Line of Credit Facility, Maximum Borrowing Capacity $ 1,150,000,000 $ 650,000,000                          
Expiration date of revolving credit facility   Mar. 31, 2019       Mar. 31, 2020 Mar. 31, 2020                
Line of Credit Facility, additional borrowing capacity 250,000,000                            
Line of Credit Facility, Remaining Borrowing Capacity 32,500,000                            
Line of Credit Facility, Current Borrowing Capacity $ 900,000,000                            
Line of Credit Facility, Interest Rate Description           LIBOR plus a range of 69 to 130 basis points and a facility fee ranging from 6 to 20 basis points, also subject to the Company’s credit ratings. LIBOR plus a range of 69 to 130 basis points and a facility fee ranging from 6 to 20 basis points, also subject to the Company’s credit ratings.                
Revolving Credit Facility       $ 300,000,000   $ 300,000,000         $ 0        
Outstanding borrowings interest rate       1.29%                      
Letters of Credit Outstanding, Amount       $ 1,100,000   $ 1,100,000                  
Revolving Credit Facility | Minimum [Member]                              
Debt Instrument [Line Items]                              
Basis spread on variable rate (in hundredths)           69.00% 69.00%                
Basis spread on variable rate, commitment fee (in hundredths)           6.00% 6.00%                
Revolving Credit Facility | Maximum [Member]                              
Debt Instrument [Line Items]                              
Basis spread on variable rate (in hundredths)           130.00% 130.00%                
Basis spread on variable rate, commitment fee (in hundredths)           20.00% 20.00%