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Fair Value Measures (Tables)
6 Months Ended
Jun. 30, 2019
Fair Value Disclosures [Abstract]  
Schedule of assets and liabilities measured at fair value on a recurring basis
The fair values of our assets and liabilities measured at fair value on a recurring basis as of June 30, 2019 and December 31, 2018 are as shown in the below table. All fair value measures presented are categorized in Level 2 of the fair value hierarchy.
 
June 30, 2019
 
December 31, 2018
Assets
 
 
 
Foreign currency forward contracts
$
21,761

 
$
17,871

Commodity forward contracts
1,397

 
831

Total
$
23,158

 
$
18,702

 
 
 
 
Liabilities
 
 
 
Foreign currency forward contracts
$
3,290

 
$
5,165

Commodity forward contracts
1,913

 
4,137

Total
$
5,203

 
$
9,302


Information about carrying values and fair values of financial instruments not recorded at fair value
The following table presents the carrying values and fair values of financial instruments not recorded at fair value in the condensed consolidated balance sheets as of June 30, 2019 and December 31, 2018. All fair value measures presented are categorized in Level 2 of the fair value hierarchy.
 
June 30, 2019
 
December 31, 2018
 
Carrying Value (1)
 
Fair Value
 
Carrying Value (1)
 
Fair Value
Liabilities
 
 
 
 
 
 
 
Term Loan
$
913,040

 
$
915,324

 
$
917,794

 
$
904,027

4.875% Senior Notes
$
500,000

 
$
522,500

 
$
500,000

 
$
491,875

5.625% Senior Notes
$
400,000

 
$
433,000

 
$
400,000

 
$
400,500

5.0% Senior Notes
$
700,000

 
$
731,500

 
$
700,000

 
$
660,625

6.25% Senior Notes
$
750,000

 
$
798,750

 
$
750,000

 
$
751,875

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(1)    Excluding any related debt discounts and deferred financing costs.