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Separation from Kimberly-Clark and Long-Term Debt - Senior Unsecured Notes, Term Loan and Revolving Credit Facilities (Details) (USD $)
3 Months Ended 0 Months Ended 0 Months Ended 0 Months Ended 0 Months Ended 0 Months Ended
Mar. 31, 2015
Forecasted
Swingline sub-facility
LIBOR
Minimum
Mar. 31, 2015
Forecasted
Swingline sub-facility
LIBOR
Maximum
Mar. 31, 2015
Forecasted
Swingline sub-facility
Base rate
Minimum
Mar. 31, 2015
Forecasted
Swingline sub-facility
Base rate
Maximum
Oct. 17, 2014
Subsequent Event
Swingline sub-facility
Oct. 17, 2014
Subsequent Event
Swingline sub-facility
Oct. 17, 2014
Subsequent Event
Swingline sub-facility
Leverage Ratio, Less than 2.25
Oct. 17, 2014
Subsequent Event
Swingline sub-facility
LIBOR
Oct. 17, 2014
Subsequent Event
Swingline sub-facility
Base rate
Oct. 17, 2014
Subsequent Event
Secured debt
Line of credit
Oct. 17, 2014
Subsequent Event
Secured debt
Revolving credit facility
Oct. 17, 2014
Subsequent Event
Secured debt
Revolving credit facility
Oct. 17, 2014
Subsequent Event
Secured debt
Letter of credit
Oct. 17, 2014
Subsequent Event
Secured debt
Swingline sub-facility
Oct. 31, 2014
Subsequent Event
Secured debt
Term loan facility
Oct. 31, 2014
Subsequent Event
Secured debt
Term loan facility
Oct. 31, 2014
Subsequent Event
Secured debt
Term loan facility
LIBOR
Oct. 31, 2014
Subsequent Event
Secured debt
Term loan facility
U.S. federal funds effective rate
Oct. 31, 2014
Subsequent Event
Secured debt
Term loan facility
One month LIBOR Rate
Oct. 31, 2014
Subsequent Event
Secured debt
Term loan facility
Base rate
Oct. 17, 2014
Subsequent Event
6.25% Senior Notes
Unsecured debt
Debt Instrument [Line Items]                                          
Aggregate principal amount                                         $ 250,000,000
Stated interest rate                                         6.25%
Borrowing capacity                   $ 640,000,000.0   $ 250,000,000.0 $ 75,000,000.0 $ 25,000,000.0   $ 390,000,000          
Term of credit facility                     5 years       7 years            
Basis spread on variable rate 1.75% 2.50% 0.75% 1.50%       2.25% 1.25%               3.25% 0.50% 1.00% 2.25%  
Quarterly amortization payments                             0.25%            
Unused capacity, commitment fee percentage         0.40%   0.25%                            
Consolidated total leverage ratio           2.25