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PROTON SOLUTIONS LOANS AND INVESTMENTS - Additional Information (Detail)
€ in Millions, $ in Millions
1 Months Ended 3 Months Ended 9 Months Ended 12 Months Ended 13 Months Ended
Dec. 06, 2017
USD ($)
tranche
Jul. 31, 2015
USD ($)
Aug. 31, 2018
USD ($)
Dec. 31, 2017
USD ($)
Jul. 31, 2017
USD ($)
Jul. 31, 2017
EUR (€)
Jun. 28, 2019
USD ($)
Jun. 28, 2019
USD ($)
Jun. 29, 2018
USD ($)
Sep. 29, 2017
USD ($)
Jul. 31, 2018
USD ($)
Jan. 01, 2022
USD ($)
Sep. 28, 2018
USD ($)
Mar. 31, 2017
USD ($)
Jun. 30, 2016
USD ($)
Long term notes receivable and available for sale securities [Line Items]                              
Payments to acquire available-for-sale securities               $ 0.0 $ 6.0            
Fair Value             $ 57.5 57.5         $ 62.5    
Sale of available-for-sale security               $ 8.5 $ 8.0            
APTC Securities                              
Long term notes receivable and available for sale securities [Line Items]                              
Payments to acquire available-for-sale securities       $ 6.0                      
Interest rate (as a percent)             8.50% 8.50%              
C P T C                              
Long term notes receivable and available for sale securities [Line Items]                              
Equity ownership interest (percent) 47.08%           47.08% 47.08%              
Fair value of CPTC's equity $ 20.1                            
Equity method investment 9.5           $ 0.0 $ 0.0         2.2    
RPTC Securities                              
Long term notes receivable and available for sale securities [Line Items]                              
Claims filed against assets of Company in bankruptcy | €           € 77.0                  
Accounts receivable, includes unbilled accounts receivable             4.5 4.5         4.5    
New York Proton Center                              
Long term notes receivable and available for sale securities [Line Items]                              
Accounts receivable, includes unbilled accounts receivable             25.2 25.2         24.1    
Unbilled receivables from variable interest entity             12.6 12.6         24.1    
MPTC loans (1)                              
Long term notes receivable and available for sale securities [Line Items]                              
Accounts receivable, includes unbilled accounts receivable             0.0 0.0         0.5    
Cash received     $ 6.0                        
C P T C                              
Long term notes receivable and available for sale securities [Line Items]                              
Accounts receivable, includes unbilled accounts receivable             2.3 2.3         1.8    
Impairment charges                   $ 51.4          
Liabilities assumed by lenders 112.0                            
Varian Medical Systems, Inc. | C P T C                              
Long term notes receivable and available for sale securities [Line Items]                              
Additional financing                           $ 7.3  
Loans Receivable | Proton Center, Munich                              
Long term notes receivable and available for sale securities [Line Items]                              
Payments to acquire outstanding senior debt         $ 24.5 € 21.5                  
Loans Receivable | NYPC loan (1)                              
Long term notes receivable and available for sale securities [Line Items]                              
Long-term             30.8 30.8         28.0    
Maximum lending commitment   $ 91.5                          
Loans Receivable | C P T C                              
Long term notes receivable and available for sale securities [Line Items]                              
Modified former loans receivable $ 112.0                            
Revolving Loan | C P T C                              
Long term notes receivable and available for sale securities [Line Items]                              
Loans             5.1 5.1         3.7    
Senior First Lien Loan | NYPC loan (1)                              
Long term notes receivable and available for sale securities [Line Items]                              
Maximum lending commitment                             $ 73.0
Senior Subordinated Loans | NYPC loan (1)                              
Long term notes receivable and available for sale securities [Line Items]                              
Interest rate (as a percent)   13.50%                          
Long-term             30.8 30.8              
Maximum lending commitment   $ 18.5                          
Term (in years)   6 years 6 months                          
Term Loan | C P T C                              
Long term notes receivable and available for sale securities [Line Items]                              
Modified former loans receivable             $ 44.0 $ 44.0         $ 44.0    
Term Loan | C P T C                              
Long term notes receivable and available for sale securities [Line Items]                              
Credit facility term (in years) 3 years                            
Term Loan | Varian Medical Systems, Inc. | C P T C                              
Long term notes receivable and available for sale securities [Line Items]                              
Modified former loans receivable $ 53.5                            
Number of Tranches | tranche 4                            
Paid-in-kind interest receivable (percent)             7.50% 7.50%              
Term Loan | Varian Medical Systems, Inc. | C P T C | Tranche A loan                              
Long term notes receivable and available for sale securities [Line Items]                              
Modified former loans receivable $ 2.0                            
Interest receivable, default rate (percent)               9.50%              
Term Loan | Varian Medical Systems, Inc. | C P T C | Tranche B loan                              
Long term notes receivable and available for sale securities [Line Items]                              
Modified former loans receivable 7.2                            
Paid-in-kind interest receivable (percent)             10.00% 10.00%              
Interest receivable, default rate (percent)               12.00%              
Term Loan | Varian Medical Systems, Inc. | C P T C | Tranche C Loans                              
Long term notes receivable and available for sale securities [Line Items]                              
Modified former loans receivable 15.6                            
Interest receivable, default rate (percent)               9.50%              
Term Loan | Varian Medical Systems, Inc. | C P T C | Tranche D Loans                              
Long term notes receivable and available for sale securities [Line Items]                              
Modified former loans receivable $ 28.7                            
Interest receivable, default rate (percent)               9.50%              
Available-for-sale Securities | Georgia Proton Therapy Center                              
Long term notes receivable and available for sale securities [Line Items]                              
Payments to acquire available-for-sale securities                     $ 16.1        
Sale of available-for-sale security               $ 16.8              
Available-for-sale Securities | MPTC Series B-1 Bonds [Member]                              
Long term notes receivable and available for sale securities [Line Items]                              
Interest rate (as a percent)             7.50% 7.50%              
Fair Value     25.0                        
Available-for-sale Securities | MPTC Series B-2 Bonds [Member]                              
Long term notes receivable and available for sale securities [Line Items]                              
Interest rate (as a percent)             8.50% 8.50%              
Fair Value     $ 22.9                        
Forecast | Available-for-sale Securities | MPTC Series B-1 Bonds [Member]                              
Long term notes receivable and available for sale securities [Line Items]                              
Fair Value                       $ 32.0      
Forecast | Available-for-sale Securities | MPTC Series B-2 Bonds [Member]                              
Long term notes receivable and available for sale securities [Line Items]                              
Fair Value                       $ 33.9      
Revolving Loan | Loans Receivable | C P T C                              
Long term notes receivable and available for sale securities [Line Items]                              
Extension to the term (in years)               1 year              
Maximum lending commitment               $ 15.0              
Credit facility term (in years)               1 year              
Revolving Loan | Loans Receivable | Varian Medical Systems, Inc. | C P T C                              
Long term notes receivable and available for sale securities [Line Items]                              
Maximum lending commitment               $ 7.2              
Other income (expense), net | Varian Medical Systems, Inc. | C P T C                              
Long term notes receivable and available for sale securities [Line Items]                              
Loss from equity investments             $ 0.0