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Long-term debt, Cash Flow Hedges and Foreign Currency Forward Exchange Contracts - Additional Information (Detail)
3 Months Ended 6 Months Ended 9 Months Ended 12 Months Ended
Jun. 07, 2016
USD ($)
Dec. 31, 2015
USD ($)
Derivative
Sep. 30, 2015
USD ($)
Derivative
Jun. 30, 2015
USD ($)
Derivative
Dec. 31, 2014
USD ($)
Mar. 31, 2011
USD ($)
Derivative
Jun. 30, 2016
USD ($)
Sep. 30, 2016
USD ($)
Sep. 30, 2015
USD ($)
Dec. 31, 2015
USD ($)
Derivative
Jun. 03, 2016
USD ($)
Aug. 07, 2014
USD ($)
Debt Instrument [Line Items]                        
Line of credit facility, starting date Jun. 07, 2016                      
Line of credit facility, maturity month 2019-08                      
Rate adjustment to weighted average federal funds rate for credit facility borrowings               0.50%        
Rate adjustment to one month Eurodollar rate on credit facility borrowings               1.00%        
Accounts receivable securitization program credit facility, borrowing capacity               $ 400,000,000        
Accounts receivable securitization program credit facility, amount outstanding               325,000,000        
Reduction of long-term debt               814,971,000 $ 207,371,000      
Debt instrument carrying amount   $ 3,500,000,000           3,600,000,000   $ 3,500,000,000    
Fair value of debt   $ 3,500,000,000           3,700,000,000   $ 3,500,000,000    
Number of additional forward starting interest rate swaps | Derivative     4                  
Maturity date of interest rate cash flow hedges           May 31, 2015            
Two Point Three Eight Percent Forward Starting Interest Rate Swaps                        
Debt Instrument [Line Items]                        
Number of additional forward starting interest rate swaps | Derivative           4            
Fixed rate payable on interest rate swap           2.38%            
One Point Nine One Percent Forward Starting Interest Rate Swaps                        
Debt Instrument [Line Items]                        
Number of additional forward starting interest rate swaps | Derivative           3            
Fixed rate payable on interest rate swap           1.91%            
One Point Three One Percent Forward Starting Interest Rate Swaps                        
Debt Instrument [Line Items]                        
Number of additional forward starting interest rate swaps | Derivative                   9    
Maturity date of interest rate cash flow hedges                   Apr. 15, 2019    
Fixed rate payable on interest rate swap   1.31%               1.31%    
One Point Four Zero Percent Forward Starting Interest Rate Swaps                        
Debt Instrument [Line Items]                        
Number of additional forward starting interest rate swaps | Derivative       4                
Maturity date of interest rate cash flow hedges       Apr. 15, 2019                
Average fixed rate payable on interest rate swap       1.40%                
One Point Two Three Percent Forward Starting Interest Rate Swaps One                        
Debt Instrument [Line Items]                        
Maturity date of interest rate cash flow hedges     Apr. 15, 2019                  
Average fixed rate payable on interest rate swap     1.23%           1.23%      
One Point Two One Percent Forward Starting Interest Rate Swaps                        
Debt Instrument [Line Items]                        
Number of additional forward starting interest rate swaps | Derivative   1                    
Maturity date of interest rate cash flow hedges   Apr. 15, 2019                    
Fixed rate payable on interest rate swap   1.21%               1.21%    
Interest Rate Swap                        
Debt Instrument [Line Items]                        
Fair value of our interest rate swaps   $ 1,000,000           13,000,000   $ 1,000,000    
Fair value of our interest rate swaps, liability   6,000,000           7,000,000   6,000,000    
Fair value of our interest rate swaps, assets   5,000,000               5,000,000    
Interest Rate Swap | Other Noncurrent Liabilities                        
Debt Instrument [Line Items]                        
Fair value of our interest rate swaps, liability               6,000,000        
Foreign Currency Forward Exchange Contracts                        
Debt Instrument [Line Items]                        
Net cash inflows               $ 56,000,000 $ 12,000,000      
Cash Flow Hedging                        
Debt Instrument [Line Items]                        
Number of additional forward starting interest rate swaps | Derivative           7            
Notional amount of interest rate cash flow hedges           $ 825,000,000            
Cash Flow Hedging | Two Point Three Eight Percent Forward Starting Interest Rate Swaps                        
Debt Instrument [Line Items]                        
Notional amount of interest rate cash flow hedges           600,000,000            
Cash Flow Hedging | One Point Nine One Percent Forward Starting Interest Rate Swaps                        
Debt Instrument [Line Items]                        
Notional amount of interest rate cash flow hedges           $ 225,000,000            
Cash Flow Hedging | One Point Three One Percent Forward Starting Interest Rate Swaps                        
Debt Instrument [Line Items]                        
Notional amount of interest rate cash flow hedges   1,000,000,000               1,000,000,000    
Cash Flow Hedging | One Point Four Zero Percent Forward Starting Interest Rate Swaps                        
Debt Instrument [Line Items]                        
Notional amount of interest rate cash flow hedges       $ 500,000,000                
Cash Flow Hedging | Forward Starting Interest Rate Swaps                        
Debt Instrument [Line Items]                        
Notional amount of interest rate cash flow hedges     $ 400,000,000           400,000,000      
Cash Flow Hedging | One Point Two Three Percent Forward Starting Interest Rate Swaps One                        
Debt Instrument [Line Items]                        
Notional amount of interest rate cash flow hedges     100,000,000           100,000,000      
Cash Flow Hedging | One Point Two Three Percent Forward Starting Interest Rate Swaps Two                        
Debt Instrument [Line Items]                        
Notional amount of interest rate cash flow hedges     200,000,000           200,000,000      
Cash Flow Hedging | One Point Two Three Percent Forward Starting Interest Rate Swaps Three                        
Debt Instrument [Line Items]                        
Notional amount of interest rate cash flow hedges     $ 100,000,000           $ 100,000,000      
Cash Flow Hedging | One Point Two One Percent Forward Starting Interest Rate Swaps                        
Debt Instrument [Line Items]                        
Notional amount of interest rate cash flow hedges   $ 100,000,000               $ 100,000,000    
Accounts Receivable Securitization Facility                        
Debt Instrument [Line Items]                        
Line of credit facility, maturity month               2018-12        
Accounts receivable securitization program, additional capacity               $ 75,000,000        
Senior Notes 7.125%                        
Debt Instrument [Line Items]                        
Senior notes, interest rate             7.125%          
Senior notes, maturity date             Jun. 30, 2016          
Reduction of long-term debt             $ 400,000,000          
Revolving Credit Facility                        
Debt Instrument [Line Items]                        
Line of credit facility, borrowing capacity $ 800,000,000             800,000,000        
Line of credit facility amount outstanding               $ 20,000,000        
Current applicable margins               1.50%        
Line of credit facility, available borrowing capacity               $ 746,000,000        
Letters of credit, outstanding               34,000,000        
Revolving Credit Facility | Letter of Credit                        
Debt Instrument [Line Items]                        
Line of credit facility, borrowing capacity               $ 125,000,000        
Revolving Credit Facility | ABR-based loans                        
Debt Instrument [Line Items]                        
Current applicable margins               0.50%        
Revolving Credit Facility | Minimum | One Month Eurodollar Rate Plus Index Based Loans                        
Debt Instrument [Line Items]                        
Consolidated Leverage Ratio               0.50%        
Revolving Credit Facility | Minimum | One Two Three Six Month Eurodollar Rate Plus Index Based Loans                        
Debt Instrument [Line Items]                        
Consolidated Leverage Ratio               1.50%        
Revolving Credit Facility | Maximum | One Month Eurodollar Rate Plus Index Based Loans                        
Debt Instrument [Line Items]                        
Consolidated Leverage Ratio               1.25%        
Revolving Credit Facility | Maximum | One Two Three Six Month Eurodollar Rate Plus Index Based Loans                        
Debt Instrument [Line Items]                        
Consolidated Leverage Ratio               2.25%        
Term Loan A                        
Debt Instrument [Line Items]                        
Line of credit facility amount outstanding               $ 1,886,000,000        
Line of credit facility increased amount $ 200,000,000                      
Current applicable margins               1.50%        
Term Loan A | Quarterly installment payments made from the fourth quarter of 2014 through third quarter of 2016                        
Debt Instrument [Line Items]                        
Scheduled principal payments made         $ 11,000,000              
Term Loan A | Quarterly installment payments after September, 2016                        
Debt Instrument [Line Items]                        
Scheduled principal payments made         $ 22,000,000              
Term Loan A | ABR-based loans                        
Debt Instrument [Line Items]                        
Current applicable margins               0.50%        
Term Loan A | Minimum | One Month Eurodollar Rate Plus Index Based Loans                        
Debt Instrument [Line Items]                        
Consolidated Leverage Ratio               0.50%        
Term Loan A | Minimum | One Two Three Six Month Eurodollar Rate Plus Index Based Loans                        
Debt Instrument [Line Items]                        
Consolidated Leverage Ratio               1.50%        
Term Loan A | Maximum | One Month Eurodollar Rate Plus Index Based Loans                        
Debt Instrument [Line Items]                        
Consolidated Leverage Ratio               1.25%        
Term Loan A | Maximum | One Two Three Six Month Eurodollar Rate Plus Index Based Loans                        
Debt Instrument [Line Items]                        
Consolidated Leverage Ratio               2.25%        
New Senior Secured Notes                        
Debt Instrument [Line Items]                        
Senior notes, issued               $ 1,400,000,000        
New Senior Secured Notes | 3.75% Senior Secured Notes due 2019                        
Debt Instrument [Line Items]                        
Senior notes, issued                       $ 300,000,000
Senior notes, interest rate                       3.75%
Senior notes, maturity date               Aug. 01, 2019        
New Senior Secured Notes | 4.75% Senior Secured Notes due 2022                        
Debt Instrument [Line Items]                        
Senior notes, issued               $ 700,000,000     $ 400,000,000 $ 300,000,000
Senior notes, interest rate               4.75%        
Senior notes issued percentage                     101.50%  
Senior notes yield percentage                     4.35%  
Senior notes, maturity date               Aug. 01, 2022        
New Senior Secured Notes | 5.00% Senior Secured Notes due 2026                        
Debt Instrument [Line Items]                        
Senior notes, issued                     $ 400,000,000  
Senior notes, interest rate                     5.00%  
Senior notes, maturity date               Jun. 01, 2026