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Treasury - Additional Information (Detail)
$ in Thousands
3 Months Ended 6 Months Ended 12 Months Ended
Nov. 26, 2018
USD ($)
Oct. 23, 2018
USD ($)
Jun. 07, 2016
USD ($)
Dec. 31, 2015
USD ($)
Derivative
Sep. 30, 2015
USD ($)
Derivative
Jun. 30, 2015
USD ($)
Derivative
Jun. 30, 2019
USD ($)
Jun. 30, 2018
USD ($)
Dec. 31, 2015
USD ($)
Derivative
Dec. 31, 2018
USD ($)
Oct. 31, 2018
USD ($)
Apr. 30, 2018
USD ($)
Jun. 03, 2016
USD ($)
Aug. 07, 2014
USD ($)
Equity Class Of Treasury Stock [Line Items]                            
Line of credit facility, starting date             Oct. 23, 2018              
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               $ 440,000       $ 450,000    
Accounts receivable securitization program credit facility, amount outstanding             $ 437,000              
Accounts receivable securitization program credit facility, available borrowing capacity             13,000              
Debt instrument carrying amount             4,150,000     $ 4,000,000        
Fair value of debt             4,170,000     $ 4,000,000        
Number of additional forward starting interest rate swaps | Derivative         4                  
One Point Three One Percent Forward Starting Interest Rate Swaps                            
Equity Class Of Treasury Stock [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                            
Equity Class Of Treasury Stock [Line Items]                            
Number of additional forward starting interest rate swaps | Derivative           4,000,000                
Maturity date of interest rate cash flow hedges           Apr. 15, 2019                
Average fixed rate payable on interest rate swap           1.40%                
Forward Starting Interest Rate Swaps                            
Equity Class Of Treasury Stock [Line Items]                            
Maturity date of interest rate cash flow hedges         Apr. 15, 2019                  
Average fixed rate payable on interest rate swap         1.23%                  
One Point Two One Percent Forward Starting Interest Rate Swaps                            
Equity Class Of Treasury Stock [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%          
Foreign Currency Forward Exchange Contracts                            
Equity Class Of Treasury Stock [Line Items]                            
Net cash inflows (outflows)             53,000 $ 22,000            
Cash Flow Hedging | One Point Three One Percent Forward Starting Interest Rate Swaps                            
Equity Class Of Treasury Stock [Line Items]                            
Notional amount of interest rate cash flow hedges       $ 1,000,000         $ 1,000,000          
Cash Flow Hedging | One Point Four Zero Percent Forward Starting Interest Rate Swaps                            
Equity Class Of Treasury Stock [Line Items]                            
Notional amount of interest rate cash flow hedges           $ 500,000                
Cash Flow Hedging | Forward Starting Interest Rate Swaps                            
Equity Class Of Treasury Stock [Line Items]                            
Notional amount of interest rate cash flow hedges         $ 400,000                  
Cash Flow Hedging | One Point Two Three Percent Forward Starting Interest Rate Swaps One                            
Equity Class Of Treasury Stock [Line Items]                            
Notional amount of interest rate cash flow hedges         100,000                  
Cash Flow Hedging | One Point Two Three Percent Forward Starting Interest Rate Swaps Two                            
Equity Class Of Treasury Stock [Line Items]                            
Notional amount of interest rate cash flow hedges         200,000                  
Cash Flow Hedging | One Point Two Three Percent Forward Starting Interest Rate Swaps Three                            
Equity Class Of Treasury Stock [Line Items]                            
Notional amount of interest rate cash flow hedges         $ 100,000                  
Cash Flow Hedging | One Point Two One Percent Forward Starting Interest Rate Swaps                            
Equity Class Of Treasury Stock [Line Items]                            
Notional amount of interest rate cash flow hedges       $ 100,000         $ 100,000          
Revolving Credit Facility                            
Equity Class Of Treasury Stock [Line Items]                            
Line of credit facility, borrowing capacity   $ 1,000,000 $ 800,000       1,000,000              
Line of credit facility increased amount   200,000                        
Line of credit facility, available borrowing capacity             851,000              
Line of credit facility amount outstanding             $ 102,000              
Current applicable margins             1.50%              
Revolving Credit Facility | ABR-based loans                            
Equity Class Of Treasury Stock [Line Items]                            
Current applicable margins             1.75%              
Revolving Credit Facility | Minimum | One Month Eurodollar Rate Plus Index Based Loans                            
Equity Class Of Treasury Stock [Line Items]                            
Consolidated Leverage Ratio             0.375%              
Revolving Credit Facility | Minimum | One Two Three Six Month Eurodollar Rate Plus Index Based Loans                            
Equity Class Of Treasury Stock [Line Items]                            
Consolidated Leverage Ratio             1.375%              
Revolving Credit Facility | Maximum | One Month Eurodollar Rate Plus Index Based Loans                            
Equity Class Of Treasury Stock [Line Items]                            
Consolidated Leverage Ratio             0.625%              
Revolving Credit Facility | Maximum | One Two Three Six Month Eurodollar Rate Plus Index Based Loans                            
Equity Class Of Treasury Stock [Line Items]                            
Consolidated Leverage Ratio             1.625%              
Revolving Credit Facility | Short Term on Demand Credit Facility                            
Equity Class Of Treasury Stock [Line Items]                            
Line of credit facility amount outstanding             $ 35,000              
Revolving Credit Facility | Letter of Credit                            
Equity Class Of Treasury Stock [Line Items]                            
Line of credit facility, borrowing capacity             125,000              
Line of credit facility amount outstanding             12,000              
Tranche A Term Loan                            
Equity Class Of Treasury Stock [Line Items]                            
Line of credit facility, borrowing capacity   2,000,000 $ 1,710,000                      
Line of credit facility increased amount   $ 290,000                        
Senior notes, maturity date   Oct. 23, 2023 Aug. 07, 2019                      
Line of credit facility amount outstanding             1,975,000              
Tranche A Term Loan | Quarterly Payment for First Eight Installments                            
Equity Class Of Treasury Stock [Line Items]                            
Scheduled principal payments per quarter             $ 12,500              
Debt Instrument Periodic Payment, description             commenced in March of 2019 and are scheduled to continue through December of 2020              
Tranche A Term Loan | Quarterly Payment after Eight Installments Until Maturity                            
Equity Class Of Treasury Stock [Line Items]                            
Scheduled principal payments per quarter             $ 25,000              
Debt Instrument Periodic Payment, description             commencing in March of 2021 until maturity in October of 2023              
Tranche B Term Loan                            
Equity Class Of Treasury Stock [Line Items]                            
Line of credit facility, borrowing capacity                     $ 500,000      
Senior notes, maturity date             Oct. 31, 2025              
Line of credit facility amount outstanding             $ 498,000              
Scheduled principal payments per quarter             $ 1,250              
Debt Instrument Periodic Payment, description             which commenced on March 31, 2019 and are scheduled to continue until maturity in October of 2025              
New Senior Secured Notes                            
Equity Class Of Treasury Stock [Line Items]                            
Senior notes, issued             $ 1,100,000              
New Senior Secured Notes | 3.75% Senior Secured Notes due 2019                            
Equity Class Of Treasury Stock [Line Items]                            
Senior Notes                           $ 300,000
Senior notes, interest rate                           3.75%
Redemption of senior notes $ 300,000                          
Redemption price, percentage 100.485%                          
Redemption premium paid $ 1,000                          
New Senior Secured Notes | 4.75% Senior Secured Notes due 2022                            
Equity Class Of Treasury Stock [Line Items]                            
Senior notes, maturity date             Aug. 01, 2022              
Senior notes, interest rate             4.75%              
Senior notes, issued             $ 700,000              
New Senior Secured Notes | 4.75% Senior Secured Notes due 2022 | Senior Secured Notes Issued on August Seven Two Thousand Fourteen                            
Equity Class Of Treasury Stock [Line Items]                            
Senior notes, issued             300,000              
New Senior Secured Notes | 4.75% Senior Secured Notes due 2022 | Senior Secured Notes Issued on June Three Two Thousand Sixteen                            
Equity Class Of Treasury Stock [Line Items]                            
Senior notes, issued             $ 400,000              
Senior notes issued percentage             101.50%              
Senior notes yield percentage             4.35%              
New Senior Secured Notes | 5.00% Senior Secured Notes due 2026                            
Equity Class Of Treasury Stock [Line Items]                            
Senior notes, maturity date             Jun. 01, 2026              
New Senior Secured Notes | 5.00% Senior Secured Notes due 2026 | Senior Secured Notes Issued on June Three Two Thousand Sixteen                            
Equity Class Of Treasury Stock [Line Items]                            
Senior notes, interest rate                         5.00%  
Senior notes, issued                         $ 400,000  
Term Loan A                            
Equity Class Of Treasury Stock [Line Items]                            
Current applicable margins             1.50%              
Term Loan A | ABR-based loans                            
Equity Class Of Treasury Stock [Line Items]                            
Current applicable margins             0.50%              
Term Loan A | Minimum | One Month Eurodollar Rate Plus Index Based Loans                            
Equity Class Of Treasury Stock [Line Items]                            
Consolidated Leverage Ratio             0.375%              
Term Loan A | Minimum | One Two Three Six Month Eurodollar Rate Plus Index Based Loans                            
Equity Class Of Treasury Stock [Line Items]                            
Consolidated Leverage Ratio             1.375%              
Term Loan A | Maximum | One Month Eurodollar Rate Plus Index Based Loans                            
Equity Class Of Treasury Stock [Line Items]                            
Consolidated Leverage Ratio             0.625%              
Term Loan A | Maximum | One Two Three Six Month Eurodollar Rate Plus Index Based Loans                            
Equity Class Of Treasury Stock [Line Items]                            
Consolidated Leverage Ratio             1.625%              
Term Loan A | Tranche B Term Loan | One Month Eurodollar Rate Plus Index Based Loans                            
Equity Class Of Treasury Stock [Line Items]                            
Consolidated Leverage Ratio             0.75%              
Term Loan A | Tranche B Term Loan | One Two Three Six Month Eurodollar Rate Plus Index Based Loans                            
Equity Class Of Treasury Stock [Line Items]                            
Consolidated Leverage Ratio             1.75%