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Credit Facilities (Tables)
12 Months Ended
Dec. 31, 2019
Debt Disclosure [Abstract]  
Outstanding Amount of Credit Facilities
Amounts outstanding under the Company’s credit facilities, net of debt issuance costs consist of the following:
 December 31,
20192018
Unsecured Revolving Credit Facility, $1,500,000, LIBOR plus 1.50% variable, due October 30, 2022
$477,873 $604,383 
Unsecured Term Loan A, $1,100,000, LIBOR plus 1.50% variable, due October 30, 2022
962,500 1,045,000 
Unsecured term notes:
July 29, 2016, Series G Senior Unsecured Notes, $50,000, 2.64% fixed, due July 29, 2021
50,000 50,000 
December 2, 2013, Series F Senior Unsecured Notes, $250,000, 3.24% fixed, due December 2, 2023
250,000 250,000 
June 30, 2019, Series A Senior Unsecured Notes, A$155,000, 3.10% fixed, due June 30, 2024
108,422 — 
October 30, 2017, Series J Senior Unsecured Notes, €225,000, 1.40% fixed, due October 30, 2024
252,000 257,468 
June 30, 2019, Series B Senior Unsecured Notes, A$155,000, 3.43% fixed, due June 30, 2026
108,422  
November 30, 2016, Series H Senior Unsecured Notes, $250,000, 3.24% fixed, due November 30, 2026
250,000 250,000 
October 30, 2017, Series K Senior Unsecured Notes, €250,000, 1.81% fixed, due October 30, 2027
280,000 286,075 
October 30, 2017, Series I Senior Unsecured Notes, $120,000, 3.70% fixed, due October 30, 2027
120,000 120,000 
May 31, 2019, Series A Senior Unsecured Notes, €50,000, 1.55% fixed, due May 31, 2029
56,000  
October 30, 2017, Series L Senior Unsecured Notes, €125,000, 2.02% fixed, due October 30, 2029
140,000 143,038 
May 31, 2019, Series B Senior Unsecured Notes, €100,000, 1.74% fixed, due May 31, 2031
112,000  
October 30, 2017, Series M Senior Unsecured Notes, €100,000, 2.32% fixed, due October 30, 2032
112,000 114,430 
May 31, 2019, Series C Senior Unsecured Notes, €100,000, 1.95% fixed, due May 31, 2034
112,000  
Other unsecured debt
40,340 27,093 
Total unsecured debt
3,431,557 3,147,487 
Unamortized debt issuance costs
(5,458)(4,207)
Total debt
3,426,099 3,143,280 
Less debt due within one year
624,043 711,147 
Long-term debt, excluding current portion
$2,802,056 $2,432,133 
Schedule of Maturities of Long-term Debt Approximate maturities under the Company’s credit facilities, net of debt issuance costs, are as follows:
2020$624,043 
2021189,573 
2022713,952 
2023249,240 
2024359,898 
Thereafter1,289,393 
$3,426,099