XML 102 R86.htm IDEA: XBRL DOCUMENT v3.6.0.2
Share-Based Compensation Plans (Schedule of Summary of Restricted Stock and Restricted Stock Units) (Details) - $ / shares
shares in Thousands
12 Months Ended
Dec. 31, 2016
Dec. 31, 2015
Performance Restricted Stock Units [Member]    
Share-based Compensation Arrangement by Share-based Payment Award    
Nonvested, beginning balance, restricted stock and units [1] 5,334  
Granted, restricted stock and units 1,578  
Vested, restricted stock and units (1,199)  
Forfeited, restricted stock and units (791)  
Nonvested, ending balance, restricted stock and units [1] 4,922 5,334
Nonvested, beginning balance, weighted-average grant- date fair value $ 13.51  
Granted, weighted-average grant-date fair value 4.47  
Vested, weighted-average grant-date fair value 20.20  
Forfeited, weighted average grant-date fair value 13.39  
Nonvested, ending balance, weighted-average grant-date fair value $ 8.99 $ 13.51
Restricted Stock Units (RSUs) [Member]    
Share-based Compensation Arrangement by Share-based Payment Award    
Nonvested, beginning balance, restricted stock and units 6,022  
Granted, restricted stock and units 2,150  
Vested, restricted stock and units (1,740)  
Forfeited, restricted stock and units (1,076)  
Nonvested, ending balance, restricted stock and units 5,356 6,022
Nonvested, beginning balance, weighted-average grant- date fair value $ 12.62  
Granted, weighted-average grant-date fair value 4.27  
Vested, weighted-average grant-date fair value 16.62  
Forfeited, weighted average grant-date fair value 9.45  
Nonvested, ending balance, weighted-average grant-date fair value $ 8.64 $ 12.62
2016 [Member] | Performance Restricted Stock Units [Member]    
Share-based Compensation Arrangement by Share-based Payment Award    
Expected Avon volatility(2) [2] 56.00%  
Forfeited, weighted average grant-date fair value $ 4.42  
Expected average volatility(3) [3] 28.00%  
Expected dividends 0.00%  
2015 [Member] | Performance Restricted Stock Units [Member]    
Share-based Compensation Arrangement by Share-based Payment Award    
Expected Avon volatility(2) [2]   38.00%
Forfeited, weighted average grant-date fair value   $ 7.49
Expected dividends   3.00%
[1] Based on initial target payout.
[2] Expected Avon volatility was based on the weekly historical volatility of our stock price, over a period similar to the three year performance period of the 2016 PRSUs and the three year service period of the 2015 PRSUs.
[3] Expected average volatility was based on the weekly historical volatility of the stock prices of each member of companies included in the S&P 400 index as of the date of the grant, over a period similar to the three year performance period of the 2016 PRSUs.