v3.20.2
Debt - Narrative (Details)
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12 Months Ended |
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USD ($)
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USD ($)
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USD ($)
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USD ($)
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USD ($)
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USD ($)
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USD ($)
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USD ($)
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USD ($)
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USD ($)
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USD ($)
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USD ($)
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EUR (€)
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USD ($)
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Debt Instrument [Line Items] |
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Gain (loss) from extinguishment of debt |
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$ 76,200,000
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$ 0
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$ 0
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Long-term debt |
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2,352,300,000
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Variable Interest Entity, Not Primary Beneficiary |
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Debt Instrument [Line Items] |
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Debt issuance costs, gross |
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700,000
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Long-term debt |
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77,000,000.0
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Unamortized discount |
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100,000
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Revolving Credit Facility |
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Debt Instrument [Line Items] |
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Revolving credit facility |
$ 600,000,000.0
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$ 890,000,000.0
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Debt issuance costs |
$ 3,500,000
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Aggregate borrowing availability |
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579,300,000
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Outstanding letters of credit |
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$ 20,700,000
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Stated interest rate |
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0.00%
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5.50% Notes, due July 15, 2030 |
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Debt Instrument [Line Items] |
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Stated interest rate |
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5.50%
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5.00% Notes, due October 1, 2029 |
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Debt Instrument [Line Items] |
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Stated interest rate |
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5.00%
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5.00%
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5.00%
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Aggregate borrowing amount |
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$ 300,000,000.0
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Minimum percentage of aggregate outstanding principal amount to declare acceleration of debt in case of default |
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25.00%
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Capitalized debt issuance costs |
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$ 4,100,000
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4.00% Notes, due October 1, 2026 |
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Debt Instrument [Line Items] |
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Stated interest rate |
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4.00%
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4.00%
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4.00%
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Aggregate borrowing amount | € |
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€ 425,000,000
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Minimum percentage of aggregate outstanding principal amount to declare acceleration of debt in case of default |
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25.00%
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Capitalized debt issuance costs |
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$ 7,700,000
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5.75% Notes, due July 15, 2025 |
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Debt Instrument [Line Items] |
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Stated interest rate |
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5.75%
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5.75%
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5.80%
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Aggregate borrowing amount |
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$ 1,000,000,000
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Capitalized debt issuance costs |
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$ 19,700,000
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6.125% Notes, due December 15, 2024 |
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Debt Instrument [Line Items] |
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Stated interest rate |
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6.125%
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6.125%
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6.10%
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Aggregate borrowing amount |
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$ 250,000,000
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Capitalized debt issuance costs |
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$ 4,600,000
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6.625% Notes, due November 15, 2022 |
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Debt Instrument [Line Items] |
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Stated interest rate |
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6.625%
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6.625%
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6.625%
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6.625%
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6.60%
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6.625%
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Aggregate borrowing amount |
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$ 570,000,000.0
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$ 570,000,000
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Percentage of aggregate principal amount of debt that issuer may redeem with cash equal to net proceeds issuer raises in equity offerings at specified redemption prices |
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58.80%
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Repayment of notes |
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285,000,000.0
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Gain (loss) from extinguishment of debt |
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$ (4,600,000)
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(9,600,000)
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Repayment of premium on debt |
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2,900,000
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6,300,000
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Write-off of deferred financing costs |
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1,700,000
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$ 3,300,000
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Repurchased aggregate principal amount |
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$ 167,600,000
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Minimum | Revolving Credit Facility | London Interbank Offered Rate (LIBOR) |
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Debt Instrument [Line Items] |
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Percentage over base variable rate |
0.75%
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1.75%
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Minimum | Revolving Credit Facility | Base Rate |
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Debt Instrument [Line Items] |
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Percentage over base variable rate |
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0.75%
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Minimum | 5.75% Notes, due July 15, 2025 |
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Debt Instrument [Line Items] |
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Percentage of aggregate principal amount of debt that issuer may redeem with cash equal to net proceeds issuer raises in equity offerings at specified redemption prices |
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35.00%
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Percentage of holders of aggregate outstanding principal amount to declare acceleration of amounts due in any event of default |
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25.00%
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Minimum | 6.125% Notes, due December 15, 2024 |
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Debt Instrument [Line Items] |
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Percentage of holders of aggregate outstanding principal amount to declare acceleration of amounts due in any event of default |
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25.00%
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Minimum | 6.625% Notes, due November 15, 2022 |
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Debt Instrument [Line Items] |
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Debt redemption notice period |
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30 days
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Maximum | Revolving Credit Facility |
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Debt Instrument [Line Items] |
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Maximum total leverage ratio |
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0.060
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Maximum | Revolving Credit Facility | London Interbank Offered Rate (LIBOR) |
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Debt Instrument [Line Items] |
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Percentage over base variable rate |
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2.75%
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Maximum | Revolving Credit Facility | Base Rate |
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Debt Instrument [Line Items] |
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Percentage over base variable rate |
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1.75%
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Maximum | 5.00% Notes, due October 1, 2029 |
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Debt Instrument [Line Items] |
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Debt price as percentage of par value |
100.00%
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Percentage of aggregate principal amount of debt that issuer may redeem with cash equal to net proceeds issuer raises in equity offerings at specified redemption prices |
35.00%
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Maximum | 4.00% Notes, due October 1, 2026 |
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Debt Instrument [Line Items] |
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Debt price as percentage of par value |
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100.00%
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Percentage of aggregate principal amount of debt that issuer may redeem with cash equal to net proceeds issuer raises in equity offerings at specified redemption prices |
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35.00%
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Maximum | 5.75% Notes, due July 15, 2025 |
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Debt Instrument [Line Items] |
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Debt price as percentage of par value |
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100.00%
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Maximum | 6.125% Notes, due December 15, 2024 |
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Debt Instrument [Line Items] |
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Debt price as percentage of par value |
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100.00%
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Percentage of aggregate principal amount of debt that issuer may redeem with cash equal to net proceeds issuer raises in equity offerings at specified redemption prices |
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35.00%
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Maximum | 6.625% Notes, due November 15, 2022 |
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Debt Instrument [Line Items] |
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Debt redemption notice period |
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60 days
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Senior Notes | 5.50% Notes, due July 15, 2030 |
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Debt Instrument [Line Items] |
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Stated interest rate |
5.50%
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Aggregate borrowing amount |
$ 300,000,000.0
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Debt issuance costs, gross |
$ 6,200,000
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Senior Notes | 5.50% Notes, due July 15, 2030 | Prior to July 15, 2025 |
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Debt Instrument [Line Items] |
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Redemption price percentage |
100.00%
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Senior Notes | 5.50% Notes, due July 15, 2030 | Before July, 2023 |
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Debt Instrument [Line Items] |
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Redemption price, percentage of principal amount redeemed |
35.00%
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Unsecured Debt | 6.625% Notes, due November 15, 2022 |
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Debt Instrument [Line Items] |
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Stated interest rate |
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6.625%
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Gain (loss) from extinguishment of debt |
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$ (2,600,000)
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Write-off of deferred financing costs |
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$ 1,100,000
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Long-term debt, gross |
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$ 117,400,000
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Salus | Collateralized Loan Obligations |
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Debt Instrument [Line Items] |
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Aggregate notional principle amount |
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$ 578,500,000
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X |
- DefinitionCapitalized Debt Issuance Costs
+ References
+ Details
Name: |
spb_CapitalizedDebtIssuanceCosts |
Namespace Prefix: |
spb_ |
Data Type: |
xbrli:monetaryItemType |
Balance Type: |
debit |
Period Type: |
duration |
|
X |
- DefinitionDebt Instrument, Covenant, Leverage Ratio
+ References
+ Details
Name: |
spb_DebtInstrumentCovenantLeverageRatio |
Namespace Prefix: |
spb_ |
Data Type: |
xbrli:pureItemType |
Balance Type: |
na |
Period Type: |
instant |
|
X |
- DefinitionDebt instrument redemption notice period.
+ References
+ Details
Name: |
spb_DebtInstrumentRedemptionNoticePeriod |
Namespace Prefix: |
spb_ |
Data Type: |
xbrli:durationItemType |
Balance Type: |
na |
Period Type: |
duration |
|
X |
- DefinitionDebt price as percentage of par value.
+ References
+ Details
Name: |
spb_DebtPriceAsPercentageOfParValue |
Namespace Prefix: |
spb_ |
Data Type: |
num:percentItemType |
Balance Type: |
na |
Period Type: |
instant |
|
X |
- DefinitionMinimum percentage of aggregate outstanding principal amount to declare acceleration of debt in case of default.
+ References
+ Details
Name: |
spb_MinimumPercentageOfAggregateOutstandingPrincipalAmountToDeclareAccelerationOfDebtInCaseOfDefault |
Namespace Prefix: |
spb_ |
Data Type: |
num:percentItemType |
Balance Type: |
na |
Period Type: |
instant |
|
X |
- DefinitionPercentage of aggregate principal amount of debt that issuer may redeem with cash equal to net proceeds Issuer raises in equity offerings at specified redemption prices.
+ References
+ Details
Name: |
spb_PercentageOfAggregatePrincipalAmountOfDebtThatIssuerMayRedeemWithCashEqualToNetProceedsIssuerRaisesInEquityOfferingsAtSpecifiedRedemptionPrices |
Namespace Prefix: |
spb_ |
Data Type: |
num:percentItemType |
Balance Type: |
na |
Period Type: |
instant |
|
X |
- DefinitionPercentage of holders of aggregate outstanding principal amount to declare acceleration of amounts due in any event of default.
+ References
+ Details
Name: |
spb_PercentageOfHoldersOfAggregateOutstandingPrincipalAmountToDeclareAccelerationOfAmountsDueInAnyEventOfDefault |
Namespace Prefix: |
spb_ |
Data Type: |
num:percentItemType |
Balance Type: |
na |
Period Type: |
instant |
|
X |
- DefinitionPercentage points added to the reference rate to compute the variable rate on the debt instrument.
+ References
+ Details
Name: |
us-gaap_DebtInstrumentBasisSpreadOnVariableRate1 |
Namespace Prefix: |
us-gaap_ |
Data Type: |
num:percentItemType |
Balance Type: |
na |
Period Type: |
duration |
|
X |
- DefinitionAmount, before unamortized (discount) premium and debt issuance costs, of long-term debt. Includes, but is not limited to, notes payable, bonds payable, commercial loans, mortgage loans, convertible debt, subordinated debt and other types of debt.
+ References
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