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Long-Term Debt - Additional Information (Detail) (USD $)
0 Months Ended 3 Months Ended 9 Months Ended 3 Months Ended 9 Months Ended 0 Months Ended 0 Months Ended 0 Months Ended
May 13, 2011
May 13, 2011
Sep. 30, 2014
7.75% senior notes
Dec. 31, 2013
7.75% senior notes
May 13, 2011
7.75% senior notes
Sep. 30, 2014
First Lien Credit Facilities
Sep. 30, 2014
First Lien Credit Facilities
Sep. 30, 2013
Second Lien Credit Facilities
Sep. 30, 2013
Second Lien Credit Facilities
Dec. 23, 2013
Line of Credit
Amended and Restated Credit Agreement
Sep. 30, 2014
Line of Credit
Amended and Restated Credit Agreement
Dec. 23, 2013
Line of Credit
Amended and Restated Credit Agreement
Sep. 30, 2014
Securitization facility
Amended and Restated Credit Agreement
Dec. 23, 2013
Securitization facility
Amended and Restated Credit Agreement
Dec. 23, 2013
Letter of Credit
Amended and Restated Credit Agreement
Dec. 06, 2013
Accounts Receivable Securitization Facility
Securitization Facility
Sep. 30, 2014
Accounts Receivable Securitization Facility
Securitization Facility
Dec. 06, 2013
Accounts Receivable Securitization Facility
Securitization Facility
Dec. 23, 2013
LIBOR
Line of Credit
Amended and Restated Credit Agreement
Dec. 06, 2013
LIBOR
Accounts Receivable Securitization Facility
Securitization Facility
Dec. 23, 2013
Base Rate
Line of Credit
Amended and Restated Credit Agreement
Dec. 23, 2013
Federal Funds Rate
Line of Credit
Amended and Restated Credit Agreement
Dec. 06, 2013
Index Rate
Accounts Receivable Securitization Facility
Securitization Facility
Sep. 30, 2014
Maximum
Line of Credit
Amended and Restated Credit Agreement
Sep. 30, 2014
Minimum
Line of Credit
Amended and Restated Credit Agreement
Line of Credit Facility [Line Items]                                                  
Term loan                       $ 2,025,000,000.000   $ 200,000,000.0 $ 30,000,000.0     $ 50,000,000.0              
Basis spread on LIBOR/base rate                   1.00%                 3.25% 2.50% 2.25% 0.50% 1.00%    
Floor rate                   2.00%                 1.00%            
Amortization rate per annum                   1.00%                              
Interest rate per annum                     4.25%                            
Consolidated net leverage ratio                                               5.75 4.00
Percentage ownership of capital stock of any future first-tier foreign subsidiaries                   66.00%                              
Amount outstanding                     1,954,000,000   0       0                
Senior Notes issued   610,000,000.0                                              
Interest on borrowings, per annum     7.75% 7.75% 7.75%                                        
Amount repaid under outstanding term loan facility 575,800,000                                                
Agreement maturity date May 01, 2019                                                
Percentage of Senior Notes to be redeemed prior to May 1, 2014 35.00%                                                
Percentage of Senior Notes to be redeemed prior to May 1, 2015 100.00%                                                
Amortization of debt discount and debt issuance costs           $ 2,300,000 $ 7,000,000 $ 2,300,000 $ 7,500,000                                
Term of revolving accounts receivable securitization facility                               5 years