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Long-term Debt Textuals (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2015
Mar. 31, 2015
Mar. 31, 2014
Jun. 30, 2015
Mar. 16, 2015
Feb. 05, 2015
Sep. 24, 2013
Debt Instrument [Line Items]              
Payment of deferred financing costs   $ 28.4 $ 0.0        
Loss on early debt extinguishment   $ 59.5 $ 0.0        
10.00% Senior Secured Second Lien Notes Due March 2022 [Member]              
Debt Instrument [Line Items]              
Stated interest rate - percentage   10.00%          
Percent of Company Stock Pledged   65.00%          
Percentage of Equity Interests of Foreign Subsidiaries   65.00%          
Debt Instrument, Face Amount         $ 1,000.0    
Percent of Specified Consolidated Net Tangible Assets   15.00%          
Value of Specified Consolidated Net Tangible Assets   $ 1,700.0          
Principal Property, Book Value   3,000.0          
Property Not Constituting Principal Property, Book Value   3,000.0          
Amount of Equity Interests of Foreign Subsidiaries and Company Stock Pledged, Book Value   $ 3,500.0          
Redemption price of bonds as percentage of principal amount plus a make whole premium and any accrued unpaid interest to the redemption date   100.00%          
Redeemable Percent of the Aggregate Principal Amount of the Second Lien Notes   35.00%          
Debt Instrument Issue Price Percentage   97.566%          
Debt Instrument, Unamortized Discount   $ 24.3          
Debt Issuance Cost   20.0          
Payment of deferred financing costs   $ 16.6          
7.875% Senior Notes due November 2026 [Member]              
Debt Instrument [Line Items]              
Stated interest rate - percentage   7.875%          
Revolving Credit Facility [Member]              
Debt Instrument [Line Items]              
Credit agreement borrowing capacity   $ 1,650.0          
2013 Term Loan Facility due September 2020 [Member]              
Debt Instrument [Line Items]              
Credit agreement borrowing capacity   1,200.0          
2013 Credit Facility [Member]              
Debt Instrument [Line Items]              
Percent of Company Stock Pledged             65.00%
Percentage of Equity Interests of Foreign Subsidiaries           65.00%  
Line Of Credit Facility Annual Dividend Threshold   27.5          
Line of Credit Facility General Restricted Payments   100.0          
Payments of Debt Restructuring Costs   $ 11.8          
6.00% Senior Notes due November 2018 [Member]              
Debt Instrument [Line Items]              
Stated interest rate - percentage   6.00%          
6.25% Senior Notes due November 2021 [Member]              
Debt Instrument [Line Items]              
Stated interest rate - percentage   6.25%          
6.50% Senior Notes due September 2020 [Member]              
Debt Instrument [Line Items]              
Stated interest rate - percentage   6.50%          
7.375% Senior Notes due November 2016 [Member]              
Debt Instrument [Line Items]              
Stated interest rate - percentage   7.375%          
Debt Instrument, Repurchase Face Amount   $ 650.0          
Debt Instrument, Repurchased Amount   566.9          
Loss on early debt extinguishment   59.5          
Tender Offer Premiums Paid on the 2016 Senior Notes Repurchase   58.2          
Write-off of Associated Unamortized Debt Issuance Costs   $ 1.3          
Scenario, Forecast [Member] | 7.375% Senior Notes due November 2016 [Member]              
Debt Instrument [Line Items]              
Loss on early debt extinguishment $ 8.4            
Write-off of Associated Unamortized Debt Issuance Costs 0.2            
Debt Instrument Redemption Amount       $ 83.1      
Make Whole Premiums Paid on Redemption of 2016 Senior Notes $ 8.2