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Debt (Schedule of long-term debt instruments) (Details) - USD ($)
1 Months Ended 9 Months Ended
Oct. 02, 2017
Sep. 30, 2017
Aug. 31, 2017
Jun. 30, 2017
Feb. 28, 2017
Sep. 30, 2017
Sep. 30, 2016
Dec. 31, 2016
Debt Instrument                
Total debt   $ 8,371,000,000       $ 8,371,000,000   $ 7,790,000,000
Less short-term portion   (694,000,000)       (694,000,000)   (597,000,000)
Total long-term debt   7,677,000,000       7,677,000,000   7,193,000,000
Loss on extinguishment of debt           43,000,000 $ 36,000,000  
Line of Credit | $3.0 billion ABL Facility expiring 2021                
Debt Instrument                
Maximum borrowing capacity   3,000,000,000       3,000,000,000    
Total debt   408,000,000       408,000,000   1,645,000,000
Remaining borrowing capacity under credit facility   $ 2,500,000,000       $ 2,500,000,000    
Credit facility interest rate at period end   2.80%       2.80%    
Letters of credit outstanding   $ 39,000,000       $ 39,000,000    
Average outstanding amount           $ 1,200,000,000    
Weighted average interest rate, long-term   2.60%       2.60%    
ABL Facility maximum month-end outstanding amount           $ 1,800,000,000    
Senior notes | 7 5/8 percent Senior Notes                
Debt Instrument                
Stated interest rate   7.625%       7.625%    
Total debt   $ 223,000,000       $ 223,000,000   $ 469,000,000
Principal amount redeemed       $ 250,000,000        
Loss on extinguishment of debt       $ 12,000,000        
Senior notes | 6 1/8 percent Senior Notes                
Debt Instrument                
Stated interest rate               6.125%
Total debt   0       0   $ 936,000,000
Principal amount redeemed   $ 925,000,000       $ 925,000,000    
Loss on extinguishment of debt     $ 31,000,000          
Senior notes | 4 5/8 percent Senior Secured Notes                
Debt Instrument                
Stated interest rate   4.625%       4.625%    
Total debt   $ 992,000,000       $ 992,000,000   991,000,000
Senior notes | 5 3/4 percent Senior Notes due 2024                
Debt Instrument                
Stated interest rate   5.75%       5.75%    
Total debt   $ 840,000,000       $ 840,000,000   839,000,000
Senior notes | 5 1/2 percent Senior Notes due 2025                
Debt Instrument                
Stated interest rate   5.50%       5.50%    
Total debt   $ 793,000,000       $ 793,000,000   792,000,000
Senior notes | 4 5/8 percent Senior Notes due 2025                
Debt Instrument                
Stated interest rate   4.625%       4.625%    
Total debt   $ 739,000,000       $ 739,000,000   0
Net proceeds from debt issuance   $ 741,000,000            
Senior notes | 5 7/8 percent Senior Notes due 2026                
Debt Instrument                
Stated interest rate   5.875%       5.875%    
Total debt   $ 998,000,000       $ 998,000,000   740,000,000
Net proceeds from debt issuance         $ 258,000,000      
Aggregate principal amount outstanding   1,000,000,000       1,000,000,000    
Unamortized issuance premium   $ 11,000,000       $ 11,000,000    
Effective interest rate   5.70%       5.70%    
Senior notes | 5 1/2 percent Senior Notes due 2027                
Debt Instrument                
Stated interest rate   5.50%       5.50%    
Total debt   $ 990,000,000       $ 990,000,000   739,000,000
Net proceeds from debt issuance         250,000,000      
Aggregate principal amount outstanding   1,000,000,000       1,000,000,000    
Unamortized issuance premium   $ 3,000,000       $ 3,000,000    
Effective interest rate   5.50%       5.50%    
Senior notes | 4 7/8 percent Senior Notes due 2028                
Debt Instrument                
Stated interest rate   4.875%       4.875%    
Total debt   $ 912,000,000       $ 912,000,000   0
Net proceeds from debt issuance     913,000,000          
Senior notes | 4 7/8 percent Senior Notes due 2028                
Debt Instrument                
Stated interest rate   4.875%       4.875%    
Total debt   $ 741,000,000       $ 741,000,000   0
Net proceeds from debt issuance   743,000,000            
Unamortized issuance premium   $ 2,000,000       $ 2,000,000    
Effective interest rate   4.84%       4.84%    
Capital lease obligations                
Debt Instrument                
Total debt   $ 69,000,000       $ 69,000,000   71,000,000
Line of Credit | Accounts Receivable Securitization Facility expiring 2018                
Debt Instrument                
Maximum borrowing capacity     $ 675,000,000          
Total debt   666,000,000       666,000,000   $ 568,000,000
Short term debt extension period     364 days          
Remaining borrowing capacity under credit facility   $ 9,000,000       $ 9,000,000    
Credit facility interest rate at period end   2.00%       2.00%    
Average outstanding amount under facility           $ 584,000,000    
Weighted average interest rate, short-term   1.80%       1.80%    
A/R Securitization maximum month-end outstanding amount           $ 667,000,000    
Collateral amount   $ 769,000,000       769,000,000    
On or after October 15, 2020 | Senior notes | 4 5/8 percent Senior Notes due 2025                
Debt Instrument                
Redemption price, percentage   102.313%            
2022 and thereafter | Senior notes | 4 5/8 percent Senior Notes due 2025                
Debt Instrument                
Redemption price, percentage   100.00%            
On or after January 15, 2023 | Senior notes | 4 7/8 percent Senior Notes due 2028                
Debt Instrument                
Redemption price, percentage     102.438%          
On or after January 15, 2023 | Senior notes | 4 7/8 percent Senior Notes due 2028                
Debt Instrument                
Redemption price, percentage   102.438%            
2026 and thereafter | Senior notes | 4 7/8 percent Senior Notes due 2028                
Debt Instrument                
Redemption price, percentage     100.00%          
2026 and thereafter | Senior notes | 4 7/8 percent Senior Notes due 2028                
Debt Instrument                
Redemption price, percentage   100.00%            
Event Of Change Of Control | Senior notes | 4 5/8 percent Senior Notes due 2025                
Debt Instrument                
Redemption price, percentage   101.00%            
Event Of Change Of Control | Senior notes | 4 7/8 percent Senior Notes due 2028                
Debt Instrument                
Redemption price, percentage     101.00%          
Event Of Change Of Control | Senior notes | 4 7/8 percent Senior Notes due 2028                
Debt Instrument                
Redemption price, percentage   101.00%            
Subsequent Event                
Debt Instrument                
Total debt $ 9,700,000,000              
Neff Corporation                
Debt Instrument                
Face amount   $ 2,425,000,000       2,425,000,000    
Aggregate principal amount outstanding   1,400,000,000       1,400,000,000    
Neff Corporation | Subsequent Event                
Debt Instrument                
Aggregate consideration paid $ 1,300,000,000              
URNA | Senior notes | 4 5/8 percent Senior Notes due 2025                
Debt Instrument                
Face amount   750,000,000       750,000,000    
URNA | Senior notes | 5 7/8 percent Senior Notes due 2026                
Debt Instrument                
Face amount         250,000,000      
URNA | Senior notes | 5 1/2 percent Senior Notes due 2027                
Debt Instrument                
Face amount         $ 250,000,000      
URNA | Senior notes | 4 7/8 percent Senior Notes due 2028                
Debt Instrument                
Face amount     $ 925,000,000          
URNA | Senior notes | 4 7/8 percent Senior Notes due 2028                
Debt Instrument                
Face amount   $ 750,000,000       $ 750,000,000