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Debt - Additional Information (Detail)
3 Months Ended 12 Months Ended
Oct. 04, 2018
USD ($)
Sep. 17, 2018
USD ($)
$ / shares
Jun. 06, 2018
USD ($)
May 18, 2017
USD ($)
Mar. 14, 2016
EUR (€)
Mar. 14, 2016
USD ($)
Apr. 04, 2013
USD ($)
Dec. 31, 2019
USD ($)
Sep. 30, 2019
USD ($)
Mar. 31, 2019
USD ($)
Dec. 31, 2019
USD ($)
Dec. 31, 2018
USD ($)
Sep. 26, 2018
USD ($)
Sep. 25, 2018
EUR (€)
Sep. 25, 2018
USD ($)
Jun. 06, 2018
EUR (€)
Jun. 06, 2018
USD ($)
Mar. 14, 2016
USD ($)
Schedule Of Borrowings [Line Items]                                    
Amount still available for additional borrowings               $ 1,000,000,000.0     $ 1,000,000,000.0              
Debt               4,382,396,000     $ 4,382,396,000 $ 4,553,059,000            
Gross Proceeds   $ 825,000,000.0                                
Quarterly installments | $ / shares   $ 0.75                                
Initial installment | $ / shares   $ 0.73333                                
Interest and partial repayment of principal   3.79%                                
Gain (loss) on pre-issuance hedges           $ (3,200,000)                        
Repurchase price of principal amount of Senior Notes in percentage                     101.00%              
Commercial Paper [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Short term debt, term                     90 days              
Short-term debt               0     $ 0 0            
Maximum amount outstanding                       85,000,000            
Loans Payable [Member] | Term Loan Credit Agreement [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Debt, face amount                                 $ 350,000,000.0  
Debt Instrument, Term     3 years                              
Amortization rate     10.00%                              
Maximum ratio of net debt to EBI TDA with step-downs over time     4.50                              
Repayments of Debt               43,000,000 $ 42,000,000 $ 25,000,000                
Senior notes               $ 239,621,000     $ 239,621,000 349,163,000            
Interest rate of debt               3.65%     3.65%              
Senior notes - 2017 [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Debt, face amount       $ 500,000,000.0                            
Debt Instrument, Term       30 years                            
Interest rate of debt       4.375%                            
Senior notes discount       $ 1,800,000                            
Proceeds related to the issuance of Senior Notes       493,900,000                            
Underwriting discount       4,400,000                            
Other deferred costs       900,000                            
Gain (loss) on pre-issuance hedges       $ (5,300,000)                            
Senior Notes - 2016 [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Debt, face amount | €         € 500,000,000.0                          
Debt Instrument, Term         8 years 8 years                        
Interest rate of debt         1.75%                         1.75%
Senior notes discount | €         € 900,000                          
Proceeds related to the issuance of Senior Notes | €         496,000,000.0                          
Underwriting discount | €         € 3,100,000                          
Other deferred costs                                   $ 1,300,000
Senior Notes - 2007 [Member] | Minimum [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Interest rate of debt               6.40%     6.40%              
Senior Notes - 2007 [Member] | Maximum [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Interest rate of debt               6.82%     6.82%              
Senior Notes - 2013 [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Interest rate of debt             3.20%                      
Senior notes discount             $ 300,000                      
Proceeds related to the issuance of Senior Notes             297,800,000                      
Underwriting discount             1,900,000                      
Senior notes             300,000,000.0                      
Other deferred financing costs             $ 900,000                      
Senior Notes, Euro Notes, 2021 [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Senior notes               $ 334,561,000     $ 334,561,000 337,704,000   € 300,000,000        
Interest rate of debt               0.82%     0.82%     0.50% 0.50%      
Debt                           € 297,700,000 $ 349,500,000      
Senior Notes, Euro Notes, 2026 [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Senior notes               $ 890,183,000     $ 890,183,000 899,886,000   € 800,000,000        
Interest rate of debt               1.93%     1.93%     1.80% 1.80%      
Debt                           € 794,100,000 $ 932,200,000      
London Interbank Offered Rate (LIBOR) [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Margin on variable rate                     1.125%              
London Interbank Offered Rate (LIBOR) [Member] | Loans Payable [Member] | Term Loan Credit Agreement [Member] | Minimum [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Margin on variable rate     0.75%                              
London Interbank Offered Rate (LIBOR) [Member] | Loans Payable [Member] | Term Loan Credit Agreement [Member] | Maximum [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Margin on variable rate     2.00%                              
Base Rate [Member] | Loans Payable [Member] | Term Loan Credit Agreement [Member] | Minimum [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Margin on variable rate     0.00%                              
Base Rate [Member] | Loans Payable [Member] | Term Loan Credit Agreement [Member] | Maximum [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Margin on variable rate     1.00%                              
Citibank, N.A [Member] | Tranche A Revolving Credit Facility [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Revolving credit facility                                 585,000,000  
Line of credit facility, maximum borrowing capacity, sublimit                                 25,000,000  
Citibank, N.A [Member] | Tranche B Revolving Credit Facility [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Revolving credit facility                                 415,000,000  
Line of credit facility, maximum borrowing capacity, sublimit                               € 50,000,000 $ 25,000,000  
Citibank, N.A [Member] | Revolving Loan Facility [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Debt related commitment fees and debt issuance costs     $ 700,000                              
Line of credit               $ 0     $ 0              
Citibank, N.A [Member] | London Interbank Offered Rate (LIBOR) [Member] | Revolving Loan Facility [Member] | Minimum [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Margin on variable rate     0.75%                              
Citibank, N.A [Member] | London Interbank Offered Rate (LIBOR) [Member] | Revolving Loan Facility [Member] | Maximum [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Margin on variable rate     1.75%                              
Citibank, N.A [Member] | Base Rate [Member] | Revolving Loan Facility [Member] | Minimum [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Margin on variable rate     0.00%                              
Citibank, N.A [Member] | Base Rate [Member] | Revolving Loan Facility [Member] | Maximum [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Margin on variable rate     0.75%                              
Carrying Amount [Member] | Senior Notes - 2020 [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Senior notes               299,381,000     299,381,000 298,499,000            
Carrying Amount [Member] | Senior Notes - 2020 [Member] | Unsecured Debt [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Senior notes                         $ 300,000,000          
Interest rate of debt                         3.40%          
Debt                         $ 298,900,000          
Carrying Amount [Member] | Senior Notes - 2028 [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Senior notes               396,688,000     396,688,000 396,377,000 $ 400,000,000          
Interest rate of debt                         4.45%          
Debt                         $ 397,000,000.0          
Carrying Amount [Member] | Senior Notes - 2048 [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Senior notes               $ 785,996,000     $ 785,996,000 $ 785,788,000 $ 800,000,000          
Interest rate of debt                         5.00%          
Debt                         $ 787,200,000          
Amortizing Note                                    
Schedule Of Borrowings [Line Items]                                    
Gross Proceeds   $ 139,500,000                                
Amortizing Note | Frutarom Industries Ltd. [Member]                                    
Schedule Of Borrowings [Line Items]                                    
Gross Proceeds $ 139,500,000