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BANK BORROWINGS AND LONG-TERM DEBT - Narrative (Details)
1 Months Ended 12 Months Ended
Dec. 31, 2021
HUF (Ft)
Jan. 31, 2021
Aug. 31, 2020
USD ($)
May 31, 2020
USD ($)
Nov. 30, 2019
USD ($)
Jun. 30, 2019
USD ($)
Jul. 31, 2018
USD ($)
Jan. 31, 2017
EUR (€)
Jun. 30, 2015
USD ($)
Mar. 31, 2022
USD ($)
Mar. 31, 2021
USD ($)
Mar. 31, 2020
USD ($)
Dec. 31, 2021
EUR (€)
Jan. 01, 2021
USD ($)
Apr. 30, 2019
JPY (¥)
Feb. 28, 2013
USD ($)
Bank borrowings and long-term debt                                
Weighted-average interest rate                   4.00% 4.30%          
Long-term debt                   $ 4,215,000,000            
Proceeds from bank borrowings and long-term debt                   759,000,000 $ 2,065,000,000 $ 1,070,000,000        
Term Loan                                
Bank borrowings and long-term debt                                
Debt instrument term             5 years                  
Other Credit Lines                                
Bank borrowings and long-term debt                                
Borrowings outstanding                   0            
Uncommitted revolving credit facilities, lines of credit and other loans                   $ 325,000,000            
3.600% HUF Bonds due December 2031                                
Bank borrowings and long-term debt                                
Debt interest rate                   3.60%            
Long-term debt                   $ 301,000,000 0          
3.600% HUF Bonds due December 2031 | Term Loan                                
Bank borrowings and long-term debt                                
Debt instrument | Ft Ft 100,000,000,000                              
Net of premium                   $ 301,400,000            
Percentage of initial debt payment due 10.00%                       10.00%      
Percentage of remainder debt payment due 70.00%                       70.00%      
Debt interest rate 3.60%                       3.60%      
Credit Agreement which Matures in January 2026 | Revolving Credit Facility                                
Bank borrowings and long-term debt                                
Debt instrument                           $ 2,000,000,000    
Credit Agreement which Matures in January 2026 | Revolving Credit Facility | Fed Funds Effective Rate                                
Bank borrowings and long-term debt                                
Debt instrument, basis spread on variable rate (as a percent)   0.50%                            
Credit Agreement which Matures in January 2026 | Revolving Credit Facility | Three-month Yen LIBOR                                
Bank borrowings and long-term debt                                
Debt instrument, basis spread on variable rate (as a percent)   1.00%                            
Credit Agreement which Matures in January 2026 | Line of Credit                                
Bank borrowings and long-term debt                                
Debt instrument                           360,000,000    
Credit Agreement which Matures in January 2026 | Letter of Credit                                
Bank borrowings and long-term debt                                
Debt instrument                           $ 175,000,000    
Fronting fee interest rate                           0.125%    
Line of credit, increase (decrease) in percentage usage fee   0.05%                            
Line of credit, increase (decrease) in percentage commitment fee   0.01%                            
Credit Agreement which Matures in January 2026 | Minimum | Revolving Credit Facility                                
Bank borrowings and long-term debt                                
Debt instrument, basis spread on variable rate (as a percent)   0.25%                            
Line of credit facility, commitment fee percentage   0.15%                            
Credit Agreement which Matures in January 2026 | Minimum | Revolving Credit Facility | Three-month Yen LIBOR                                
Bank borrowings and long-term debt                                
Debt instrument, basis spread on variable rate (as a percent)   1.25%                            
Credit Agreement which Matures in January 2026 | Minimum | Line of Credit                                
Bank borrowings and long-term debt                                
Letter of credit, usage fee   1.25%                            
Credit Agreement which Matures in January 2026 | Maximum | Revolving Credit Facility                                
Bank borrowings and long-term debt                                
Debt instrument, basis spread on variable rate (as a percent)   0.875%                            
Line of credit facility, commitment fee percentage   0.30%                            
Credit Agreement which Matures in January 2026 | Maximum | Revolving Credit Facility | Three-month Yen LIBOR                                
Bank borrowings and long-term debt                                
Debt instrument, basis spread on variable rate (as a percent)   1.875%                            
Credit Agreement which Matures in January 2026 | Maximum | Line of Credit                                
Bank borrowings and long-term debt                                
Letter of credit, usage fee   1.875%                            
Credit Facility, Mature in June 2022 | Revolving Credit Facility                                
Bank borrowings and long-term debt                                
Borrowing capacity                           $ 1,750,000,000    
4.625% Notes due February 2020                                
Bank borrowings and long-term debt                                
Debt instrument                               $ 500,000,000
5.000% Notes due February 2023                                
Bank borrowings and long-term debt                                
Debt interest rate                   5.00%           5.00%
Long-term debt                   $ 500,000,000 500,000,000          
Term Loan Agreement Including Current Portion Due In Installments Through June 2025                                
Bank borrowings and long-term debt                                
Debt instrument                 $ 600,000,000              
Debt interest rate                 4.75%              
Redemption price percentage                 99.213%              
Effective interest rate                 4.85%              
Long-term debt                 $ 595,300,000              
Term Loan Agreement Including Current Portion Due In Installments Through February Two Thousand Twenty Six                                
Bank borrowings and long-term debt                                
Debt instrument     $ 675,000,000 $ 425,000,000                        
Debt interest rate       3.75%                        
Redemption price percentage       99.617%                        
Term Loan Agreement Including Current Portion Due In Installments Through May Two Thousand Twenty                                
Bank borrowings and long-term debt                                
Debt instrument       $ 325,000,000                        
Debt interest rate     4.875% 4.875%                        
Redemption price percentage       99.562%                        
Long-term debt     $ 1,400,000,000                          
Term Loan Agreement Including Current Portion Due In Installments Through May Two Thousand Twenty | Minimum                                
Bank borrowings and long-term debt                                
Percentage of principal amount of the then outstanding Notes due and payable           25.00%                    
Term Loan Agreement Including Current Portion Due In Installments Through February Two Thousand Twenty One                                
Bank borrowings and long-term debt                                
Debt instrument     $ 250,000,000                          
Debt interest rate     3.75%                          
Redemption price percentage     109.294%                          
Term Loan Agreement Including Current Portion Due In Installments Through May Two Thousand Thirty                                
Bank borrowings and long-term debt                                
Debt instrument     $ 325,000,000                          
Redemption price percentage     114.863%                          
Term Loan Agreement Including Current Portion Due In Installments Through Two Thousand Thirty                                
Bank borrowings and long-term debt                                
Debt instrument     $ 650,000,000                          
Debt interest rate     4.875%                          
Existing 2029 Notes                                
Bank borrowings and long-term debt                                
Debt instrument           $ 450,000,000                    
Debt interest rate           4.875%                    
Redemption price percentage           99.607%                    
Additional 2029 Notes                                
Bank borrowings and long-term debt                                
Debt instrument         $ 200,000,000                      
Debt interest rate         4.875%                      
Redemption price percentage         107.289%                      
4.875% Notes due June 2029                                
Bank borrowings and long-term debt                                
Debt instrument         $ 650,000,000                      
Debt interest rate         4.875%         4.875%            
Long-term debt                   $ 659,000,000 661,000,000          
Proceeds from bank borrowings and long-term debt                   662,800,000            
Notes due 2020 and 2023                                
Bank borrowings and long-term debt                                
Redemption price as a percentage of principal amount           100.00%                    
Term Loan Agreement                                
Bank borrowings and long-term debt                                
Percentage of notes principal that may be redeemed upon occurrence of a change of control repurchase event           101.00%                    
Term Loan due April 2024 - three-month TIBOR plus 0.43%                                
Bank borrowings and long-term debt                                
Debt instrument | ¥                             ¥ 33,525,000,000  
Long-term debt                   $ 273,000,000 305,000,000          
Term Loan due April 2024 - three-month TIBOR plus 0.43% | Three-month Yen LIBOR                                
Bank borrowings and long-term debt                                
Debt interest rate                   0.43%         0.43%  
Euro Term Loans                                
Bank borrowings and long-term debt                                
Long-term debt                   $ 389,000,000 168,000,000          
Euro Term Loans | Term Loan                                
Bank borrowings and long-term debt                                
Debt instrument                   $ 388,600,000     € 350,000,000      
Debt interest rate 0.18%                       0.18%      
Debt instrument term 1 year                              
Term Loan Agreement Due December 09, 2022 | Term Loan                                
Bank borrowings and long-term debt                                
Debt instrument | €                         € 250,000,000      
Term Loan Agreement Due December 2022 | Term Loan                                
Bank borrowings and long-term debt                                
Debt instrument | €                         € 100,000,000      
4.750% Notes due June 2025                                
Bank borrowings and long-term debt                                
Debt interest rate                   4.75%            
Long-term debt                   $ 598,000,000 $ 598,000,000          
4.750% Notes due June 2025 | Term Loan                                
Bank borrowings and long-term debt                                
Borrowing capacity             $ 200,000,000                  
Borrowings outstanding             $ 84,100,000                  
Term Loan Facility Due September 2023 | Minimum | Three-month Yen LIBOR                                
Bank borrowings and long-term debt                                
Debt instrument, basis spread on variable rate (as a percent)             0.90%                  
Term Loan Facility Due September 2023 | Maximum | Three-month Yen LIBOR                                
Bank borrowings and long-term debt                                
Debt instrument, basis spread on variable rate (as a percent)             1.15%                  
Term Loan Agreement Due January 2022 | Three-month Yen LIBOR                                
Bank borrowings and long-term debt                                
Debt interest rate               0.16%                
Debt instrument, basis spread on variable rate (as a percent)               0.10%                
Term Loan Agreement Due January 2022 | Other Credit Lines                                
Bank borrowings and long-term debt                                
Debt instrument | €               € 100,000,000                
Debt instrument term               5 years                
Term Loan Agreement Due January 2022 | Minimum | Other Credit Lines                                
Bank borrowings and long-term debt                                
Debt instrument, basis spread on variable rate (as a percent)               0.40%                
Term Loan Agreement Due January 2022 | Maximum | Other Credit Lines                                
Bank borrowings and long-term debt                                
Debt instrument, basis spread on variable rate (as a percent)               1.35%