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Derivative Instruments and Hedging Activities (Details)
kWh in Millions, MMBTU in Millions
1 Months Ended 3 Months Ended 6 Months Ended
Mar. 31, 2016
USD ($)
Mar. 31, 2016
USD ($)
Mar. 31, 2016
USD ($)
Mar. 31, 2016
USD ($)
kWh
MMBTU
gal
Mar. 31, 2015
EUR (€)
kWh
MMBTU
gal
Mar. 31, 2016
EUR (€)
Mar. 31, 2016
USD ($)
Sep. 30, 2015
USD ($)
Mar. 31, 2015
USD ($)
Derivative                  
Amount of net losses associated with interest rate hedges to be reclassified with interest rate hedges during the next 12 months             $ (3,100,000)    
Amount of net gains associated with currency rate risk to be reclassified into earnings during the next 12 months             7,800,000    
Restricted cash             $ 40,000,000 $ 69,300,000 $ 56,700,000
Gain (loss) on ineffectiveness and excluded derivatives recognized in income     $ (2,100,000) $ (5,500,000)          
UGI France                  
Derivative                  
Derivative interest rate floor           0.00% 0.00%    
Commodity contracts                  
Derivative                  
Amounts remaining in AOCI related to commodity derivative hedges             $ 0    
Interest Rate Swap                  
Derivative                  
Notional amount (in currency) | €         € 401,100,000 € 645,800,000      
Interest Rate Swap | UGI France                  
Derivative                  
Payment to interest rate swap counterparties   $ 7,700,000              
Interest Rate Swap | UGI France | EURIBOR                  
Derivative                  
Underlying EURIBOR fixed rate           0.18% 0.18%    
Interest Rate Swap | UGI France | Term Loan                  
Derivative                  
Notional amount (in currency) | €           € 600,000,000      
Interest Rate Protection Agreements                  
Derivative                  
Notional amount (in currency)             $ 0   0
Interest Rate Protection Agreements | UGI Utilities                  
Derivative                  
Loss on settlement of IRPAs $ 36,000,000                
Foreign currency contracts                  
Derivative                  
Maximum length of time hedged in price risk cash flow hedges (in months)       36 months          
Notional amount (in currency)         € 0 € 0 262,500,000   223,500,000
Cross-currency contracts                  
Derivative                  
Notional amount (in currency)             $ 59,100,000   $ 52,000,000
Propane | Commodity contracts                  
Derivative                  
Volume of LPG commodity derivatives (in gallons) | gal       370,200,000 362,500,000        
Maximum length of time hedging exposure to LPG commodity price risk (in months)       42 months          
Propane | Natural Gas Storage and Propane Storage NYMEX Contracts                  
Derivative                  
Volume of LPG commodity derivatives (in gallons) | gal       0 0        
Natural Gas | Natural Gas Futures, Forward And Pipeline Contracts                  
Derivative                  
Notional amount (energy measure) | MMBTU       84.7 118.3        
Maximum length of time hedged in price risk cash flow hedges (in months)       56 months          
Natural Gas | Gas Basis Swap Contracts                  
Derivative                  
Notional amount (energy measure) | MMBTU       90.1 47.3        
Natural Gas | Natural Gas Storage and Propane Storage NYMEX Contracts                  
Derivative                  
Notional amount (energy measure) | MMBTU       1.7 0.6        
Natural Gas | Gas Utility | Commodity contracts                  
Derivative                  
Notional amount (energy measure) | MMBTU       10.0 9.7        
Maximum length of time hedged in price risk cash flow hedges (in months)       11 months          
Electricity | Commodity contracts | Long                  
Derivative                  
Notional amount (energy measure) | kWh       591.1 356.0        
Maximum length of time hedged in price risk cash flow hedges (in months)       34 months          
Electricity | Commodity contracts | Short                  
Derivative                  
Notional amount (energy measure) | kWh       431.6 315.4        
Maximum length of time hedged in price risk cash flow hedges (in months)       27 months          
Electricity | Electric Utility | Commodity contracts                  
Derivative                  
Notional amount (energy measure) | kWh       23.6 384.4        
Maximum length of time hedged in price risk cash flow hedges (in months)       8 months          
Electricity | Electric Utility | Financial Transmission Rights                  
Derivative                  
Notional amount (energy measure) | kWh       89.7          
Maximum length of time hedged in price risk cash flow hedges (in months)       2 months          
Electricity | Electric Utility | NYISO Capacity Swap Contracts                  
Derivative                  
Notional amount (energy measure) | kWh         124.6        
Maximum length of time hedged in price risk cash flow hedges (in months)       2 months