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Debt (Details)
1 Months Ended 3 Months Ended 9 Months Ended
Jun. 27, 2016
USD ($)
Jun. 30, 2016
USD ($)
Feb. 29, 2016
USD ($)
Oct. 31, 2015
EUR (€)
May 31, 2015
USD ($)
Sep. 30, 2016
USD ($)
Jun. 30, 2016
USD ($)
Jun. 30, 2015
USD ($)
Jun. 30, 2016
USD ($)
Jun. 30, 2015
USD ($)
Jun. 30, 2016
EUR (€)
Jun. 30, 2016
USD ($)
Apr. 30, 2016
USD ($)
Line of Credit Facility                          
Remaining Amounts Outstanding at June 30, 2016               $ 3,711,600,000   $ 3,711,600,000   $ 4,156,900,000  
Loss on extinguishments of debt             $ 37,100,000 $ 0 $ 37,100,000 $ 0      
Energy Services | Energy Services Credit Agreement                          
Line of Credit Facility                          
Maximum ratio of total indebtedness to EBITDA     3.50                    
Minimum ratio of EBITDA to interest expense     3.50                    
AmeriGas Propane                          
Line of Credit Facility                          
Remaining Amounts Outstanding at June 30, 2016                       352,900,000  
Aggregate Principal Amounts $ 1,270,000,000                        
Aggregate principal amount of Tendered Notes redeemed 917,100,000                        
Loss on extinguishments of debt   $ 37,100,000                      
Tender premium   29,700,000                      
Write-off of debt issuance costs   $ 6,700,000                      
AmeriGas Propane | Forecast                          
Line of Credit Facility                          
Loss on extinguishments of debt           $ 12,000,000              
France SAS | Interest Rate Swap                          
Line of Credit Facility                          
Write-off of debt issuance costs         $ 1,300,000                
Loss on interest rate swaps         9,000,000                
Line of Credit | Flaga | Flaga Credit Facility Agreement                          
Line of Credit Facility                          
Maximum borrowing capacity | €       € 100,800,000.0                  
Line of Credit | Flaga | Flaga Multi-Currency Working Capital Facility                          
Line of Credit Facility                          
Maximum borrowing capacity | €                     € 46,000,000    
Line of Credit | Flaga | Revolving Credit Facility | Flaga Credit Facility Agreement                          
Line of Credit Facility                          
Maximum borrowing capacity | €       € 25,000,000                  
Facility fee on unused balance       30.00%                  
Line of Credit | Flaga | Revolving Credit Facility | Flaga Credit Facility Agreement | EURIBOR | Minimum                          
Line of Credit Facility                          
Basis spread on variable rate       1.45%                  
Line of Credit | Flaga | Revolving Credit Facility | Flaga Credit Facility Agreement | EURIBOR | Maximum                          
Line of Credit Facility                          
Basis spread on variable rate       3.65%                  
Line of Credit | Energy Services | Energy Services Credit Agreement                          
Line of Credit Facility                          
Maximum borrowing capacity     $ 240,000,000                    
Basis spread on variable rate     2.25%                    
Line of Credit | Energy Services | Energy Services Credit Agreement | Federal Funds Rate                          
Line of Credit Facility                          
Basis spread on variable rate     0.50%                    
Line of Credit | Energy Services | Energy Services Credit Agreement | London Interbank Offered Rate (LIBOR)                          
Line of Credit Facility                          
Basis spread on variable rate     1.00%                    
Line of Credit | Energy Services | Letter of Credit | Energy Services Credit Agreement                          
Line of Credit Facility                          
Maximum borrowing capacity     $ 50,000,000                    
Overdraft Facility | Flaga | Flaga Credit Facility Agreement                          
Line of Credit Facility                          
Maximum borrowing capacity | €       € 5,000,000                  
Guarantee Facility | Flaga | Flaga Credit Facility Agreement                          
Line of Credit Facility                          
Maximum borrowing capacity | €       25,000,000                  
Term Loan | Flaga | Flaga Credit Facility Agreement                          
Line of Credit Facility                          
Maximum borrowing capacity | €       € 45,800,000.0                  
Term Loan | Flaga | Flaga Credit Facility Agreement | Three-Month EURIBOR | Interest Rate Swap | Through September 2016                          
Line of Credit Facility                          
Underlying EURIBOR fixed rate       2.18%                  
Term Loan | Flaga | Flaga Credit Facility Agreement | Three-Month EURIBOR | Interest Rate Swap | October 2016 Through October 2020                          
Line of Credit Facility                          
Underlying EURIBOR fixed rate       0.23%                  
Term Loan | Flaga | Flaga Credit Facility Agreement | Three-Month EURIBOR | Minimum                          
Line of Credit Facility                          
Basis spread on variable rate       0.40%                  
Term Loan | Flaga | Flaga Credit Facility Agreement | Three-Month EURIBOR | Maximum                          
Line of Credit Facility                          
Basis spread on variable rate       1.80%                  
Term Loan | Flaga | Flaga Term Loan Due October 2016                          
Line of Credit Facility                          
Remaining Amounts Outstanding at June 30, 2016 | €                     19,100,000    
Term Loan | Flaga | Flaga Term Loan Due August 2016                          
Line of Credit Facility                          
Remaining Amounts Outstanding at June 30, 2016 | €                     € 26,700,000    
Term Loan | France SAS                          
Line of Credit Facility                          
Pre-tax loss associated with early extinguishment of debt         $ 10,300,000                
Senior Notes | UGI Utilities                          
Line of Credit Facility                          
Maximum Consolidated Debt to Consolidated Total Capital ratio                 0.65        
Senior Notes | UGI Utilities | Senior Notes due June 2026                          
Line of Credit Facility                          
Aggregate Principal Amounts                       $ 100,000,000 $ 100,000,000
Stated interest rate                     2.95% 2.95% 2.95%
Senior Notes | UGI Utilities | Senior Notes due September 2046                          
Line of Credit Facility                          
Aggregate Principal Amounts                         $ 200,000,000
Stated interest rate                         4.12%
Senior Notes | UGI Utilities | Senior Notes due October 2046                          
Line of Credit Facility                          
Aggregate Principal Amounts                         $ 100,000,000
Stated interest rate                         4.12%
Senior Notes | UGI Utilities | Senior Notes Due September 2016                          
Line of Credit Facility                          
Aggregate Principal Amounts                       $ 175,000,000  
Stated interest rate                     5.75% 5.75%  
Senior Notes | AmeriGas Propane | Senior Notes Due May 2024                          
Line of Credit Facility                          
Aggregate Principal Amounts $ 675,000,000                        
Stated interest rate 5.625%                        
Senior Notes | AmeriGas Propane | Senior Notes Due August 2026                          
Line of Credit Facility                          
Aggregate Principal Amounts $ 675,000,000                        
Stated interest rate 5.875%                        
Senior Notes | AmeriGas Propane | Senior Notes Due May 2021                          
Line of Credit Facility                          
Remaining Amounts Outstanding at June 30, 2016                       $ 66,500,000  
Aggregate Principal Amounts $ 270,000,000                        
Stated interest rate                     6.50% 6.50%  
Aggregate principal amount of Tendered Notes redeemed 203,500,000                        
Senior Notes | AmeriGas Propane | Senior Notes Due May 2020                          
Line of Credit Facility                          
Remaining Amounts Outstanding at June 30, 2016                       $ 143,100,000  
Aggregate Principal Amounts 550,000,000                        
Stated interest rate                     6.75% 6.75%  
Aggregate principal amount of Tendered Notes redeemed 406,900,000                        
Senior Notes | AmeriGas Propane | Senior Notes Due August 2019                          
Line of Credit Facility                          
Remaining Amounts Outstanding at June 30, 2016                       $ 143,300,000  
Aggregate Principal Amounts 450,000,000                        
Stated interest rate                     6.25% 6.25%  
Aggregate principal amount of Tendered Notes redeemed $ 306,700,000