XML 208 R72.htm IDEA: XBRL DOCUMENT v3.19.3
Debt - AmeriGas Propane (Details) - USD ($)
1 Months Ended 12 Months Ended
Dec. 31, 2017
Sep. 30, 2017
AmeriGas Partners | Senior Notes | 5.50% due May 2025    
Debt Instrument    
Aggregate principal amount   $ 700,000,000
Stated interest rate   5.50%
AmeriGas Partners | Senior Notes | 5.75% due May 2027    
Debt Instrument    
Aggregate principal amount   $ 525,000,000
Stated interest rate   5.75%
AmeriGas Partners | Senior Notes | 7.00% Senior Notes    
Debt Instrument    
Stated interest rate   7.00%
Aggregate principal balance repaid   $ 980,800,000
Revolving Credit Facility | Line of Credit | AmeriGas Credit Agreement    
Debt Instrument    
Total capacity (up to) $ 600,000,000  
Letter of Credit | Line of Credit | AmeriGas Credit Agreement    
Debt Instrument    
Total capacity (up to) $ 150,000,000  
Federal Funds Effective Swap Rate | AmeriGas Credit Agreement    
Debt Instrument    
Basis spread on variable rate (percentage) 0.50%  
Minimum | Base Rate | AmeriGas Credit Agreement    
Debt Instrument    
Basis spread on variable rate (percentage) 0.50%  
Minimum | Eurodollar | AmeriGas Credit Agreement    
Debt Instrument    
Basis spread on variable rate (percentage) 1.50%  
Maximum | Base Rate | AmeriGas Credit Agreement    
Debt Instrument    
Basis spread on variable rate (percentage) 1.75%  
Maximum | Eurodollar | AmeriGas Credit Agreement    
Debt Instrument    
Basis spread on variable rate (percentage) 2.75%