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Long-Term Debt (Schedule Of Revolving Credit Facility) (Detail) (USD $)
0 Months Ended 3 Months Ended 12 Months Ended
Sep. 06, 2013
Mar. 28, 2014
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Jul. 22, 2011
Debt Instrument [Line Items]            
Equity interest pledged in all domestic subsidiaries, percentage 100.00%          
Non-voting equity interest pledged in certain foreign subsidiaries, percentage 100.00%          
Outstanding borrowings   $ 1,468,000,000 $ 1,386,900,000 $ 1,450,100,000    
Outstanding letters of credit   85,300,000 150,700,000      
Parent Company [Member] | Senior Floating Rate Notes Due 2015 [Member]
           
Debt Instrument [Line Items]            
Debt maturity date         2015  
North America [Member] | Senior Floating Rate Notes Due 2015 [Member]
           
Debt Instrument [Line Items]            
Interest rate   2.60% [1] 2.60% [1] 2.70%    
Revolving Credit Facility [Member]
           
Debt Instrument [Line Items]            
Credit facility maximum borrowing capacity 1,000,000,000   700,000,000 700,000,000   400,000,000
Capital expenditures to fixed charges ratio 100.00%     115.00%    
Increase, additional borrowings 250,000,000          
Capitalized deferred finance costs     4,900,000 2,300,000 4,800,000  
Threshold for line of credit facility percentage of asset based revolving credit facilities 10.00%          
Equity interest pledged in foreign subsidiaries, percentage 65.00%          
Outstanding borrowings   264,300,000 225,000,000      
Total credit under facility   1,000,000,000 1,000,000,000      
Undrawn availability   411,900,000 [2] 298,400,000 [2]      
Interest rate   1.90% 2.00%      
Outstanding letters of credit   28,700,000 112,700,000      
Original issuance   Jul. 31, 2011 Jul. 31, 2011      
Maturity date   Sep. 30, 2018 Sep. 30, 2018      
Revolving Credit Facility [Member] | Minimum [Member]
           
Debt Instrument [Line Items]            
Potential increase in remaining borrowing capacity       100,000,000    
Capitalized deferred finance costs     4,900,000 2,300,000 4,800,000  
Threshold for line of credit facility borrowings 100,000,000          
Line of credit facility commitment fee, percentage 0.25%          
Revolving Credit Facility [Member] | Minimum [Member] | Potential Increase
           
Debt Instrument [Line Items]            
Undrawn availability       100,000,000    
Revolving Credit Facility [Member] | Maximum [Member]
           
Debt Instrument [Line Items]            
Line of credit facility commitment fee, percentage 0.375%          
Revolving Credit Facility [Member] | UNITED STATES [Member]
           
Debt Instrument [Line Items]            
Credit facility maximum borrowing capacity           630,000,000
Undrawn availability   216,200,000 102,100,000      
Revolving Credit Facility [Member] | EUROPE [Member]
           
Debt Instrument [Line Items]            
Credit facility maximum borrowing capacity           300,000,000
Undrawn availability   117,600,000 143,200,000      
Revolving Credit Facility [Member] | CANADA [Member]
           
Debt Instrument [Line Items]            
Credit facility maximum borrowing capacity           70,000,000
Undrawn availability   70,000,000 53,100,000      
Asset Based Revolving Credit Facility [Member] | UNITED STATES [Member]
           
Debt Instrument [Line Items]            
Undrawn availability     102,100,000 471,000,000    
Asset Based Revolving Credit Facility [Member] | EUROPE [Member]
           
Debt Instrument [Line Items]            
Undrawn availability     143,200,000      
Asset Based Revolving Credit Facility [Member] | CANADA [Member]
           
Debt Instrument [Line Items]            
Undrawn availability     53,100,000 44,300,000    
Asset Based Revolving Credit Facility [Member] | North America [Member]
           
Debt Instrument [Line Items]            
Outstanding borrowings     225,000,000 0    
Total credit under facility     1,000,000,000 700,000,000    
Undrawn availability     298,400,000 [3] 515,300,000 [3]    
Interest rate     2.00% 1.50%    
Outstanding letters of credit     $ 112,700,000 $ 18,300,000    
Original issuance     Jul. 31, 2011 Jul. 31, 2011    
Maturity date     Sep. 30, 2018 Jul. 31, 2017    
[1] The Company may, at its option, redeem the Senior Floating Rate Notes on or after the following dates and percentages (plus accrued and unpaid interest due)
[2] Total undrawn availability for the U.S. borrower, the Canadian borrower and the European borrowers at March 28, 2014 is $216.2 million, $70.0 million and $117.6 million, respectively. Total undrawn availability for the U.S. borrower, the Canadian borrower and the European borrowers at December 31, 2013 was $102.1 million, $53.1 million and $143.2 million, respectively. The European borrowing base includes an additional borrowing base availability under the Canadian tranche borrowing base availability and the U.S. tranche borrowing base availability less additional European revolving exposure; therefore, the availability of the three tranches individually is greater than the total availability.
[3] Total undrawn availability for the U.S. borrower, the Canadian borrower and the European borrowers at December 31, 2013 is $ 102.1 million, $ 53.1 million and $ 143.2 million, respectively. Total undrawn availability for the U.S. borrower, and the Canadian borrower at December 31, 2012 was $471.0 million and $44.3 million , respectively.