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Debt - Narrative (Details)
€ in Millions
12 Months Ended
Mar. 15, 2020
May 23, 2017
May 22, 2017
May 01, 2017
USD ($)
Mar. 03, 2017
USD ($)
Feb. 28, 2017
EUR (€)
Nov. 24, 2019
USD ($)
Nov. 25, 2018
USD ($)
Nov. 26, 2017
USD ($)
Mar. 15, 2022
Apr. 27, 2015
USD ($)
May 08, 2012
Debt Instruments [Line Items]                        
Remaining borrowing capacity             $ 819,500,000          
Debt outstanding             850,000,000          
Losses on extinguishment of debt             $ 0 $ 0 $ 22,793,000      
Interest rate during period             5.31% 5.01% 5.60%      
Other Credit Usage [Member]                        
Debt Instruments [Line Items]                        
Letters of credit amount outstanding             $ 2,500,000          
Standby Letters of Credit [Member]                        
Debt Instruments [Line Items]                        
Letters of credit amount outstanding             28,000,000          
Senior revolving credit facility [Member]                        
Debt Instruments [Line Items]                        
Maximum borrowing capacity             $ 850,000,000          
Rate for undrawn availability   0.20%                    
Letter of credit facility, coverage ratio             1.0          
Letter of credit facility, default in other indebtedness, minimum             $ 50,000,000          
Senior revolving credit facility [Member] | The Second Amended and Restated Credit Agreement [Member]                        
Debt Instruments [Line Items]                        
Maximum borrowing capacity             $ 1,600,000,000.0          
Letter of credit facility, coverage ratio             3.25          
Senior revolving credit facility [Member] | Minimum                        
Debt Instruments [Line Items]                        
Rate for undrawn availability   0.25%                    
Senior revolving credit facility [Member] | Maximum                        
Debt Instruments [Line Items]                        
Rate for undrawn availability   0.30%                    
Senior revolving credit facility [Member] | London Interbank Offered Rate (LIBOR) [Member] | Minimum                        
Debt Instruments [Line Items]                        
Basis spread on variable rate   1.25% 1.25%                  
Senior revolving credit facility [Member] | London Interbank Offered Rate (LIBOR) [Member] | Maximum                        
Debt Instruments [Line Items]                        
Basis spread on variable rate   1.75% 2.00%                  
Senior revolving credit facility [Member] | Secured Debt [Member]                        
Debt Instruments [Line Items]                        
Maximum borrowing capacity             $ 350,000,000          
Senior revolving credit facility [Member] | United States of America, Dollars [Member]                        
Debt Instruments [Line Items]                        
Maximum borrowing capacity             800,000,000          
Senior revolving credit facility [Member] | United States of America, Dollars or Canada, Dollars [Member]                        
Debt Instruments [Line Items]                        
Maximum borrowing capacity             $ 50,000,000          
Senior notes [Member] | 6.875% senior notes due 2022 [Member]                        
Debt Instruments [Line Items]                        
Stated interest rate         6.875%              
Extinguishment of debt       $ 154,700,000 $ 370,300,000              
Extinguisment of debt, gains (losses), tender premium       $ 21,900,000                
Senior notes [Member] | 3.375% Senior Notes Due 2027 [Member]                        
Debt Instruments [Line Items]                        
Face amount | €           € 475.0            
Stated interest rate           3.375% 3.375%          
Redemption price as a result of a change in control (percent)           101.00%            
Senior notes [Member] | 3.375% Senior Notes Due 2027 [Member] | Forecast                        
Debt Instruments [Line Items]                        
Maximum potential redemption (percent) 40.00%                      
Redemption price (percent) 103.375%                      
Issuance price percentage of face value if exercised                   100.00%    
Senior notes [Member] | 5.00% Senior Notes, Due 2025 [Member]                        
Debt Instruments [Line Items]                        
Face amount                     $ 500,000,000.0  
Stated interest rate             5.00%       5.00%  
Debt default, holder percent to declare all notes due, minimum                       25.00%
Unamortized discount             $ 13,900,000          
Senior notes [Member] | 5.00% Senior Notes, Due 2025 [Member] | Redemption Prior to May 1, 2020 [Member]                        
Debt Instruments [Line Items]                        
Redemption price (percent)             100.00%