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RESTRUCTURING RESERVES - Summary Of Restructuring Reserve Activity (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2017
Dec. 31, 2016
Restructuring Reserve    
Beginning balance $ 28,344 $ 34,586
Restructuring costs, net of (gains) 116,158 39,613
Cash (paid) received (22,749) (33,978)
Non-cash, translation and others (39,965) (11,877)
Ending balance 81,788 28,344
Current assets write-downs    
Restructuring Reserve    
Beginning balance 167 0
Restructuring costs, net of (gains) 13,892 4,684
Cash (paid) received (898) (2,933)
Non-cash, translation and others (60) (1,584)
Ending balance 13,101 167
Fixed assets write-downs and disposals    
Restructuring Reserve    
Beginning balance 0 0
Restructuring costs, net of (gains) 511 (9,289)
Cash (paid) received 23,624 18,235
Non-cash, translation and others (23,394) (8,946)
Ending balance 741 0
Involuntary employee termination costs    
Restructuring Reserve    
Beginning balance 24,541 29,516
Restructuring costs, net of (gains) 58,859 33,687
Cash (paid) received (34,066) (38,193)
Non-cash, translation and others 955 (469)
Ending balance 50,289 24,541
Lease termination costs    
Restructuring Reserve    
Beginning balance 3,125 5,070
Restructuring costs, net of (gains) 5,572 3,432
Cash (paid) received (3,770) (5,377)
Non-cash, translation and others (34) 0
Ending balance 4,893 3,125
Other costs    
Restructuring Reserve    
Beginning balance 511 0
Restructuring costs, net of (gains) 37,324 7,099
Cash (paid) received (7,639) (5,710)
Non-cash, translation and others (17,432) (878)
Ending balance $ 12,764 $ 511