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RESTRUCTURING RESERVES - Summary Of Restructuring Reserve Activity (Details)
$ in Thousands
3 Months Ended
Mar. 31, 2018
USD ($)
Restructuring Reserve  
Beginning balance $ 81,788
Restructuring costs, net of (gains) 8,038
Cash (paid) received (11,642)
Non-cash, translation and others (11,556)
Ending balance 66,628
Current assets write-downs  
Restructuring Reserve  
Beginning balance 13,101
Restructuring costs, net of (gains) 1,002
Cash (paid) received (744)
Non-cash, translation and others (4,482)
Ending balance 8,877
Fixed assets write-downs and disposals  
Restructuring Reserve  
Beginning balance 741
Restructuring costs, net of (gains) (6,090)
Cash (paid) received 7,659
Non-cash, translation and others (1,973)
Ending balance 337
Involuntary employee termination costs  
Restructuring Reserve  
Beginning balance 50,289
Restructuring costs, net of (gains) 12,480
Cash (paid) received (15,940)
Non-cash, translation and others (253)
Ending balance 46,576
Lease termination costs  
Restructuring Reserve  
Beginning balance 4,893
Restructuring costs, net of (gains) 819
Cash (paid) received (1,380)
Non-cash, translation and others (1,498)
Ending balance 2,834
Other costs  
Restructuring Reserve  
Beginning balance 12,764
Restructuring costs, net of (gains) (173)
Cash (paid) received (1,237)
Non-cash, translation and others (3,350)
Ending balance $ 8,004