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Debt Textuals (Details)
€ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2016
USD ($)
Rate
Dec. 31, 2015
USD ($)
Rate
Dec. 31, 2014
USD ($)
Dec. 31, 2016
EUR (€)
Rate
Debt Instrument        
Combined Senior Notes $ 250,000      
Derivatives used in Net Investment Hedge, Increase (Decrease), Gross of Tax 5,100 $ 3,600    
Senior Notes $ 479,865 484,729    
Consolidated Interest Coverage Ratio Covenant 3.5 to 1.0      
Consolidated Leverage Ratio Covenant 3.5 to 1.0      
Debt issuance costs $ 209 $ 1,366 $ 941  
Debt, Weighted Average Interest Rate | Rate 3.66% 4.71%   3.66%
6.3% Senior Notes        
Debt Instrument        
Senior Notes, Stated Interest Rate   6.30%    
Senior Notes   $ 100,000    
Maturity Date Jun. 25, 2015      
3.67% Senior Notes        
Debt Instrument        
Senior Notes, Stated Interest Rate 3.67%     3.67%
Senior Notes $ 50,000 50,000    
Maturity Date Dec. 17, 2022      
Debt Instrument, Covenant Compliance The Company was in compliance with its covenants at December 31, 2016.      
Debt issuance costs $ 400      
Amortized Issuance Costs Period ten      
4.10% Senior Notes [Member]        
Debt Instrument        
Senior Notes, Stated Interest Rate 4.10%     4.10%
Senior Notes $ 50,000 50,000    
Maturity Date Sep. 19, 2023      
Debt Instrument, Covenant Compliance The Company was in compliance with its covenants at December 31, 2016.      
Debt issuance costs $ 400      
Amortized Issuance Costs Period ten      
3.84% Senior Notes [Member]        
Debt Instrument        
Senior Notes, Stated Interest Rate 3.84%     3.84%
Senior Notes $ 125,000 125,000    
Maturity Date Sep. 19, 2024      
Debt Instrument, Covenant Compliance The Company was in compliance with its covenants at December 31, 2016.      
Debt issuance costs $ 900      
Amortized Issuance Costs Period ten      
4.24% Senior Notes [Member]        
Debt Instrument        
Senior Notes, Stated Interest Rate 4.24%     4.24%
Senior Notes $ 125,000 125,000    
Maturity Date Jun. 25, 2025      
Debt Instrument, Covenant Compliance The Company was in compliance with these covenants at December 31, 2016.      
1.47% EURO Senior Notes [Member]        
Debt Instrument        
Senior Notes, Stated Interest Rate 1.47%     1.47%
Senior Notes $ 131,507 $ 136,575   € 125,000
Maturity Date Jun. 17, 2030      
Debt Instrument, Covenant Compliance The Company was in compliance with its covenants at December 31, 2016.      
Debt issuance costs $ 400      
Amortized Issuance Costs Period 15 years      
$800 Million 2015 Credit Agreement        
Debt Instrument        
Maturity Date Dec. 17, 2020      
Debt Instrument, Covenant Compliance the Company was in compliance as of December 31, 2016.      
Debt issuance costs $ 1,100      
Amortized Issuance Costs Period 2020      
Credit Agreement Borrowing Capacity $ 800,000      
$800 million Credit Agreement, Basis Spread on Variable Rate 0.875%      
Line of Credit Facility, Remaining Borrowing Capacity $ 399,600      
$800 Million Credit 2013 Credit Agreement [Member]        
Debt Instrument        
Credit Agreement Borrowing Capacity 800,000      
Gains (Losses) on Extinguishment of Debt $ (129)