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Cash And Cash Equivalents, Short-Term Bank Deposits And Marketable Securities- Contractual Obligation Fiscal Year Maturity (Detail) - USD ($)
$ in Millions
Dec. 31, 2020
Dec. 31, 2019
Contractual Obligation Fiscal Year Maturity Schedule [Line Items]    
2021 $ 1,217.5 $ 1,300.1
2022 1,053.4 1,041.9
2023 740.8 770.3
2024 351.0 372.1
2025 166.7 184.5
Total $ 3,529.4 $ 3,668.9