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Debt (Details)
12 Months Ended
Oct. 24, 2014
USD ($)
Oct. 17, 2014
USD ($)
Sep. 30, 2015
USD ($)
Sep. 30, 2014
USD ($)
Sep. 30, 2013
USD ($)
Debt          
Total debt     $ 4,606,900,000 $ 1,004,000,000  
Less: Current portion of debt and short-term borrowings     (160,400,000) (64,400,000)  
Long-term debt, less current portion     4,446,527,000 939,565,000  
Scheduled maturities of debt:          
2017     348,300,000    
2018     126,700,000    
2019     97,500,000    
2020     1,507,100,000    
Thereafter     2,366,900,000    
Total debt     4,606,900,000 1,004,000,000  
2016     160,400,000    
Debt agreements          
Repayment of indebtedness     5,158,254,000 1,976,352,000 $ 2,155,264,000
Prepayment Penalty On Unsecured Senior Notes     55,639,000    
Debt     $ 4,606,900,000 $ 1,004,000,000  
Average effective interest rate on total borrowings, including the effects of swaps (as a percent)     4.20% 2.80% 3.00%
Line of Credit          
Debt agreements          
Outstanding letters of credit     $ 92,500,000 $ 12,100,000  
Remaining borrowing capacity under the credit facility     $ 947,600,000 1,037,900,000  
Actual consolidated leverage ratio     4.6    
Maximum increase in borrowing capacity   $ 500,000,000      
Secured Debt          
Debt          
Total debt     $ 2,414,300,000    
Scheduled maturities of debt:          
Total debt     2,414,300,000    
Debt agreements          
Debt     2,414,300,000    
Revolving Credit Facility          
Debt agreements          
Borrowing capacity   1,050,000,000      
Letter of Credit          
Debt agreements          
Borrowing capacity   500,000,000      
URS Corporation          
Debt agreements          
Senior notes assumed in acquisition as part of consideration   $ 1,000,000,000      
Total debt $ 5.00        
Other Debt          
Debt          
Total debt     163,200,000 27,600,000  
Scheduled maturities of debt:          
Total debt     163,200,000 27,600,000  
Debt agreements          
Debt     163,200,000 27,600,000  
Outstanding letters of credit     344,000,000 301,000,000  
Unsecured Credit Facilities          
Debt agreements          
Remaining borrowing capacity under the credit facility     405,900,000    
Notes          
Debt          
Total debt     1,600,000,000    
Scheduled maturities of debt:          
Total debt     1,600,000,000    
Debt agreements          
Debt     1,600,000,000    
Senior Discount Notes 1.00% Series B due July 2022          
Debt agreements          
Interest rate (as a percent)   1.00%      
Notes Payable to Banks          
Debt          
Total debt       712,500,000  
Scheduled maturities of debt:          
Total debt       712,500,000  
Debt agreements          
Debt       712,500,000  
Senior Notes          
Debt          
Total debt       263,900,000  
Scheduled maturities of debt:          
Total debt       263,900,000  
Debt agreements          
Debt       $ 263,900,000  
Senior Notes | URS Corporation          
Debt          
Total debt   $ 1,000,000,000 429,400,000    
Scheduled maturities of debt:          
Total debt   1,000,000,000 429,400,000    
Debt agreements          
Debt   $ 1,000,000,000 429,400,000    
Redemption price percentage 101.00% 101.00%      
Amount of notes purchased $ 572,300,000        
Fair value of long term debt     408,600,000    
Senior Notes 3.85% due 2017 | URS Corporation          
Debt          
Total debt     182,000,000    
Scheduled maturities of debt:          
Total debt     182,000,000    
Debt agreements          
Interest rate (as a percent)   3.85%      
Debt     182,000,000    
Fair value of long term debt     178,700,000    
Senior Notes 5.00% due 2022 | URS Corporation          
Debt          
Total debt     247,400,000    
Scheduled maturities of debt:          
Total debt     247,400,000    
Debt agreements          
Interest rate (as a percent)   5.00%      
Debt     247,400,000    
Fair value of long term debt     $ 229,900,000    
Senior Notes 5.43% Series A Due July 2020          
Debt agreements          
Interest rate (as a percent)   5.43%      
Term Loan B | Secured Debt          
Debt agreements          
Borrowing capacity   $ 760,000,000      
Term Loan A | Secured Debt          
Debt agreements          
Borrowing capacity   1,925,000,000      
Senior Notes 5.43% series A due July 2020 and senior discount notes 1.00% series B due July 2022          
Scheduled maturities of debt:          
Debt instrument prepayment of accrued interest and prepayment penalty   $ 55,600,000