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Note 12 - Notes Payable (Tables)
12 Months Ended
Dec. 31, 2017
Notes Tables  
Schedule of Debt Issuance [Table Text Block]
Date
Issued
 
Maturity Date
 
Amount Issued
   
Interest Rate
 
Aug-17
 
Feb-25
  $
500.0
     
3.30%
 
Aug-17
 
Sep-47
  $
350.0
     
4.45%
 
Mar-17
 
Apr-27
  $
400.0
     
3.80%
 
Nov-16
 
Mar-24
  $
400.0
     
2.70%
 
Nov-16
 
Dec-46
  $
350.0
     
4.125%
 
Aug-16
 
Oct-26
  $
500.0
     
2.80%
 
May-16
 
Apr-45
  $
150.0
     
4.25%
 
Schedule of Debt [Table Text Block]
 
Type
   
Date Paid
   
Amount Repaid (USD)
   
Interest Rate
   
Maturity Date
 
MTN (1)
   
Aug-17
& Nov-17
    $
300.0
   
4.300%
   
Feb-18
 
Term Loan
   
Jan-17
    $
250.0
   
LIBOR + 0.95%
   
Jan-17
 
Canadian Notes Payable (
2)
   
Aug-16
    $
270.9
   
(2)
   
(2)
 
Senior Unsecured Note
(3)
   
Aug-16
    $
290.9
   
5.700%
   
May-17
 
MTN
   
Mar-16
    $
300.0
   
5.783%
   
Mar-16
 
Notes Payable [Member]  
Notes Tables  
Schedule of Long-term Debt Instruments [Table Text Block]
   
Carrying Amount a
t
December 31
,
   
Interest Rate a
t
December 31
,
   
Maturity Date at
 
   
201
7
   
201
6
   
201
7
   
2016
   
December 31, 201
7
 
Senior Unsecured Notes
  $
4,650.0
    $
3,400.0
   
 2.70%
-
6.88%
   
 2.70%
-
6.88%
   
Oct-2019
– 
Sep-2047
 
Credit Facilit
y
   
8.0
     
25.0
   
 
(a)
 
   
 
 (a)
 
   
 
Mar-2021
 
 
Medium Term Notes (“
MTN”)
   
-
     
300.0
   
 
-
 
   
 
4.30%
 
   
 
n/a
 
 
Term Loa
n
   
-
     
250.0
   
 
-
 
   
 
 (b)
 
   
 
n/a
 
 
Deferred financing costs, ne
t
   
(61.9
)    
(47.7
)  
 
n/a
 
   
 
 n/a
 
   
 
n/a
 
 
   
$
4,596.1
   
$
3,927.3
   
 
3.70%*
 
   
 
3.58%*
 
   
 
 
 
 
Unsecured Debt [Member]  
Notes Tables  
Schedule of Maturities of Long-term Debt [Table Text Block]
   
2018
   
2019
   
2020
   
2021
   
2022
   
Thereafter
   
Total
 
Principal payments
  $
-
    $
300.0
    $
-
    $
508.0
    $
500.0
    $
3,350.0
    $
4,658.0