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DEBT (Details) - USD ($)
3 Months Ended 9 Months Ended
Mar. 31, 2020
Sep. 30, 2020
Jun. 23, 2020
Dec. 31, 2019
Accounts Receivable Securitization Facility        
Debt Instrument [Line Items]        
Debt Instrument, Issuance Date   Jun. 22, 2020    
Line of Credit Facility, Maximum Borrowing Capacity   $ 1,025,000,000   $ 600,000,000
Line of Credit Facility, Opportunity to Increase Borrowing Capacity   $ 375,000,000    
Debt Instrument, Maturity Date   Jun. 22, 2023    
Debt Instrument, Basis Spread on Variable Rate 0.95% 1.20%    
Line of Credit Facility, Commitment Fee Percentage   0.45%    
Accounts Receivable Securitization Facility | Interest Rate Floor [Member]        
Debt Instrument [Line Items]        
Debt Instrument, Interest Rate, Stated Percentage   0.50%    
Revolving Credit Facility        
Debt Instrument [Line Items]        
Debt Instrument, Issuance Date   Jun. 22, 2020    
Line of Credit Facility, Maximum Borrowing Capacity   $ 1,100,000,000    
Line of Credit Facility, Opportunity to Increase Borrowing Capacity   500,000,000    
Revolving Credit Facility | Letter of Credit [Member]        
Debt Instrument [Line Items]        
Line of Credit Facility, Maximum Borrowing Capacity   $ 175,000,000    
5.50% Senior Notes due 2023        
Debt Instrument [Line Items]        
Debt Instrument, Interest Rate, Stated Percentage   5.50%    
Debt Instrument, Face Amount   $ 350,000,000.0    
Senior Notes tender offer consideration per $1,000 principal amount     $ 1,012.50  
Senior Notes early tender payment per $1,000 principal amount     50.00  
Senior Notes consent fee per $1,000 principal amount     2.50  
Senior Notes   $ 58,600,000    
6.00% Senior Notes due 2025        
Debt Instrument [Line Items]        
Debt Instrument, Interest Rate, Stated Percentage   6.00%    
Debt Instrument, Face Amount   $ 250,000,000.0    
Senior Notes tender offer consideration per $1,000 principal amount     1,012.50  
Senior Notes early tender payment per $1,000 principal amount     50.00  
Senior Notes consent fee per $1,000 principal amount     $ 2.50  
Senior Notes   $ 4,200,000    
7.125% Senior Notes due 2025        
Debt Instrument [Line Items]        
Debt Instrument, Issuance Date   Jun. 12, 2020    
Debt Instrument, Maturity Date   Jun. 15, 2025    
Debt Instrument, Interest Rate, Stated Percentage   7.125%    
Debt Instrument, Face Amount   $ 1,500,000,000    
Discount percentage of par value   100.00%    
Debt Instrument, Redemption Price, Percentage   35.00%    
Percentage of principal amount of Senior Notes accelerated under default   25.00%    
7.250% Senior Notes due 2028        
Debt Instrument [Line Items]        
Debt Instrument, Issuance Date   Jun. 12, 2020    
Debt Instrument, Maturity Date   Jun. 15, 2028    
Debt Instrument, Interest Rate, Stated Percentage   7.25%    
Debt Instrument, Face Amount   $ 1,325,000,000    
Discount percentage of par value   99.244%    
Debt Instrument, Redemption Price, Percentage   35.00%    
Percentage of principal amount of Senior Notes accelerated under default   25.00%    
Minimum [Member] | Revolving Credit Facility | London Interbank Offered Rate (LIBOR) [Member]        
Debt Instrument [Line Items]        
Debt Instrument, Basis Spread on Variable Rate   1.25%    
Minimum [Member] | Revolving Credit Facility | Prime Rate [Member]        
Debt Instrument [Line Items]        
Debt Instrument, Basis Spread on Variable Rate   0.25%    
Maximum [Member] | Revolving Credit Facility | London Interbank Offered Rate (LIBOR) [Member]        
Debt Instrument [Line Items]        
Debt Instrument, Basis Spread on Variable Rate   1.50%    
Maximum [Member] | Revolving Credit Facility | Prime Rate [Member]        
Debt Instrument [Line Items]        
Debt Instrument, Basis Spread on Variable Rate   0.50%