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DEBT (Details) - USD ($)
5 Months Ended 8 Months Ended 9 Months Ended 11 Months Ended 12 Months Ended 20 Months Ended 24 Months Ended
Aug. 01, 2022
Oct. 30, 2022
Feb. 28, 2022
May 31, 2021
Jun. 14, 2026
Jun. 14, 2025
Jun. 14, 2024
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2019
Feb. 28, 2022
Jun. 14, 2028
Aug. 02, 2022
Mar. 01, 2022
Jun. 01, 2021
Dec. 14, 2020
Jun. 22, 2020
Debt Instrument [Line Items]                                    
Long-term Debt, Percentage Bearing Variable Interest, Percentage Rate               6.23%                    
Accounts Receivable from Securitization               $ 1,550,000,000 $ 1,535,000,000                  
Percentage of principal amount of Senior Notes accelerated under default               0.25                    
Debt Issuance Costs, Net               (37,400,000) $ (51,100,000)                  
Long-term Debt, Gross               $ 5,364,600,000                    
Foreign Line of Credit [Member]                                    
Debt Instrument [Line Items]                                    
Debt, Weighted Average Interest Rate               0.85% 4.84%                  
Long-term debt               $ 1,000,000.0 $ 7,100,000                  
Accounts Receivable Securitization Facility [Member]                                    
Debt Instrument [Line Items]                                    
Debt Instrument, Maturity Date       Jun. 22, 2023                            
Debt Instrument, Basis Spread on Variable Rate       1.20%       1.05%     0.95%              
Accounts Receivable Eligible for Securitization               $ 2,146,900,000 2,028,200,000                  
Line of Credit Facility, Opportunity to Increase Borrowing Capacity       $ 1,400,000,000       1,750,000,000                    
Debt Instrument, Unused Borrowing Capacity, Amount               1,625,000,000     $ 600,000,000             $ 1,025,000,000
Long-term debt               $ 1,550,000,000 $ 1,535,000,000                  
Debt Instrument, Interest Rate, Stated Percentage                 0.50%                  
Commitment Fee               0.45%                    
5.50% Senior Notes due 2023 [Member]                                    
Debt Instrument [Line Items]                                    
Debt Instrument, Maturity Date               Mar. 01, 2023                    
Long-term debt               $ 0 $ 58,600,000                  
Debt Instrument, Interest Rate, Stated Percentage               5.50%                    
Debt Instrument, Face Amount               $ 350,000,000                    
Senior Notes tender offer consideration per $1,000 principal amount               $ 50.00                    
6.00% Senior Notes due 2025 [Member]                                    
Debt Instrument [Line Items]                                    
Debt Instrument, Maturity Date               Dec. 01, 2025                    
Long-term debt               $ 4,200,000                    
Debt Instrument, Interest Rate, Stated Percentage               6.00%                    
Debt Instrument, Face Amount               $ 250,000,000                    
Senior Notes consent fee per $1,000 principal amount               2.50                    
Senior Notes tender offer consideration per $1,000 principal amount               $ 1,012.5                    
A7125 Senior Notes Due 2025                                    
Debt Instrument [Line Items]                                    
Debt Instrument, Maturity Date               Jun. 15, 2025                    
Debt Instrument, Issuance Date               Jun. 12, 2020                    
Long-term debt               $ 1,500,000,000 1,500,000,000                  
Debt Instrument, Interest Rate, Stated Percentage               7.125%                    
Debt Instrument, Face Amount               $ 1,500,000,000                    
Discount percentage of par value               100.00%                    
Deferred Finance Costs, Gross               $ 33,100,000                    
A7125 Senior Notes Due 2025 | Forecast [Member]                                    
Debt Instrument [Line Items]                                    
Debt Instrument, Redemption Price, Percentage of Principal Amount Redeemed           100.00% 101.781%                      
A7250 Senior Notes Due 2028                                    
Debt Instrument [Line Items]                                    
Debt Instrument, Maturity Date               Jun. 15, 2028                    
Debt Instrument, Issuance Date               Jun. 12, 2020                    
Long-term debt               $ 1,319,400,000 1,318,200,000                  
Debt Instrument, Interest Rate, Stated Percentage               7.25%                    
Debt Instrument, Face Amount               $ 1,325,000,000                    
Discount percentage of par value               99.244%                    
Deferred Finance Costs, Gross               $ 29,300,000                    
A7250 Senior Notes Due 2028 | Forecast [Member]                                    
Debt Instrument [Line Items]                                    
Debt Instrument, Redemption Price, Percentage of Principal Amount Redeemed         101.208% 102.417% 103.625%           100.00%          
Revolving credit facility                                    
Debt Instrument [Line Items]                                    
Debt Instrument, Maturity Date               Mar. 01, 2027       Jun. 22, 2025            
Line of Credit Facility, Opportunity to Increase Borrowing Capacity   $ 650,000,000           $ 450,000,000   $ 400,000,000                
Debt Instrument, Unused Borrowing Capacity, Amount               $ 1,725,000,000           $ 1,525,000,000 $ 1,350,000,000   $ 1,200,000,000 $ 1,100,000,000
Debt Instrument, Interest Rate During Period               6.89%                    
Debt Instrument, Increase, Additional Borrowings               $ 2,997,200,000 3,990,000,000                  
Debt Instrument, Decrease, Repayments               3,067,500,000 3,557,100,000                  
Long-term debt               953,000,000.0 1,023,600,000                  
Line of Credit Facility, Remaining Borrowing Capacity               736,000,000 $ 664,900,000                  
Canadian Dollar Sub-Facility Commitment               625,000,000   500,000,000       600,000,000 550,000,000      
Limit on dividends               80,000,000   $ 50,000,000                
Revolving credit facility | Letter of Credit [Member]                                    
Debt Instrument [Line Items]                                    
Debt Instrument, Unused Borrowing Capacity, Amount               $ 175,000,000                    
Accounts Receivable Securitization Facility Amended                                    
Debt Instrument [Line Items]                                    
Debt Instrument, Maturity Date     Jun. 21, 2024         Mar. 01, 2025                    
Debt Instrument, Basis Spread on Variable Rate 1.10%   1.15%                              
Line of Credit Facility, Opportunity to Increase Borrowing Capacity     $ 1,500,000,000                              
Debt Instrument, Unused Borrowing Capacity, Amount                           $ 1,525,000,000 $ 1,400,000,000 $ 1,300,000,000 $ 1,200,000,000  
Debt Instrument, Interest Rate, Stated Percentage                 0.00%                  
Minimum | Foreign Line of Credit [Member]                                    
Debt Instrument [Line Items]                                    
Line of Credit Facility, Current Borrowing Capacity               $ 600,000                    
Maximum | Foreign Line of Credit [Member]                                    
Debt Instrument [Line Items]                                    
Line of Credit Facility, Current Borrowing Capacity               $ 10,000,000                    
Prime Rate [Member] | Minimum | Revolving credit facility                                    
Debt Instrument [Line Items]                                    
Debt Instrument, Basis Spread on Variable Rate               0.00%                    
Prime Rate [Member] | Maximum | Revolving credit facility                                    
Debt Instrument [Line Items]                                    
Debt Instrument, Basis Spread on Variable Rate               0.50%                    
Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate | Minimum | Revolving credit facility                                    
Debt Instrument [Line Items]                                    
Debt Instrument, Basis Spread on Variable Rate               1.00%                    
Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate | Maximum | Revolving credit facility                                    
Debt Instrument [Line Items]                                    
Debt Instrument, Basis Spread on Variable Rate               1.50%