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Indebtedness (Details 2)
12 Months Ended
Sep. 01, 2015
USD ($)
Dec. 31, 2015
USD ($)
Dec. 31, 2014
USD ($)
Senior credit facility      
Credit Facilities      
Maximum borrowing capacity under financing arrangement   $ 1,200,000,000  
Domestic revolving credit facility      
Credit Facilities      
Maximum borrowing capacity under financing arrangement $ 200,000,000    
Amount of available borrowing capacity   301,900,000  
Letters of credit issued, amount outstanding   48,100,000  
Foreign credit instrument facility      
Credit Facilities      
Maximum borrowing capacity under financing arrangement 150,000,000    
Amount of available borrowing capacity   224,100,000  
Letters of credit issued, amount outstanding   275,900,000  
Trade receivables financing arrangement      
Credit Facilities      
Maximum borrowing capacity under financing arrangement   $ 50,000,000.0  
Term loan | Senior credit facility      
Credit Facilities      
Maximum borrowing capacity under financing arrangement 350,000,000    
Participation Foreign Credit Instrument Facility | Letters of credit and guarantees      
Credit Facilities      
Maximum borrowing capacity under financing arrangement 300,000,000    
Bilateral foreign credit instrument facility | Letters of credit and guarantees      
Credit Facilities      
Maximum borrowing capacity under financing arrangement 200,000,000    
SPX Flow Credit Agreement | Loan | SPX Flow, Inc | Discontinued Operations, Disposed of by Means Other than Sale, Spinoff      
Credit Facilities      
Maximum borrowing capacity under financing arrangement $ 350,000,000    
Principal amount of the term loan repayable in quarterly installments (as a percentage) 5.00%    
Aggregate principal amount $ 300,000,000.0    
Net cash and cash equivalents $ 50,000,000    
Consolidated senior secured leverage ratio 2.75    
SPX Flow Credit Agreement | Loan | Alternative base rate | SPX Flow, Inc | Discontinued Operations, Disposed of by Means Other than Sale, Spinoff      
Credit Facilities      
Description of variable rate (as a percent) alternate base rate    
SPX Flow Credit Agreement | Loan | Federal Funds Effective Swap Rate | SPX Flow, Inc | Discontinued Operations, Disposed of by Means Other than Sale, Spinoff      
Credit Facilities      
Description of variable rate (as a percent) federal funds effective rate    
Basis spread on variable rate (as a percent) 0.50%    
SPX Flow Credit Agreement | Loan | Prime Rate | SPX Flow, Inc | Discontinued Operations, Disposed of by Means Other than Sale, Spinoff      
Credit Facilities      
Description of variable rate (as a percent) prime rate    
SPX Flow Credit Agreement | Loan | One-Month LIBOR | SPX Flow, Inc | Discontinued Operations, Disposed of by Means Other than Sale, Spinoff      
Credit Facilities      
Description of variable rate (as a percent) one-month LIBOR    
Basis spread on variable rate (as a percent) 1.00%    
SPX Flow Credit Agreement | Loan | Reserve adjusted LIBOR | SPX Flow, Inc | Discontinued Operations, Disposed of by Means Other than Sale, Spinoff      
Credit Facilities      
Description of variable rate (as a percent) reserve-adjusted LIBOR    
SPX Flow Credit Agreement | Loan | London Interbank Offered Rate (LIBOR), Period One | SPX Flow, Inc | Discontinued Operations, Disposed of by Means Other than Sale, Spinoff      
Credit Facilities      
Interest period which may be elected, shortest 1 month    
SPX Flow Credit Agreement | Loan | London Interbank Offered Rate (LIBOR), Period Two | SPX Flow, Inc | Discontinued Operations, Disposed of by Means Other than Sale, Spinoff      
Credit Facilities      
Interest period which may be elected, shortest 2 months    
SPX Flow Credit Agreement | Loan | London Interbank Offered Rate (LIBOR), Period Three | SPX Flow, Inc | Discontinued Operations, Disposed of by Means Other than Sale, Spinoff      
Credit Facilities      
Interest period which may be elected, shortest 3 months    
SPX Flow Credit Agreement | Loan | London Interbank Offered Rate (LIBOR), Period Four | SPX Flow, Inc | Discontinued Operations, Disposed of by Means Other than Sale, Spinoff      
Credit Facilities      
Interest period which may be elected, shortest 6 months    
SPX Flow Credit Agreement | Senior credit facility | SPX Flow, Inc | Discontinued Operations, Disposed of by Means Other than Sale, Spinoff      
Credit Facilities      
Maximum borrowing capacity under financing arrangement $ 1,350,000,000    
Weighted-average interest rate of senior credit facilities (as a percent)   2.20%  
Maximum period within which net proceeds should be reinvested   360 days  
Period after end of 360 day period if committed to be reinvested   180 days  
Percentage of capital stock 100.00%    
Percentage of capital stock of material first tier foreign subsidiaries 65.00%    
Consolidated interest coverage ratio 3.50    
Consolidated leverage ratio 3.25    
Consolidated leverage ratio after certain permitted acquisitions 3.5    
Consolidated leverage ratio to repurchase capital stock and pay cash dividends 2.5    
Aggregate amount of repurchases and dividend declarations $ 50,000,000    
Additional amount for all such repurchases and dividend declarations after effective date $ 100,000,000    
Percentage of cumulative consolidated net income 50.00%    
Percentage of cumulative consolidated net deficit (100.00%)    
SPX Flow Credit Agreement | Foreign credit instrument facility | SPX Flow, Inc | Discontinued Operations, Disposed of by Means Other than Sale, Spinoff      
Credit Facilities      
Fronting fees percentage 0.25%    
SPX Flow Credit Agreement | Letters of credit and guarantees | SPX Flow, Inc | Discontinued Operations, Disposed of by Means Other than Sale, Spinoff      
Credit Facilities      
Fronting fees percentage 0.125%    
Purchase Card Program | Loan      
Credit Facilities      
Amount outstanding under purchase card programs   $ 4,800,000 $ 32,100,000