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Commitments and Contingencies (Details)
R$ in Millions
12 Months Ended
Dec. 31, 2018
USD ($)
Dec. 31, 2017
USD ($)
Dec. 31, 2016
USD ($)
Dec. 31, 2018
BRL (R$)
Interest payments related to indebtedness        
2018 $ 15,000,000      
2019 11,400,000      
2020 10,600,000      
2021 8,200,000      
2022 5,200,000      
Thereafter 8,600,000      
Total 59,000,000      
Capital lease obligations        
2018 4,600,000      
2019 3,900,000      
2020 2,000,000      
2021 900,000      
2022 600,000      
Thereafter 3,500,000      
Total 15,500,000      
Operating lease obligations        
2018 46,700,000      
2019 39,500,000      
2020 32,600,000      
2021 26,000,000      
2022 21,700,000      
Thereafter 85,500,000      
Total 252,000,000      
Unconditional purchase obligations        
2018 79,100,000      
2019 10,800,000      
2020 6,900,000      
2021 1,000,000      
2022 0      
Thereafter 0      
Total 97,800,000      
Other short-term and long-term obligations        
2018 98,900,000      
2019 83,700,000      
2020 53,500,000      
2021 22,100,000      
2022 26,800,000      
Thereafter 37,400,000      
Total 322,400,000      
Total contractual cash obligations        
2018 244,300,000      
2019 149,300,000      
2020 105,600,000      
2021 58,200,000      
2022 54,300,000      
Thereafter 135,000,000      
Total 746,700,000      
Guarantees        
2018 36,900,000      
2019 4,700,000      
2020 5,200,000      
2021 3,600,000      
2022 3,100,000      
Thereafter 700,000      
Total 54,200,000      
Guarantees [Abstract]        
Guaranteed indebtedness owed to third parties 54,200,000      
Total lease expense 72,100,000 $ 73,000,000 $ 76,800,000  
Loss Contingency [Abstract]        
Tax disallowance not including interest and penalties 33,900,000     R$ 131.5
Retail Finance Joint Venture        
Guarantees [Abstract]        
Maximum inventory exposure per calendar year 6,000,000      
Designated as Hedging Instrument | Cash Flow Hedging        
Guarantees [Abstract]        
Notional amount of foreign currency derivatives 1,462,800,000      
Third-Party Payor [Member]        
Guarantees        
Total 40,600,000      
Guarantees [Abstract]        
Guaranteed indebtedness owed to third parties 40,600,000      
Other Joint Ventures [Member]        
Guarantees        
Total 13,600,000      
Guarantees [Abstract]        
Guaranteed indebtedness owed to third parties $ 13,600,000