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Commitments and Contingencies (Details) - 12 months ended Dec. 31, 2019
R$ in Millions
USD ($)
BRL (R$)
Other Commitments [Line Items]    
Guarantor Obligations, Maximum Exposure, Undiscounted $ 26,700,000  
Interest payments related to indebtedness    
2020 13,900,000  
2021 13,200,000  
2022 10,800,000  
2023 8,000,000.0  
2024 5,800,000  
Thereafter 5,700,000  
Total 57,400,000  
Unconditional purchase obligations    
2020 102,100,000  
2021 20,900,000  
2022 4,500,000  
2023 200,000  
2024 0  
Thereafter 0  
Total 127,700,000  
Other short-term and long-term obligations    
2020 91,700,000  
2021 67,300,000  
2022 38,500,000  
2023 32,400,000  
2024 18,500,000  
Thereafter 47,600,000  
Total 296,000,000.0  
Total contractual cash obligations    
2020 207,700,000  
2021 101,400,000  
2022 53,800,000  
2023 40,600,000  
2024 24,300,000  
Thereafter 53,300,000  
Total 481,100,000  
Guarantees    
2020 44,700,000  
2021 6,100,000  
2022 6,900,000  
2023 5,200,000  
2024 3,200,000  
Thereafter 500,000  
Total 66,600,000  
Loss Contingency [Abstract]    
Tax disallowance not including interest and penalties 32,600,000 R$ 131.5
Retail Finance Joint Venture    
Other Commitments [Line Items]    
Guarantor Obligations, Maximum Inventory Exposure per Calendar Year, Undiscounted 6,000,000.0  
Designated as Hedging Instrument | Cash Flow Hedging    
Off Balance Sheet Arrangements [Abstract]    
Notional amount of foreign currency derivatives 3,133,000,000.0  
Third-Party Payor [Member]    
Guarantees    
Total 47,600,000  
Other Joint Ventures [Member]    
Guarantees    
Total $ 18,900,000