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Debt (Tables)
3 Months Ended
Mar. 31, 2016
Debt Disclosure [Abstract]  
Schedule of Extinguishment of Debt
On April 5, 2016, we purchased the following amounts (in millions):
 
 
Aggregate Principal Amount Purchased(1)
 
Aggregate Purchase Price(2)
 
Discount %
8.50% Senior Notes due 2019
 
$
45.7

 
$
38.3

 
16.2
%
6.875% Senior Notes due 2020
 
140.1

 
103.7

 
26.0
%
4.70% Senior Notes due 2021
 
642.5

 
462.6

 
28.0
%
4.50% Senior Notes due 2024
 
1.7

 
0.9

 
47.1
%
5.20% Senior Notes due 2025
 
30.7

 
16.8

 
45.3
%
Total
 
$
860.7

 
$
622.3

 
27.7
%

(1) 
As of March 31, 2016, these amounts, along with associated discounts, premiums and debt issuance costs, were classified as current liabilities in our condensed consolidated balance sheet.
(2) 
Excludes accrued interest paid to holders who tendered in connection with the Tender Offers