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Long-Term Debt - Additional Information (Detail) - USD ($)
1 Months Ended 3 Months Ended 12 Months Ended
Apr. 01, 2016
Jul. 14, 2015
Jun. 26, 2015
Jun. 17, 2015
Mar. 25, 2015
Mar. 13, 2015
Feb. 21, 2014
Apr. 30, 2013
Apr. 02, 2016
Apr. 04, 2015
Sep. 27, 2014
Jun. 29, 2013
Jan. 02, 2016
Jun. 22, 2015
Mar. 20, 2015
Sep. 26, 2014
Apr. 02, 2013
Debt Instrument                                  
Fees incurred in connection with debt refinancing                       $ 44,817,000          
Payments of term loan               $ 2,399,904,000 $ 149,573,000 $ 65,139,000              
Gain (loss) on early debt extinguishment                 0 $ 4,776,000   $ 21,685,000          
Credit facility drew down amount   $ 48,000,000                              
Credit Facility, aggregate principal amount outstanding                 $ 2,085,000,000       $ 2,234,573,000        
Additional applicable margin in the event the Company receives a corporate rating of BB- from S&P (or lower) and a corporate rating of Ba3 from Moody's (or lower)                 0.25%                
Average interest rate on debt, exclusive the impact of swaps                 4.32%       4.34%        
Average interest rate on debt, including the impact of swaps                 5.25%       5.45%        
Tranche B-1 Term Facility due April 2, 2016                                  
Debt Instrument                                  
WWI Credit Facility, maximum borrowing capacity                                 $ 300,000,000
Fees incurred in connection with debt refinancing     $ 641,000   $ 601,000                        
Gain (loss) on early debt extinguishment     6,677,000   4,749,000                        
Prepayment of accepted offers     77,225,000   57,389,000                        
Accrued and unpaid interest on the amount to be prepaid     84,862,000   63,065,000                        
Reduction in obligation         59,728,000                        
Debt instrument, voluntary prepayment         2,500,000                        
Write-off of deferred financing fees     $ 321,000   $ 326,000                        
Payments of term loan, Principal Amount $ 144,323,000                                
Credit Facility, aggregate principal amount outstanding                 $ 0       $ 144,323,000        
Tranche B-1 Term Facility due April 2, 2016 | London Interbank Offered Rate (LIBOR)                                  
Debt Instrument                                  
WWI Credit Facility, additional interest rate             2.75%   3.00%                
Tranche B-1 Term Facility due April 2, 2016 | Maximum                                  
Debt Instrument                                  
Aggregate principal amount, discount par value       $ 229,000,000   $ 75,000,000                      
Tranche B-1 Term Facility due April 2, 2016 | Minimum                                  
Debt Instrument                                  
Debt instrument, interest rate, effective percentage                           9.00% 9.00%    
Tranche B-2 Term Facility due April 2, 2020                                  
Debt Instrument                                  
WWI Credit Facility, maximum borrowing capacity                                 2,100,000,000
Credit Facility, aggregate principal amount outstanding                 $ 2,037,000,000       2,042,250,000        
Tranche B-2 Term Facility due April 2, 2020 | London Interbank Offered Rate (LIBOR)                                  
Debt Instrument                                  
WWI Credit Facility, minimum interest rate                 0.75%                
WWI Credit Facility, additional interest rate             3.00%   3.25%                
Tranche B-2 Term Facility due April 2, 2020 | Base Rate Plus                                  
Debt Instrument                                  
WWI Credit Facility, minimum interest rate                 1.75%                
Term B Loan due January 26, 2014                                  
Debt Instrument                                  
Payments of term loan               128,759,000                  
Term C Loan due June 30, 2015                                  
Debt Instrument                                  
Payments of term loan               110,602,000                  
Term D Loan due June 30, 2016                                  
Debt Instrument                                  
Payments of term loan               117,612,000                  
Term E Loan due March 15, 2017                                  
Debt Instrument                                  
Payments of term loan               1,125,044,000                  
Term F Loan due March 15, 2019                                  
Debt Instrument                                  
Payments of term loan               817,887,000                  
Revolver A-1 Loan due June 30, 2014                                  
Debt Instrument                                  
Payments of term loan               21,247,000                  
Revolver A-2 Loan due March 15, 2017                                  
Debt Instrument                                  
Payments of term loan               $ 78,753,000                  
Term Loan Facility                                  
Debt Instrument                                  
Debt outstanding amount                 $ 2,013,664,000       2,161,619,000       2,400,000,000
Revolving Facility due April 2, 2018                                  
Debt Instrument                                  
WWI Credit Facility, maximum borrowing capacity                               $ 50,000,000 250,000,000
Credit facility available amount                 181,000               $ 248,848,000
Write-off of deferred financing fees related to amendment                     $ 1,583,000            
Credit Facility, aggregate principal amount outstanding                 48,000,000       $ 48,000,000        
Loan outstanding under the revolving facility                 48,000,000                
Line of credit facility, issued but undrawn letters of credit                 $ 1,819,000                
Revolving credit facility, commitment fee on unused commitments                 0.50%       0.50%        
Customary letter of credit fees and fronting fees                 $ 12,000       $ 48,000        
Revolving credit facility, commitment fee amount                         $ 186,000        
Revolving Facility due April 2, 2018 | London Interbank Offered Rate (LIBOR)                                  
Debt Instrument                                  
WWI Credit Facility, additional interest rate                 2.50%