SUBSEQUENT EVENTS - Refinancing (Details) - USD ($) $ in Millions |
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3 Months Ended |
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Mar. 02, 2020 |
Mar. 17, 2017 |
Mar. 01, 2017 |
Feb. 09, 2017 |
Nov. 30, 2016 |
Mar. 31, 2020 |
Jan. 31, 2020 |
Dec. 31, 2019 |
May 31, 2019 |
Dec. 31, 2018 |
Oct. 17, 2016 |
| Subsequent Event [Line Items] |
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| Long-term Debt, Gross |
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$ 3,585.2
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| Debt Instrument, Interest Rate, Stated Percentage |
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9.25%
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| Base Rate [Member] | Minimum |
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| Subsequent Event [Line Items] |
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| Debt Instrument, Basis Spread on Variable Rate |
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2.00%
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| Amended ABL Credit Agreement [Member] | Base Rate [Member] | Minimum |
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| Subsequent Event [Line Items] |
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| Line of Credit Facility, Spread On Applicable Margin |
0.25%
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| Amended ABL Credit Agreement [Member] | Base Rate [Member] | Maximum |
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| Subsequent Event [Line Items] |
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| Line of Credit Facility, Spread On Applicable Margin |
0.75%
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| Subsequent Event [Member] | One, Two, Three Or Six Month Or 12-Month LIBOR [Member] |
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| Subsequent Event [Line Items] |
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| Debt Instrument, Basis Spread on Variable Rate |
3.00%
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| Subsequent Event [Member] | One Month LIBOR [Member] |
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| Subsequent Event [Line Items] |
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| Debt Instrument, Basis Spread on Variable Rate |
1.00%
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| Subsequent Event [Member] | Overnight Federal Funds And Overnight LIBOR [Member] |
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| Subsequent Event [Line Items] |
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| Debt Instrument, Basis Spread on Variable Rate |
0.50%
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| Subsequent Event [Member] | Term Loan Credit Agreement [Member] |
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| Subsequent Event [Line Items] |
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| Principal amount tendered in change of control in business combination repurchased |
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$ 0.5
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| Proceeds from Issuance of Debt |
$ 2,200.0
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| Threshold additional loan principal amount |
$ 325.0
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| Percentage of consolidated EBITDA |
60.00%
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| Threshold consolidated total net leverage ratio |
0.0375
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| Threshold consolidated first lien net leverage ratio |
0.0525
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| Pecentage of principal amount amortized |
1.00%
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| Subsequent Event [Member] | Term Loan Credit Agreement [Member] | Minimum |
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| Subsequent Event [Line Items] |
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| Debt Instrument, Basis Spread on Variable Rate |
1.00%
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| Subsequent Event [Member] | Term Loan Credit Agreement [Member] | Maximum |
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| Subsequent Event [Line Items] |
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| Debt Instrument, Basis Spread on Variable Rate |
2.00%
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| Subsequent Event [Member] | Term Loan Credit Agreement [Member] | Interest Rate Swap [Member] |
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| Subsequent Event [Line Items] |
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| Derivative, Notional Amount |
$ 1,200.0
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| Derivative Notional Amount In Next Fiscal Year |
1,000.0
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| Derivative Notional Amount Until Maturity |
1,000.0
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| Subsequent Event [Member] | Amended ABL Credit Agreement [Member] |
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| Subsequent Event [Line Items] |
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| Line of Credit Facility, Maximum Borrowing Capacity |
455.0
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| Line of Credit Facility, Increase In Maximum Borrowing Capacity |
$ 600.0
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| Line of Credit Facility, Unused Capacity, Commitment Fee Percentage |
0.25%
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| Subsequent Event [Member] | Amended ABL Credit Agreement [Member] | Minimum |
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| Subsequent Event [Line Items] |
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| Line of Credit Facility, Unused Capacity, Commitment Fee Percentage |
1.25%
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| Subsequent Event [Member] | Amended ABL Credit Agreement [Member] | Maximum |
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| Subsequent Event [Line Items] |
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| Line of Credit Facility, Unused Capacity, Commitment Fee Percentage |
1.75%
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| Subsequent Event [Member] | Amended ABL Credit Agreement [Member] | One Month LIBOR [Member] |
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| Subsequent Event [Line Items] |
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| Line of Credit Facility, Spread On Applicable Margin |
1.00%
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| Subsequent Event [Member] | Amended ABL Credit Agreement [Member] | Overnight Federal Funds And Overnight LIBOR [Member] |
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| Subsequent Event [Line Items] |
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| Line of Credit Facility, Spread On Applicable Margin |
0.50%
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| Subsequent Event [Member] | Amended ABL Credit Agreement [Member] | Base Rate [Member] |
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| Subsequent Event [Line Items] |
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| Line of Credit Facility, Spread On Applicable Margin |
1.00%
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| Subsequent Event [Member] | ABL Credit Agreement, Subfacility [Member] |
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| Subsequent Event [Line Items] |
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| Line of Credit Facility, Maximum Borrowing Capacity |
$ 200.0
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| Subsequent Event [Member] | ABL Credit Agreement, Swingline Subfacility [Member] |
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| Subsequent Event [Line Items] |
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| Line of Credit Facility, Maximum Borrowing Capacity |
$ 75.0
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| Forecast [Member] | Term Loan Credit Agreement [Member] |
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| Subsequent Event [Line Items] |
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| Redemption premium |
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$ 75.0
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| Write-off of deferred debt issuance costs |
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$ 38.0
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| Term Loan due 2023 |
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| Subsequent Event [Line Items] |
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| Long-term Debt, Gross |
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$ 2,245.0
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2,070.0
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$ 2,070.0
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| Repayments of Long-term Debt |
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$ 500.0
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$ 75.0
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| Term Loan due 2023 | Base Rate [Member] |
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| Subsequent Event [Line Items] |
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| Debt Instrument, Basis Spread on Variable Rate |
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3.00%
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| 9.250% Senior notes due 2024 |
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| Subsequent Event [Line Items] |
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| Long-term Debt, Gross |
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750.0
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750.0
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| 12.00%/13.00% PIK notes due 2022 |
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| Subsequent Event [Line Items] |
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| Long-term Debt, Gross |
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500.0
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500.0
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| Debt Instrument, Interest Rate, Stated Percentage |
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13.00%
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| Repayments of Long-term Debt |
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$ 75.0
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| 12.00%/13.00% PIK notes due 2022 | Minimum |
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| Subsequent Event [Line Items] |
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| Debt Instrument, Interest Rate, Stated Percentage |
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12.00%
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| ABL Revolving Credit Facility |
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| Subsequent Event [Line Items] |
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| Long-term Debt, Gross |
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145.2
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$ 245.1
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| Line of Credit Facility, Maximum Borrowing Capacity |
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$ 400.0
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455.0
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| ABL Revolving Credit Facility | Maximum |
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| Subsequent Event [Line Items] |
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| Debt Instrument, Basis Spread on Variable Rate |
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1.75%
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| 10.00% notes due 2024 |
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| Subsequent Event [Line Items] |
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| Long-term Debt, Gross |
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$ 120.0
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| Debt Instrument, Interest Rate, Stated Percentage |
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10.00%
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