Quarterly report pursuant to Section 13 or 15(d)

Borrowings (Details)

v3.7.0.1
Borrowings (Details) - USD ($)
$ in Millions
3 Months Ended
May 31, 2017
Feb. 28, 2017
Short-term Debt    
Notes payable to banks $ 988.1 $ 606.5
Notes payable to banks, Long-term 0.0  
Notes payable to banks, Total 988.1 606.5
Long-term Debt    
Other, Current 17.2  
Other, Long-term 217.9  
Other, Total 235.1 227.1
Long-term debt, Current 146.2 910.9
Long-term debt, Long-term 8,077.2 7,720.7
Long-term debt, Total 8,223.4 8,631.6
Senior Credit Facility - Term Loans [Member]    
Long-term Debt    
Senior Credit Facility - Term Loans, Current 129.0  
Senior Credit Facility - Term Loans, Long-term 2,458.1  
Senior Credit Facility - Term Loans, Total 2,587.1 3,787.5
Senior Credit Facility - Term Loans [Member] | U.S. Term A-1 Facility [Member]    
Long-term Debt    
Senior Credit Facility - Term Loans, Total $ 237.4  
Interest rate 2.70%  
LIBOR margin 1.75%  
Senior Credit Facility - Term Loans [Member] | European Term A Facility [Member]    
Long-term Debt    
Senior Credit Facility - Term Loans, Total $ 1,299.4  
Interest rate 2.50%  
LIBOR margin 1.50%  
Senior Credit Facility - Term Loans [Member] | European Term A-1 Facility [Member]    
Long-term Debt    
Senior Credit Facility - Term Loans, Total $ 662.4  
Interest rate 2.50%  
LIBOR margin 1.50%  
Senior Credit Facility - Term Loans [Member] | European Term A-2 Facility [Member]    
Long-term Debt    
Senior Credit Facility - Term Loans, Total $ 387.9  
Interest rate 2.50%  
LIBOR margin 1.50%  
Senior Notes [Member]    
Long-term Debt    
Senior Notes, Current $ 0.0  
Senior Notes, Long-term 5,401.2  
Senior Notes, Total 5,401.2 4,617.0
Senior Notes [Member] | May 2017 Five Year Senior Notes [Member]    
Long-term Debt    
Debt instrument, face amount $ 500.0  
Percentage of outstanding principal amount as redemption price 100.00%  
Basis points above adjusted treasury rate 15.00%  
Coupon rate of notes 2.70%  
Senior Notes [Member] | May 2017 Ten Year Senior Notes [Member]    
Long-term Debt    
Debt instrument, face amount $ 500.0  
Percentage of outstanding principal amount as redemption price 100.00%  
Basis points above adjusted treasury rate 20.00%  
Coupon rate of notes 3.50%  
Senior Notes [Member] | May 2017 Thirty Year Senior Notes [Member]    
Long-term Debt    
Debt instrument, face amount $ 500.0  
Percentage of outstanding principal amount as redemption price 100.00%  
Basis points above adjusted treasury rate 25.00%  
Coupon rate of notes 4.50%  
Senior Credit Facility - Revolving Credit Loans [Member]    
Short-term Debt    
Notes payable to banks $ 505.0  
Notes payable to banks, Long-term 0.0  
Notes payable to banks, Total $ 505.0 231.0
Long-term Debt    
Interest rate 2.50%  
LIBOR margin 1.50%  
Remaining borrowing capacity $ 627.5  
Letters of Credit [Member]    
Long-term Debt    
Outstanding letters of credit 17.5  
Other [Member]    
Short-term Debt    
Notes payable to banks 483.1  
Notes payable to banks, Long-term 0.0  
Notes payable to banks, Total 483.1 $ 375.5
Other [Member] | CBI Accounts Receivable Securitization Facility [Member]    
Short-term Debt    
Notes payable to banks $ 198.2  
Long-term Debt    
Interest rate 1.90%  
Remaining borrowing capacity $ 101.8  
Other [Member] | Crown Accounts Receivable Securitization Facility [Member]    
Short-term Debt    
Notes payable to banks $ 206.0  
Long-term Debt    
Interest rate 1.90%  
Remaining borrowing capacity $ 4.0