Quarterly report pursuant to Section 13 or 15(d)

Impact of COVID-19 - Schedule of Restructuring Plan and Obligations Remained Outstanding (Detail)

v3.20.2
Impact of COVID-19 - Schedule of Restructuring Plan and Obligations Remained Outstanding (Detail)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2020
USD ($)
Jun. 30, 2020
USD ($)
Unusual Or Infrequent Item [Line Items]    
Restructuring costs $ 19,538 $ 19,538
2020 Restructuring Plan | U.S. Operating Segment    
Unusual Or Infrequent Item [Line Items]    
Restructuring costs 16,544  
Amounts paid (572)  
Noncash write-offs 88  
Reserve balance at June 30, 2020 16,060 16,060
2020 Restructuring Plan | U.S. Operating Segment | Employee Related    
Unusual Or Infrequent Item [Line Items]    
Restructuring costs 8,955  
Amounts paid (90)  
Reserve balance at June 30, 2020 8,865 8,865
2020 Restructuring Plan | U.S. Operating Segment | Facility Closure Costs    
Unusual Or Infrequent Item [Line Items]    
Restructuring costs 7,589  
Amounts paid (482)  
Noncash write-offs 88  
Reserve balance at June 30, 2020 7,195 7,195
2020 Restructuring Plan | International Operating Segment    
Unusual Or Infrequent Item [Line Items]    
Restructuring costs 2,994  
Amounts paid (42)  
Noncash write-offs (2,374)  
Reserve balance at June 30, 2020 578 578
2020 Restructuring Plan | International Operating Segment | Employee Related    
Unusual Or Infrequent Item [Line Items]    
Restructuring costs 163  
Reserve balance at June 30, 2020 163 163
2020 Restructuring Plan | International Operating Segment | Facility Closure Costs    
Unusual Or Infrequent Item [Line Items]    
Restructuring costs 2,831  
Amounts paid (42)  
Noncash write-offs (2,374)  
Reserve balance at June 30, 2020 415 415
2020 Restructuring Plan | Consolidated    
Unusual Or Infrequent Item [Line Items]    
Restructuring costs 19,538  
Amounts paid (614)  
Noncash write-offs (2,286)  
Reserve balance at June 30, 2020 16,638 16,638
2020 Restructuring Plan | Consolidated | Employee Related    
Unusual Or Infrequent Item [Line Items]    
Restructuring costs 9,118  
Amounts paid (90)  
Reserve balance at June 30, 2020 9,028 9,028
2020 Restructuring Plan | Consolidated | Facility Closure Costs    
Unusual Or Infrequent Item [Line Items]    
Restructuring costs 10,420  
Amounts paid (524)  
Noncash write-offs (2,286)  
Reserve balance at June 30, 2020 $ 7,610 $ 7,610