Rendering

Component: (Network and Table)
Network
090900 - Disclosure - Long-Term Debt (Details)
(http://ropertech.com/role/LongtermDebtDetails)
TableSchedule of Long-term Debt Instruments [Table]
Slicers (applies to each fact value in each table cell)
Debt Instrument [Line Items]Period [Axis]
2016-01-01 - 2016-12-31
2015-12-31
Debt Instrument [Axis]Debt Instrument [Axis]
Credit Facility Member 2016 [Member]Credit Facility Member 2012 [Member]Senior Notes 2017 [Member]Senior Notes 2018 [Member]Senior Notes 2019 [Member]Senior Notes 2020 [Member]Senior Notes 2021 [Member]Senior Notes 2022 [Member]Senior Notes 2025 [Member]Senior Notes 2026 [Member]Senior Notes Total [Member]Capital Lease Obligations And Foreign Letter Of Credit Issuance [Member]Senior Subordinated Notes [Member]Debt Instrument, Name [Domain]Credit Facility Member 2016 [Member]Credit Facility Member 2012 [Member]Senior Notes 2017 [Member]Senior Notes 2018 [Member]Senior Notes 2019 [Member]Senior Notes 2020 [Member]Senior Notes 2021 [Member]Senior Notes 2022 [Member]Senior Notes 2025 [Member]Senior Notes 2026 [Member]Capital Lease Obligations And Foreign Letter Of Credit Issuance [Member]Senior Subordinated Notes [Member]Debt Instrument, Name [Domain]
Total Debt
             
6,209,536,000  
            
3,271,222,000  
Less unamortized debt issuance costs
             
(23,453,000) 
            
(17,392,000) 
Current Portion
             
400,975,000  
            
6,805,000  
Long-term debt, net of current portion
             
5,808,561,000  
            
3,264,417,000  
Issuance date
  
2012-11-21  
2013-06-06  
2009-09-15  
2015-12-07  
2016-12-19  
2012-11-21  
2015-12-07  
2016-12-19  
                 
Stated interest rate percentage - debt instruments
  
1.85%  
2.05%  
6.25%  
3.00%  
2.80%  
3.125%  
3.85%  
3.80%  
  
3.75%  
              
Principal issuance percentage
                           
Face value of debt
1,930,000,000  
0  
400,000,000  
800,000,000  
500,000,000  
600,000,000  
500,000,000  
500,000,000  
300,000,000  
700,000,000  
4,300,000,000  
2,989,000  
0  
 
0  
180,000,000  
400,000,000  
800,000,000  
500,000,000  
600,000,000  
0  
500,000,000  
300,000,000  
0  
4,435,000  
4,179,000  
 
Periodic interest payments
  
semi-annually  
semi-annually  
semi-annually  
semi-annually  
semi-annually  
semi-annually  
semi-annually  
semi-annually  
                 
Periodic interest payments, start
  
May 15, 2013  
October 1, 2013  
March 1, 2010  
June 15, 2016  
June 15, 2017  
May 15, 2013  
June 15, 2016  
June 15, 2017  
                 
Maturity date
  
2017-11-15  
2018-10-01  
2019-09-01  
2020-12-15  
2021-12-15  
2022-11-15  
2025-12-15  
2026-12-15  
                 
Net proceeds from debt
                           
Subordinated Convertible Notes
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
Subordinated convertible notes, original public offering amount
            
230,000,000  
              
Original issue discount
                           
Cash payments for debt conversions
            
18,500,000  
              
Future maturities of long term debt [Abstract]
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
2016
             
401,595,000  
             
2017
             
800,840,000  
             
2018
             
500,407,000  
             
2019
             
600,147,000  
             
2020
             
500,000,000  
             
Thereafter
             
3,430,000,000  
             
Total
             
6,232,989,000