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Long-Term Debt (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Dec. 31, 2010
Jun. 30, 2011
Sep. 30, 2010
Senior notes   $ 750.0  
Long-term Debt, Total   2,187.6 2,634.9
Plus: Unamortized premium (discount), net   3.1 3.2
Less: Current portion   (28.2) (173.2)
Long-term debt, noncurrent   2,162.5 2,464.9
Debt instrument interest rate   0.00%  
Fixed Rate Senior Notes, Series B [Member]
     
Senior notes     29.0
Debt instrument interest rate   0.00% 4.24%
Fixed Rate Senior Notes, Series C [Member]
     
Senior notes   50.0 50.0
Debt instrument interest rate   5.43% 5.43%
Fixed Rate Senior Notes, Series D [Member]
     
Senior notes   32.1 42.9
Debt instrument interest rate   4.76% 4.76%
Fixed Rate Senior Notes, Series E [Member]
     
Senior notes   100.0 100.0
Debt instrument interest rate   5.57% 5.57%
Fixed Rate Senior Notes, Series F [Member]
     
Senior notes   75.0 75.0
Debt instrument interest rate   5.43% 5.43%
Fixed Rate Senior Notes, Series I-1 [Member]
     
Senior notes   75.0 75.0
Debt instrument interest rate   5.56% 5.56%
Fixed Rate Senior Notes, Series I-2 [Member]
     
Senior notes   25.0 25.0
Debt instrument interest rate   5.58% 5.58%
Fixed Rate Senior Notes, Series J [Member]
     
Senior notes   100.0 100.0
Debt instrument interest rate   5.93% 5.93%
Fixed Rate Senior Notes Maturing 2018 [Member]
     
Senior notes   567.1 577.5
Debt instrument interest rate   7.29% 7.29%
Floating Rate Senior Notes Maturing 2018 [Member]
     
Senior notes   20.0 20.0
Debt instrument interest rate   2.80% 2.98%
Fixed Rate Senior Notes Maturing 2020 [Member]
     
Senior notes   67.0 67.0
Debt instrument interest rate   7.39% 7.39%
4.95% Senior Notes Maturing 2020 [Member]
     
Senior notes   300.0 300.0
Debt instrument interest rate   4.95% 4.95%
Fixed Rate Senior Notes maturing 2039
     
Senior notes   450.0 450.0
Debt instrument interest rate   6.63% 6.63%
Fixed Rate Senior Notes, Series 2009A [Member]
     
Senior notes   50.0 50.0
Senior notes maturity date 2009    
Debt instrument interest rate   7.45% 7.45%
Fixed Rate Senior Notes, Series 2009B [Member]
     
Senior notes   50.0 50.0
Senior notes maturity date 2009    
Debt instrument interest rate   7.60% 7.60%
2008 Revolving Credit Agreement
     
Revolving credit agreement     123.4
Debt instrument interest rate   0.00% 1.30%
2010 Revolving Credit Agreement
     
Revolving credit agreement   33.8 300.0
Debt instrument interest rate   2.62% 2.81%
2010 Term Loan
     
Term loan   192.5 200.0
Debt instrument interest rate   2.69% 2.81%
Other
     
Other   0.1 0.1
Parent Company [Member]
     
Long-term debt, noncurrent   $ 2,162.4 $ 2,464.9