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Debt (Tables)
12 Months Ended
Dec. 31, 2013
Debt Disclosure [Abstract]  
Long-term Debt Obligations , Net of Current Maturities
The following table summarizes our long-term debt obligations, net of current maturities, at December 31. The interest rates shown in parentheses are as of December 31, 2013.

($ in millions)
December 31,
2013
 
December 31,
2012
Euro note A, due 2013 (4.22%)
$

 
$
26.9

Term loan, due 2014 (8.40%)
0.1

 
0.2

Series B floating rate notes, due 2015 (1.14%)
25.0

 
25.0

Euro note B, due 2016 (4.38%)
84.1

 
80.8

Capital leases, due through 2016 (6.0%)
0.4

 
0.7

Revolving credit facility, due 2017 (1.68%)
53.7

 
71.5

Term loan, due 2018 (1.67%)
41.3

 
35.3

Note payable, due 2019
0.3

 

Series A notes, due 2022 (3.67%)
42.0

 
42.0

Series B notes, due 2024 (3.82%)
53.0

 
53.0

Series C notes, due 2027 (4.02%)
73.0

 
73.0

Convertible debt, due 2047 (4.0%)
0.6

 
3.1

Total debt
373.5

 
411.5

Less: current portion of long-term debt
2.2

 
32.7

Long-term debt
$
371.3

 
$
378.8