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Employee Benefit Plans (Assets Measured at NAV) (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
Assets Category:    
Fair Value $ 291.0 $ 318.6
NAV [Member]    
Assets Category:    
Fair Value $ 283.8 314.7
Fixed Income [Member] | United Kingdom Pension Plans [Member]    
Assets Category:    
Weighted average maturity period 5 years  
Commingled Pools / Collective Trusts [Member] | U.S. Equity [Member]    
Assets Category:    
Fair Value   $ 34.7
Redemption Frequency (if currently eligible) Daily Daily
Redemption Notice Period 5 days 5 days
Commingled Pools / Collective Trusts [Member] | International Equity [Member]    
Assets Category:    
Fair Value   $ 42.2
Redemption Frequency (if currently eligible) Daily Daily
Redemption Notice Period 5 days 5 days
Commingled Pools / Collective Trusts [Member] | Fixed Income [Member]    
Assets Category:    
Fair Value $ 146.2 $ 197.9
Redemption Frequency (if currently eligible) Daily Daily
Balanced pension trusts [Member] | International Equity [Member]    
Assets Category:    
Fair Value   $ 4.6
Redemption Frequency (if currently eligible) Daily Daily
Balanced pension trusts [Member] | Fixed Income [Member]    
Assets Category:    
Fair Value $ 12.0 $ 13.6
Redemption Frequency (if currently eligible) Daily Daily
Pension Funds [Member] | International Equity [Member]    
Assets Category:    
Fair Value   $ 3.3
Redemption Frequency (if currently eligible) Daily Daily
Pension Funds [Member] | Fixed Income [Member]    
Assets Category:    
Fair Value   $ 5.9
Redemption Frequency (if currently eligible) Daily Daily
Pension Fund Member | Fixed Income [Member]    
Assets Category:    
Fair Value $ 8.9 $ 5.9
Pension Fund Member | Blend [Domain]    
Assets Category:    
Fair Value $ 7.8 $ 12.5
Minimum [Member] | Commingled Pools / Collective Trusts [Member] | Fixed Income [Member]    
Assets Category:    
Redemption Notice Period 5 years 5 years
Minimum [Member] | Balanced pension trusts [Member] | International Equity [Member]    
Assets Category:    
Redemption Notice Period 3 days 3 days
Minimum [Member] | Balanced pension trusts [Member] | Fixed Income [Member]    
Assets Category:    
Redemption Notice Period 3 days 3 days
Minimum [Member] | Pension Funds [Member] | International Equity [Member]    
Assets Category:    
Redemption Notice Period 1 day 1 day
Minimum [Member] | Pension Funds [Member] | Fixed Income [Member]    
Assets Category:    
Redemption Notice Period 1 day 1 day
Maximum [Member] | Commingled Pools / Collective Trusts [Member] | Fixed Income [Member]    
Assets Category:    
Redemption Notice Period 15 days 15 days
Maximum [Member] | Balanced pension trusts [Member] | International Equity [Member]    
Assets Category:    
Redemption Notice Period 5 years 5 years
Maximum [Member] | Balanced pension trusts [Member] | Fixed Income [Member]    
Assets Category:    
Redemption Notice Period 5 years 5 years
Maximum [Member] | Pension Funds [Member] | International Equity [Member]    
Assets Category:    
Redemption Notice Period 7 days 7 days
Maximum [Member] | Pension Funds [Member] | Fixed Income [Member]    
Assets Category:    
Redemption Notice Period 7 days 7 days
Fair Value, Inputs, Level 2 [Member]    
Assets Category:    
Fair Value $ 283.8 $ 314.7
Fair Value, Inputs, Level 2 [Member] | Commingled Pools / Collective Trusts [Member] | Fixed Income [Member]    
Assets Category:    
Fair Value 146.2 197.9
Fair Value, Inputs, Level 2 [Member] | Balanced pension trusts [Member] | Fixed Income [Member]    
Assets Category:    
Fair Value 12.0 13.6
Fair Value, Inputs, Level 2 [Member] | Pension Fund Member | Fixed Income [Member]    
Assets Category:    
Fair Value 8.9 5.9
Fair Value, Inputs, Level 2 [Member] | Pension Fund Member | Blend [Domain]    
Assets Category:    
Fair Value $ 7.8 $ 12.5
Redemption Frequency (if currently eligible) Daily Daily