XML 43 R29.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Fair Value Measurements (Tables)
6 Months Ended
Jun. 17, 2011
Fair Value of Financial Assets and Liabilities

The following table details the fair value of our financial assets and liabilities that are required to be measured at fair value on a recurring basis and the change in the fair value of the derivative instruments at June 17, 2011 (in millions).

 

     Balance at
June 17,

2011
     Fair Value at Measurement Date Using  
        Quoted Prices
in Active
Markets for
Identical Assets

(Level 1)
     Significant  Other
Observable
Inputs

(Level 2)
     Significant
Unobservable
Inputs

(Level  3)
 

Fair Value Measurements on a Recurring Basis:

           

Interest rate swap derivatives

   $ 9.1       $ —         $ 9.1       $ —     

Foreign currency forward purchase contracts

     1.3         —           1.3         —     
     Balance at
December 31,
2010
     Fair Value at Measurement Date Using  
        Quoted Prices
in Active
Markets for
Identical Assets

(Level 1)
     Significant  Other
Observable
Inputs

(Level 2)
     Significant
Unobservable
Inputs

(Level  3)
 

Fair Value Measurements on a Recurring Basis:

           

Interest rate swap derivatives

   $ 10.6       $ —         $ 10.6       $ —     

Foreign currency forward purchase contracts

     6.9         —           6.9        
Foreign Currency Forward Purchase Contracts

The following table summarizes our foreign currency forward purchase contracts (in millions):

 

     Transaction
Amount
in Euros
     Transaction
Amount
in Dollars
     Forward
Purchase Date
   Fair Value at     Change in Fair Value
for the period ended
 

Transaction Date

            June 17,
2011
    December 31,
2010
    June 17,
2011
    June 18,
2010
 

February 2008

   30       $ 43       August 2011    $ —        $ 2.8      $ (2.8   $ 5.5   

February 2008

     15         22       February 2013      1.2        2.2        (1.0     2.4   

May 2008

     15         23       May 2014      2.2        2.9        (0.7     2.6   

July 2010

     20         26       October 2014      (2.1     (1.0     (1.1     —     
                                                     

Total

   80       $ 114          $ 1.3      $ 6.9      $ (5.6   $ 10.5   
                                                     
Carrying Amount and Fair Value of Certain Financial Assets and Liabilities

The carrying amount and fair value of certain financial assets and liabilities are shown below (in millions):

 

     June 17, 2011      December 31, 2010  
     Carrying
Amount
     Fair
Value
     Carrying
Amount
     Fair
Value
 

Financial assets

           

Mortgage notes receivable

   $ 64       $ 86       $ 55       $ 77   

Financial liabilities

           

Senior notes

     3,340         3,467         3,093         3,200   

Exchangeable Senior Debentures

     1,170         1,398         1,156         1,471   

Credit facility

     162         162         58         58   

Mortgage debt and other, net of capital leases

     1,153         1,180         1,110         1,107