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Fair Value Measurements (Details 6) (USD $)
In Millions, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Sep. 30, 2012
Sep. 30, 2011
Dec. 31, 2011
Commercial Mortgage Loans of Consolidated VIEs
         
Fair Value Option, Quantitative Disclosures          
Fair value of assets for which fair value option was elected $ 81.4   $ 81.4   $ 97.5
Contractual principal amounts of assets for which the fair value option was elected 80.3   80.3   96.1
Pre-tax gain (loss) due to change in fair value of assets and liabilities for which the fair value option was elected 0.3 0.6 (0.3) (1.5)  
Interest income 1.6 2.1 5.1 6.7  
Obligations of Consolidated VIEs
         
Fair Value Option, Quantitative Disclosures          
Fair value of liabilities for which the fair value option was elected 96.4   96.4   88.4
Aggregate unpaid principal amounts of obligations for which the fair value option was elected 212.7   212.7   169.8
Pre-tax gain (loss) due to change in fair value of assets and liabilities for which the fair value option was elected (14.7) 4.4 (23.2) 4.6  
Credit risk portion of pre-tax gain (loss) due to change in fair value of liabilities for which the fair value option was elected (14.7) 5.1 (24.1) 3.4  
Interest expense 1.2 1.6 3.9 5.2  
Equity Method Investment
         
Fair Value Option, Quantitative Disclosures          
Fair value of assets for which fair value option was elected 32.8   32.8    
Pre-tax gain (loss) due to change in fair value of assets and liabilities for which the fair value option was elected $ (0.5)   $ (0.5)