0001193125-12-339583.txt : 20120807 0001193125-12-339583.hdr.sgml : 20120807 20120807092845 ACCESSION NUMBER: 0001193125-12-339583 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 12 CONFORMED PERIOD OF REPORT: 20120630 FILED AS OF DATE: 20120807 DATE AS OF CHANGE: 20120807 FILER: COMPANY DATA: COMPANY CONFORMED NAME: ZIMMER HOLDINGS INC CENTRAL INDEX KEY: 0001136869 STANDARD INDUSTRIAL CLASSIFICATION: ORTHOPEDIC, PROSTHETIC & SURGICAL APPLIANCES & SUPPLIES [3842] IRS NUMBER: 134151777 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-16407 FILM NUMBER: 121011531 BUSINESS ADDRESS: STREET 1: 345 EAST MAIN STREET CITY: WARSAW STATE: IN ZIP: 46580 BUSINESS PHONE: 5742676131 MAIL ADDRESS: STREET 1: 345 EAST MAIN STREET CITY: WARSAW STATE: IN ZIP: 46580 10-Q 1 d355655d10q.htm 10-Q 10-Q
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UNITED STATES SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

FORM 10-Q

QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d)

OF THE SECURITIES EXCHANGE ACT OF 1934

FOR THE QUARTERLY PERIOD ENDED JUNE 30, 2012

Commission File Number 001-16407

 

LOGO

ZIMMER HOLDINGS, INC.

(Exact name of registrant as specified in its charter)

 

Delaware   13-4151777

(State or other jurisdiction of

incorporation or organization)

 

(IRS Employer

Identification No.)

345 East Main Street, Warsaw, IN 46580

(Address of principal executive offices)

Telephone: (574) 267-6131

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.    Yes  x        No  ¨

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).    Yes  x        No  ¨

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer or a non-accelerated filer. See the definitions of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act.

 

Large accelerated filer  x

   Accelerated filer  ¨    Non-accelerated filer  ¨    Smaller reporting company  ¨
(Do not check if a smaller reporting company)

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act).    Yes  ¨        No  x

As of July 25, 2012, 174,694,720 shares of the registrant’s $.01 par value common stock were outstanding.

 

 

 


Table of Contents

ZIMMER HOLDINGS, INC.

INDEX TO FORM 10-Q

June 30, 2012

 

          Page  
   Part I — Financial Information   

Item 1.

   Financial Statements   
   Condensed Consolidated Statements of Earnings for the Three and Six Months Ended June 30, 2012 and 2011      3   
   Condensed Consolidated Statements of Comprehensive Income for the Three and Six Months Ended June 30, 2012 and 2011      4   
   Condensed Consolidated Balance Sheets as of June 30, 2012 and December 31, 2011      5   
   Condensed Consolidated Statements of Cash Flows for the Six Months Ended June 30, 2012 and 2011      6   
   Notes to Interim Condensed Consolidated Financial Statements      7   

Item 2.

   Management’s Discussion and Analysis of Financial Condition and Results of Operations      21   

Item 3.

   Quantitative and Qualitative Disclosures About Market Risk      32   

Item 4.

   Controls and Procedures      32   
   Part II — Other Information   
   There is no information required to be reported under any items except those indicated below.   

Item 1.

   Legal Proceedings      34   

Item 1A.

   Risk Factors      34   

Item 2.

   Unregistered Sales of Equity Securities and Use of Proceeds      34   

Item 5.

   Other Information      34   

Item 6.

   Exhibits      35   

Signatures

     36   

 

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Part I — Financial Information

 

Item 1. Financial Statements

ZIMMER HOLDINGS, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF EARNINGS

(in millions, except per share amounts, unaudited)

 

     Three Months Ended
June 30,
    Six Months Ended
June 30,
 
     2012     2011     2012     2011  

Net Sales

   $ 1,125.0      $ 1,137.4      $ 2,265.7      $ 2,253.0   

Cost of products sold

     281.9        287.9        570.6        566.9   
  

 

 

   

 

 

   

 

 

   

 

 

 

Gross Profit

     843.1        849.5        1,695.1        1,686.1   
  

 

 

   

 

 

   

 

 

   

 

 

 

Research and development

     57.2        56.9        116.8        112.5   

Selling, general and administrative

     453.3        470.0        916.6        928.3   

Certain claims

            50.0               50.0   

Special items (Note 2)

     30.7        13.5        64.2        39.0   
  

 

 

   

 

 

   

 

 

   

 

 

 

Operating expenses

     541.2        590.4        1,097.6        1,129.8   
  

 

 

   

 

 

   

 

 

   

 

 

 

Operating Profit

     301.9        259.1        597.5        556.3   

Interest income

     3.8        3.3        6.9        5.3   

Interest expense

     (18.1     (13.1     (35.7     (26.1
  

 

 

   

 

 

   

 

 

   

 

 

 

Earnings before income taxes

     287.6        249.3        568.7        535.5   

Provision for income taxes

     73.6        45.5        145.8        122.8   
  

 

 

   

 

 

   

 

 

   

 

 

 

Net earnings

     214.0        203.8        422.9        412.7   

Less: Net loss attributable to noncontrolling interest

     (0.5            (1.2       
  

 

 

   

 

 

   

 

 

   

 

 

 

Net Earnings of Zimmer Holdings, Inc.

   $ 214.5      $ 203.8      $ 424.1      $ 412.7   
  

 

 

   

 

 

   

 

 

   

 

 

 

Earnings Per Common Share

        

Basic

   $ 1.22      $ 1.06      $ 2.41      $ 2.15   

Diluted

   $ 1.22      $ 1.06      $ 2.39      $ 2.14   

Weighted Average Common Shares Outstanding

        

Basic

     175.2        191.5        176.3        192.1   

Diluted

     176.2        192.7        177.3        193.3   

Cash Dividends Declared Per Common Share

   $ 0.18      $      $ 0.18      $   

The accompanying notes are an integral part of these consolidated financial statements.

 

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ZIMMER HOLDINGS, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME

(in millions, unaudited)

 

     Three Months Ended
June  30,
    Six Months Ended
June 30,
 
              2012                     2011                     2012                     2011          

Net earnings

   $ 214.0      $ 203.8      $ 422.9      $ 412.7   

Other Comprehensive Income:

        

Foreign currency cumulative translation adjustments

     (75.2     38.9        (47.1     169.6   

Unrealized cash flow hedge gains/(losses), net of tax

     20.1        (10.9     24.2        (58.2

Reclassification adjustments on foreign currency hedges, net of tax

     1.3        8.8        2.2        13.2   

Unrealized gains on securities, net of tax

     0.1        0.3        0.3        0.5   

Adjustments to prior service cost and unrecognized actuarial assumptions, net of tax

     1.6        0.7        24.5        1.4   
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Comprehensive Gain/(Loss)

     (52.1     37.8        4.1        126.5   
  

 

 

   

 

 

   

 

 

   

 

 

 

Comprehensive Income

     161.9        241.6        427.0        539.2   

Comprehensive loss attributable to the noncontrolling interest

     (0.7            (1.4       
  

 

 

   

 

 

   

 

 

   

 

 

 

Comprehensive Income Attributable to Zimmer Holdings, Inc.

   $ 162.6      $ 241.6      $ 428.4      $ 539.2   
  

 

 

   

 

 

   

 

 

   

 

 

 

 

 

 

The accompanying notes are an integral part of these consolidated financial statements.

 

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ZIMMER HOLDINGS, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED BALANCE SHEETS

(in millions, unaudited)

 

      June 30,
2012
    December 31,
2011
 
ASSETS   

Current Assets:

    

Cash and cash equivalents

   $ 651.0      $ 768.3   

Short-term investments

     684.9        455.5   

Accounts receivable, less allowance for doubtful accounts

     906.7        838.8   

Inventories

     956.0        929.8   

Prepaid expenses and other current assets

     83.1        73.7   

Deferred income taxes

     196.6        210.5   
  

 

 

   

 

 

 

Total Current Assets

     3,478.3        3,276.6   

Property, plant and equipment, net

     1,176.8        1,207.3   

Goodwill

     2,609.5        2,626.0   

Intangible assets, net

     776.9        798.5   

Other assets

     575.0        606.9   
  

 

 

   

 

 

 

Total Assets

   $ 8,616.5      $ 8,515.3   
  

 

 

   

 

 

 
LIABILITIES AND STOCKHOLDERS' EQUITY   

Current Liabilities:

    

Accounts payable

   $ 137.2      $ 143.3   

Income taxes

     12.2        8.6   

Short-term debt

     3.4        143.3   

Other current liabilities

     530.3        571.9   
  

 

 

   

 

 

 

Total Current Liabilities

     683.1        867.1   

Other long-term liabilities

     494.7        557.4   

Long-term debt

     1,726.5        1,576.0   
  

 

 

   

 

 

 

Total Liabilities

     2,904.3        3,000.5   
  

 

 

   

 

 

 

Commitments and Contingencies (Note 13)

    

Stockholders’ Equity:

    

Zimmer Holdings, Inc. Stockholders’ Equity:

    

Common stock, $0.01 par value, one billion shares authorized, 256.5 million shares issued in 2012 (255.9 million in 2011)

     2.6        2.5   

Paid-in capital

     3,448.3        3,399.2   

Retained earnings

     6,819.4        6,426.8   

Accumulated other comprehensive income

     275.5        271.4   

Treasury stock, 81.9 million shares (77.9 million shares in 2011)

     (4,839.8     (4,592.7
  

 

 

   

 

 

 

Total Zimmer Holdings, Inc. stockholders’ equity

     5,706.0        5,507.2   

Noncontrolling interest

     6.2        7.6   
  

 

 

   

 

 

 

Total Stockholders’ Equity

     5,712.2        5,514.8   
  

 

 

   

 

 

 

Total Liabilities and Stockholders’ Equity

   $ 8,616.5      $ 8,515.3   
  

 

 

   

 

 

 

The accompanying notes are an integral part of these consolidated financial statements.

 

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ZIMMER HOLDINGS, INC. AND SUBSIDIARIES

CONSENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

(in millions, unaudited)

 

     For the Six Months
Ended June 30,
 
             2012                     2011          

Cash flows provided by (used in) operating activities:

    

Net earnings

   $ 422.9      $ 412.7   

Adjustments to reconcile net earnings to cash provided by operating activities:

    

Depreciation and amortization

     190.2        174.7   

Share-based compensation

     27.8        31.7   

Income tax benefit from stock option exercises

     7.3        9.5   

Excess income tax benefit from stock option exercises

     (1.4     (3.6

Inventory step-up

     2.0        7.8   

Changes in operating assets and liabilities, net of effect of acquisitions:

    

Income taxes

     10.6        (11.5

Receivables

     (86.9     (76.0

Inventories

     (29.7     (21.8

Accounts payable and accrued expenses

     (15.7     (42.2

Other assets and liabilities

     (88.2     (48.1
  

 

 

   

 

 

 

Net cash provided by operating activities

     438.9        433.2   
  

 

 

   

 

 

 

Cash flows provided by (used in) investing activities:

    

Additions to instruments

     (68.3     (85.2

Additions to other property, plant and equipment

     (44.3     (34.0

Purchases of investments

     (537.5     (186.7

Sales of investments

     422.7        169.8   

Investments in other assets

     (54.7     (26.4
  

 

 

   

 

 

 

Net cash used in investing activities

     (282.1     (162.5
  

 

 

   

 

 

 

Cash flows provided by (used in) financing activities:

    

Net proceeds under revolving credit facilities

     (145.7     0.2   

Proceeds from term loans

     147.3          

Dividends paid to stockholders

     (31.7       

Proceeds from employee stock compensation plans

     18.0        29.1   

Excess income tax benefit from stock option exercises

     1.4        3.6   

Debt issuance costs

     (3.3       

Repurchase of common stock

     (248.1     (357.2
  

 

 

   

 

 

 

Net cash used in financing activities

     (262.1     (324.3
  

 

 

   

 

 

 

Effect of exchange rates on cash and cash equivalents

     (12.0     8.8   
  

 

 

   

 

 

 

Increase (decrease) in cash and cash equivalents

     (117.3     (44.8

Cash and cash equivalents, beginning of year

     768.3        668.9   
  

 

 

   

 

 

 

Cash and cash equivalents, end of period

   $ 651.0      $ 624.1   
  

 

 

   

 

 

 

The accompanying notes are an integral part of these consolidated financial statements.

 

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ZIMMER HOLDINGS, INC. AND SUBSIDIARIES

NOTES TO INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

 

1.

Basis of Presentation

The financial data presented herein is unaudited and should be read in conjunction with the consolidated financial statements and accompanying notes included in the 2011 Annual Report on Form 10-K filed by Zimmer Holdings, Inc. The condensed consolidated financial statements for the majority of our international subsidiaries are for periods that ended on June 25, 2012 and 2011. For these international subsidiaries, the three month results included in these condensed consolidated financial statements are for the period of March 26 through June 25 and the six month results included in these condensed consolidated financial statements are for the period of December 26 through June 25 or the period of January 1 to June 25.

In our opinion, the accompanying unaudited condensed consolidated financial statements include all adjustments necessary for a fair statement of the financial position, results of operations and cash flows for the interim periods presented. The December 31, 2011 condensed balance sheet data was derived from audited financial statements, but does not include all disclosures required by accounting principles generally accepted in the United States of America (GAAP). Results for interim periods should not be considered indicative of results for the full year. Certain amounts in the 2011 condensed consolidated financial statements have been reclassified to conform to the 2012 presentation.

The words “we,” “us,” “our” and similar words refer to Zimmer Holdings, Inc. and its subsidiaries. Zimmer Holdings refers to the parent company only.

 

2.

Significant Accounting Policies

Special Items — We recognize expenses resulting directly from our business combinations, employee termination benefits, certain contract terminations, consulting and professional fees and asset impairment charges connected with global restructuring, quality excellence and transformation initiatives, and other items as “Special items” in our condensed consolidated statement of earnings. “Special items” included (in millions):

 

     Three Months Ended
June  30,
     Six Months Ended
June 30,
 
          2012              2011              2012             2011      

Impairment/loss on disposal of assets

   $       $ 0.4       $ 0.4      $ 2.9   

Consulting and professional fees

     19.2         4.9         37.5        8.4   

Employee severance and retention

     1.0         3.6         4.4        19.8   

Dedicated project personnel

     3.3         0.6         6.6        0.9   

Distributor acquisitions

     0.3         0.5         0.4        1.1   

Certain litigation matters

     3.5                 9.9        0.1   

Contract terminations

     1.1         1.7         2.6        2.7   

Contingent consideration adjustments

                     (0.8       

Accelerated software amortization

     1.5                 1.5          

Other

     0.8         1.8         1.7        3.1   
  

 

 

    

 

 

    

 

 

   

 

 

 

Special items

   $ 30.7       $ 13.5       $ 64.2      $ 39.0   
  

 

 

    

 

 

    

 

 

   

 

 

 

In the first six months of 2012, we announced our plans to outsource our Warsaw, Indiana distribution center to a third party service provider at a national transportation hub, among other organizational changes. Approximately 160 employees were or will be affected by these actions.

In the first six months of 2011, we terminated employees as part of a reduction of management layers, expansion of management spans of control, and changes in our organizational structure. Approximately 500 employees from across the globe were affected by these actions.

 

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As a result of these actions, we incurred expenses related to severance benefits, share-based compensation acceleration and other employee termination-related costs. The vast majority of these termination benefits were provided in accordance with our existing policies or local government regulations and are considered ongoing benefits. These costs were accrued when they became probable and estimable and were recorded as part of other current liabilities. The majority of these costs have been paid or will be paid in the year they were accrued.

In the second quarter of 2012, we approved a plan to replace certain software. As a result, the estimated economic useful life of the existing software was decreased to represent the period of time expected to implement replacement software. As a result, the amortization from the shortened life of this software is substantially higher than the previous amortization being recognized. We have recognized the incremental amortization caused by the shorter life in “Special items”.

Recent Accounting Pronouncements — In 2011, the Financial Accounting Standards Board issued an accounting standard update (ASU) requiring companies to present net income and other comprehensive income in either a single continuous statement or in two separate, but consecutive, statements of net income and of comprehensive income. This requirement became effective for us January 1, 2012. The ASU changes the presentation requirements of other comprehensive income only and does not change any accounting for other comprehensive income and therefore had no effect on our financial position, results of operations or cash flows.

There are no other recently issued accounting pronouncements that we have not yet adopted that are expected to have a material effect on our financial position, results of operations or cash flows.

 

3.

Inventories

 

     June 30,
2012
     December 31,
2011
 
     (in millions)  

Finished goods

   $ 754.2       $ 743.0   

Work in progress

     61.4         47.8   

Raw materials

     140.4         139.0   
  

 

 

    

 

 

 

Inventories

   $ 956.0       $ 929.8   
  

 

 

    

 

 

 

 

4.

Property, Plant and Equipment

 

     June 30,
2012
    December 31,
2011
 
     (in millions)  

Land

   $ 22.1      $ 22.3   

Buildings and equipment

     1,214.8        1,196.8   

Capitalized software costs

     217.4        208.4   

Instruments

     1,547.4        1,509.2   

Construction in progress

     83.2        76.4   
  

 

 

   

 

 

 
     3,084.9        3,013.1   

Accumulated depreciation

     (1,908.1     (1,805.8
  

 

 

   

 

 

 

Property, plant and equipment, net

   $ 1,176.8      $ 1,207.3   
  

 

 

   

 

 

 

 

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5.

Investments

We invest in short and long-term investments classified as available-for-sale securities. Information regarding our investments is as follows (in millions):

     Amortized
Cost
     Gross
Unrealized
       
        Gains      Losses     Fair value  

As of June 30, 2012

          

Corporate debt securities

   $ 296.3       $ 0.3       $ (0.1   $ 296.5   

U.S. government and agency debt securities

     230.5                        230.5   

Foreign government debt securities

     2.8                        2.8   

Commercial paper

     183.3                        183.3   

Certificates of deposit

     70.7         0.1                70.8   
  

 

 

    

 

 

    

 

 

   

 

 

 

Total short and long-term investments

   $ 783.6       $ 0.4       $ (0.1   $ 783.9   
  

 

 

    

 

 

    

 

 

   

 

 

 

As of December 31, 2011

          

Corporate debt securities

   $ 324.8       $ 0.2       $ (0.3   $ 324.7   

U.S. government and agency debt securities

     177.1         0.1                177.2   

Municipal bonds

     1.0                        1.0   

Foreign government debt securities

     6.8                        6.8   

Commercial paper

     74.5                        74.5   

Certificates of deposit

     88.5                        88.5   
  

 

 

    

 

 

    

 

 

   

 

 

 

Total short and long-term investments

   $ 672.7       $ 0.3       $ (0.3   $ 672.7   
  

 

 

    

 

 

    

 

 

   

 

 

 

Unrealized gains and losses on these investments are recorded in accumulated other comprehensive income in our condensed consolidated balance sheet.

The following table shows the fair value and gross unrealized losses for all available-for-sale securities in an unrealized loss position deemed to be temporary (in millions):

 

     June 30, 2012     December 31, 2011  
     Fair Value      Unrealized
Losses
    Fair value      Unrealized
Losses
 

Corporate debt securities

   $ 118.5       $ (0.1   $ 164.5       $ (0.3

All securities in the table above have been in an unrealized loss position for less than twelve months. A total of 74 securities were in an unrealized loss position as of June 30, 2012.

The unrealized losses on our investments in corporate debt securities were caused by increases in interest yields resulting from adverse conditions in the global credit markets. We believe the unrealized losses associated with our available-for-sale securities as of June 30, 2012 are temporary because we do not intend to sell these investments, and we do not believe we will be required to sell them before recovery of their amortized cost basis.

The amortized cost and fair value of our available-for-sale fixed-maturity securities by contractual maturity are as follows (in millions):

 

     June 30, 2012  
     Amortized
Cost
     Fair Value  

Due in one year or less

   $ 684.6       $ 684.9   

Due after one year through two years

     99.0         99.0   
  

 

 

    

 

 

 

Total

   $ 783.6       $ 783.9   
  

 

 

    

 

 

 

 

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6.

Debt

Our debt consisted of the following (in millions):

 

     June 30,
2012
    December 31,
2011
 

Short-term debt

    

Credit facility

   $      $ 143.0   

Other short-term debt

     3.4        0.3   
  

 

 

   

 

 

 

Total short-term debt

   $ 3.4      $ 143.3   
  

 

 

   

 

 

 

Long-term debt

    

Senior Notes due 2014

   $ 250.0      $ 250.0   

Senior Notes due 2019

     500.0        500.0   

Senior Notes due 2021

     300.0        300.0   

Senior Notes due 2039

     500.0        500.0   

Term loan

     145.4          

Debt discount

     (1.8     (1.8

Adjustment related to interest rate swaps

     32.9        27.8   
  

 

 

   

 

 

 

Total long-term debt

   $ 1,726.5      $ 1,576.0   
  

 

 

   

 

 

 

In May 2012, we entered into a new five year $1,350 million revolving, multi-currency, senior unsecured credit facility maturing May 9, 2017 (Senior Credit Facility). The Senior Credit Facility replaced a previous credit facility with similar terms that was due to mature on November 30, 2012.

Borrowings of 11.7 billion Japanese Yen outstanding under the previous credit facility were converted to the Senior Credit Facility. On May 24, 2012, we refinanced these borrowings by entering into a separate term loan agreement with one of the lenders under the Senior Credit Facility (Term Loan) for 11.7 billion Japanese Yen and we repaid the outstanding borrowings under the Senior Credit Facility.

The Term Loan will mature on May 31, 2016. Borrowings under the Term Loan bear interest at a fixed rate of 0.61 percent per annum until maturity.

The estimated fair value of our Senior Notes as of June 30, 2012, based on quoted prices for the specific securities from transactions in over-the-counter markets (Level 2), was $1,742.6 million. The estimated fair value of the Term Loan as of June 30, 2012, based upon publicly available market yield curves and the terms of the debt (Level 2), was $145.6 million.

 

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7.

Fair Value Measurement of Assets and Liabilities

The following assets and liabilities are recorded at fair value on a recurring basis (in millions):

 

     As of June 30, 2012  

Description

   Recorded
Balance
     Fair Value Measurements at Reporting Date
Using:
 
      Quoted
Prices  in
Active

Markets for
Identical
Assets
(Level 1)
     Significant
Other
Observable

Inputs
(Level 2)
     Significant
Unobservable

Inputs
(Level 3)
 

Assets

           

Available-for-sale securities

           

Corporate debt securities

   $ 296.5       $       $ 296.5       $   

U.S. government and agency debt securities

     230.5                 230.5           

Foreign government debt securities

     2.8                 2.8           

Commercial paper

     183.3                 183.3           

Certificates of deposit

     70.8                 70.8           
  

 

 

    

 

 

    

 

 

    

 

 

 

Total available-for-sale securities

     783.9                 783.9           

Derivatives, current and long-term

           

Foreign currency forward contracts and options

     35.2                 35.2           

Interest rate swaps

     32.9                 32.9           
  

 

 

    

 

 

    

 

 

    

 

 

 
   $ 852.0       $       $ 852.0       $   
  

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

           

Derivatives, current and long-term

           

Foreign currency forward contracts and options

   $ 4.7       $       $ 4.7       $   
  

 

 

    

 

 

    

 

 

    

 

 

 

 

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     As of December 31, 2011  
      Recorded
Balance
     Fair Value Measurements at Reporting Date
Using:
 

Description

      Quoted
Prices  in
Active
Markets for
Identical
Assets
(Level 1)
     Significant
Other
Observable

Inputs
(Level 2)
     Significant
Unobservable

Inputs
(Level 3)
 

Assets

           

Available-for-sale securities

           

Corporate debt securities

   $ 324.7       $       $ 324.7       $   

U.S. government and agency debt securities

     177.2                 177.2           

Municipal bonds

     1.0                 1.0           

Foreign government debt securities

     6.8                 6.8           

Commercial paper

     74.5                 74.5           

Certificates of deposit

     88.5                 88.5           
  

 

 

    

 

 

    

 

 

    

 

 

 

Total available-for-sale securities

     672.7                 672.7           

Derivatives, current and long-term

           

Foreign currency forward contracts and options

     18.3                 18.3           

Interest rate swaps

     27.8                 27.8           
  

 

 

    

 

 

    

 

 

    

 

 

 
   $ 718.8       $       $ 718.8       $   
  

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

           

Derivatives, current and long-term

           

Foreign currency forward contracts and options

   $ 25.2       $       $ 25.2       $   

Cross-currency interest rate swaps

     8.2                 8.2           
  

 

 

    

 

 

    

 

 

    

 

 

 
   $ 33.4       $       $ 33.4       $   
  

 

 

    

 

 

    

 

 

    

 

 

 

We value our available-for-sale securities using a market approach based on broker prices for identical assets in over-the-counter markets and we perform ongoing assessments of counterparty credit risk.

We value our foreign currency forward contracts and foreign currency options using a market approach based on foreign currency exchange rates obtained from active markets and we perform ongoing assessments of counterparty credit risk.

We value our interest rate swaps using a market approach based on publicly available market yield curves and the terms of our swaps and we perform ongoing assessments of counterparty credit risk.

We value our cross-currency interest rate swaps using a market approach based upon publicly available market yield curves, foreign currency exchange rates obtained from active markets and the terms of our swaps. We also perform ongoing assessments of counterparty credit risk.

 

8.

Derivative Instruments and Hedging Activities

We are exposed to certain market risks relating to our ongoing business operations, including foreign currency exchange rate risk, commodity price risk, interest rate risk and credit risk. We manage our exposure to these and other market risks through regular operating and financing activities. Currently, the only risks that we manage through the use of derivative instruments are interest rate risk and foreign currency exchange rate risk.

 

Interest

Rate Risk

Derivatives Designated as Fair Value Hedges

We use interest rate derivative instruments to manage our exposure to interest rate movements by converting fixed-rate debt into variable-rate debt. Under these agreements, we agree to exchange, at specified

 

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intervals, the difference between fixed and variable interest amounts calculated by reference to an agreed-upon notional principal amount. The objective of the instruments is to more closely align interest expense with interest income received on cash and cash equivalents. These derivative instruments are designated as fair value hedges under GAAP. Changes in the fair value of the derivative instrument are recorded in current earnings and are offset by gains or losses on the underlying debt instrument.

We have multiple nine-year fixed-to-variable interest rate swap agreements with a total notional amount of $250 million. These interest rate swap agreements were designated as fair value hedges of the fixed interest rate obligation of our 2019 Notes. We receive a fixed interest rate of 4.625 percent and pay variable interest equal to the three-month LIBOR plus an average of 133 basis points on these interest rate swap agreements.

 

Foreign

Currency Exchange Rate Risk

We operate on a global basis and are exposed to the risk that our financial condition, results of operations and cash flows could be adversely affected by changes in foreign currency exchange rates. To reduce the potential effects of foreign currency exchange rate movements on net earnings, we enter into derivative financial instruments in the form of foreign currency exchange forward contracts and options with major financial institutions. We are primarily exposed to foreign currency exchange rate risk with respect to transactions and net assets denominated in Euros, Swiss Francs, Japanese Yen, British Pounds, Canadian Dollars, Australian Dollars, Korean Won, Swedish Krona, Czech Koruna, Thai Baht, Taiwan Dollars, South African Rand, Russian Rubles and Indian Rupees. We do not use derivative financial instruments for trading or speculative purposes.

Derivatives Designated as Cash Flow Hedges

Our revenues are generated in various currencies throughout the world. However, a significant amount of our inventory is produced in U.S. Dollars. Therefore, movements in foreign currency exchange rates may have different proportional effects on our revenues compared to our cost of products sold. To minimize the effects of foreign currency exchange rate movements on cash flows, we hedge intercompany sales of inventory expected to occur within the next 30 months with foreign currency exchange forward contracts and options. We designate these derivative instruments as cash flow hedges.

We perform quarterly assessments of hedge effectiveness by verifying and documenting the critical terms of the hedge instrument and that forecasted transactions have not changed significantly. We also assess on a quarterly basis whether there have been adverse developments regarding the risk of a counterparty default. For derivatives which qualify as hedges of future cash flows, the effective portion of changes in fair value is temporarily recorded in other comprehensive income and then recognized in cost of products sold when the hedged item affects net earnings. The ineffective portion of a derivative’s change in fair value, if any, is immediately reported in cost of products sold.

For forward contracts and options outstanding at June 30, 2012, we have obligations to purchase U.S. Dollars and sell Euros, Japanese Yen, British Pounds, Canadian Dollars, Australian Dollars, Korean Won, Swedish Krona, Czech Koruna, Thai Baht, Taiwan Dollars, South African Rand, Russian Rubles and Indian Rupees and purchase Swiss Francs and sell U.S. Dollars at set maturity dates ranging from July 2012 through December 2014. As of June 30, 2012, the notional amounts of outstanding forward contracts and options entered into with third parties to purchase U.S. Dollars were $1.5 billion. As of June 30, 2012, the notional amounts of outstanding forward contracts and options entered into with third parties to purchase Swiss Francs were $296.9 million.

Derivatives Not Designated as Hedging Instruments

We enter into foreign currency forward exchange contracts with terms of one month to manage currency exposures for monetary assets and liabilities denominated in a currency other than an entity’s functional currency. As a result, any foreign currency remeasurement gains/losses recognized in earnings are generally offset with gains/losses on the foreign currency forward exchange contracts in the same reporting period. These

 

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offsetting gains/losses are recorded in cost of products sold as the underlying assets and liabilities exposed to remeasurement include inventory-related transactions. These contracts are settled on the last day of each reporting period. Therefore, there is no outstanding balance related to these contracts recorded on the balance sheet as of the end of the reporting period. The notional amounts of these contracts are typically in a range of $1.2 billion to $1.7 billion per quarter.

 

Foreign

Currency Exchange and Interest Rate Risk

Derivatives Designated as Cash Flow Hedges

In 2011, our subsidiary in Japan, with a functional currency of Japanese Yen, borrowed variable-rate debt of $143.0 million denominated in U.S. Dollars under our previous credit facility. To manage the foreign currency exchange risk associated with remeasuring the debt to Japanese Yen and the interest rate risk associated with the variable-rate debt, we entered into multiple cross-currency interest rate swap agreements with a total notional amount of 11,798 million Japanese Yen. We designated these swaps as cash flow hedges of the foreign currency exchange and interest rate risks. The effective portion of changes in fair value of the cross-currency interest rate swaps was temporarily recorded in other comprehensive income and then recognized in interest expense when the hedged item affected net earnings. The cross-currency interest rate swap agreements matured in the first quarter of 2012 and we paid off the subsidiary’s U.S. Dollar debt with Japanese Yen debt borrowed under our previous credit facility.

 

Income

Statement Presentation

Derivatives Designated as Fair Value Hedges

Derivative instruments designated as fair value hedges had the following effects on our condensed consolidated statements of earnings (in millions):

 

          Gain on Instrument     Loss on Hedged Item  
    Location on
Statement of Earnings
    Three Months
Ended
June 30,
    Six Months
Ended
June 30,
    Three Months
Ended
June 30,
    Six Months
Ended
June 30,
 

Derivative Instrument

        2012             2011             2012             2011             2012             2011             2012             2011      

Interest rate swaps

    Interest expense      $ 8.3      $ 7.1      $ 5.1      $ 4.0      $ (8.3   $ (7.1   $ (5.1   $ (4.0

We had no ineffective fair value hedging instruments during the three or six month periods ended June 30, 2012 and 2011.

Derivatives Designated as Cash Flow Hedges

Derivative instruments designated as cash flow hedges had the following effects, before taxes, on other comprehensive income (OCI) and net earnings on our condensed consolidated statements of earnings, condensed consolidated statements of comprehensive income and condensed consolidated balance sheets (in millions):

 

     Amount of
Gain / (Loss)
Recognized in OCI
   

Location on
Statement of Earnings

   Amount of
Gain / (Loss)
Reclassified from OCI
 
     Three Months
Ended
June 30,
    Six Months
Ended
June 30,
       Three Months
Ended
June 30,
    Six Months
Ended

June 30,
 

Derivative Instrument

   2012     2011     2012     2011        2012     2011     2012     2011  

Foreign exchange forward contracts

   $ 23.8      $ (16.0   $ 31.8      $ (74.1   Cost of products sold    $ (3.7   $ (12.2   $ (7.8   $ (17.4

Foreign exchange options

     (1.1     2.8        (1.1     3.7      Cost of products sold      (0.1            (0.1       

Cross-currency interest rate swaps

            (0.8            0.2      Interest expense             (0.5     0.2        (3.5
  

 

 

   

 

 

   

 

 

   

 

 

      

 

 

   

 

 

   

 

 

   

 

 

 
   $ 22.7      $ (14.0   $ 30.7      $ (70.2      $ (3.8   $ (12.7   $ (7.7   $ (20.9
  

 

 

   

 

 

   

 

 

   

 

 

      

 

 

   

 

 

   

 

 

   

 

 

 

 

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The net amount recognized in earnings during the three month periods ended June 30, 2012 and 2011 due to ineffectiveness and amounts excluded from the assessment of hedge effectiveness was not significant.

The fair value of outstanding derivative instruments designated as cash flow hedges and recorded on the balance sheet at June 30, 2012, together with settled derivatives where the hedged item has not yet affected earnings, was a net unrealized gain of $16.1 million, or $16.2 million after taxes, which is deferred in accumulated other comprehensive income. Of the net unrealized gain, $3.8 million, or $6.8 million after taxes, is expected to be reclassified to earnings over the next twelve months.

Derivatives Not Designated as Hedging Instruments

The following gains/(losses) from these derivative instruments were recognized on our condensed consolidated statements of earnings (in millions):

 

    

Location on
Statement of Earnings

   Three Months Ended
June 30,
     Six Months Ended
June 30,
 

Derivative Instrument

          2012              2011              2012              2011      

Foreign exchange forward contracts

   Cost of products sold    $ 10.5       $ 1.3       $ 8.6       $ (13.7

This impact does not include any offsetting gains/losses recognized in earnings as a result of foreign currency remeasurement of monetary assets and liabilities denominated in a currency other than an entity’s functional currency.

 

Balance

Sheet Presentation

As of June 30, 2012 and December 31, 2011, all derivative instruments designated as fair value hedges and cash flow hedges are recorded at fair value on the balance sheet. On our condensed consolidated balance sheets, we recognize individual forward contracts and options with the same counterparty on a net asset/liability basis if we have a master netting agreement with the counterparty. The fair value of derivative instruments on a gross basis is as follows (in millions):

 

   

June 30, 2012

   

December 31, 2011

 
   

Balance

Sheet

Location

  Fair
Value
   

Balance

Sheet

Location

  Fair
Value
 

Asset Derivatives

       

Foreign exchange forward contracts

  Other current assets   $ 37.3      Other current assets   $ 24.9   

Foreign exchange options

  Other current assets     0.9      Other current assets     1.4   

Foreign exchange forward contracts

  Other assets     23.3      Other assets     14.5   

Foreign exchange options

  Other assets          Other assets     1.0   

Interest rate swaps

  Other assets     32.9      Other assets     27.8   
   

 

 

     

 

 

 

Total asset derivatives

    $ 94.4        $ 69.6   
   

 

 

     

 

 

 

Liability Derivatives

       

Foreign exchange forward contracts

  Other current liabilities   $ 22.9      Other current liabilities   $ 35.6   

Cross-currency interest rate swaps

  Other current liabilities          Other current liabilities     8.2   

Foreign exchange forward contracts

  Other long-term liabilities     8.1      Other long-term liabilities     13.1   
   

 

 

     

 

 

 

Total liability derivatives

    $ 31.0        $ 56.9   
   

 

 

     

 

 

 

 

9.

Income Taxes

We operate on a global basis and are subject to numerous and complex tax laws and regulations. Our income tax filings are regularly under audit in multiple federal, state and foreign jurisdictions. Income tax audits may require an extended period of time to reach resolution and may result in significant income tax adjustments when interpretation of tax laws or allocation of company profits is disputed. In the three and six month periods ended June 30, 2011, we resolved tax matters in multiple jurisdictions resulting in a reduction in both the net

 

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amount of tax liability for unrecognized tax benefits and income tax expense. The net amount of tax liability for unrecognized tax benefits may change within the next twelve months due to changes in audit status, expiration of statutes of limitations and other events which could impact our determination of unrecognized tax benefits. Currently, we cannot reasonably estimate the amount by which our unrecognized tax benefits will change.

During the second quarter of 2011, the IRS concluded their examination of our U.S. federal returns for years 2005 through 2007 and issued income tax assessments reallocating profits between certain of our U.S. and foreign subsidiaries. We believe that we have followed applicable U.S. tax laws and are vigorously defending our income tax positions. The ultimate resolution of this matter is uncertain and could have a material impact on our income tax expense, results of operations, and cash flows for future periods. Our U.S. federal returns for years 2008 and 2009 are currently under IRS examination.

In the three and six month periods ended June 30, 2012, our effective tax rates were 25.6 percent. Our effective tax rates were lower than the U.S. statutory income tax rate of 35 percent primarily due to income earned in foreign locations with lower tax rates.

 

10.

Retirement Benefit Plans

We have defined benefit pension plans covering certain U.S. and Puerto Rico employees. The employees who are not participating in the defined benefit plans receive additional benefits under our defined contribution plans. Plan benefits are primarily based on years of credited service and the participant’s compensation. In addition to the U.S. and Puerto Rico defined benefit pension plans, we sponsor various non-U.S. pension arrangements, including retirement and termination benefit plans required by local law or coordinated with government sponsored plans.

The components of net pension expense for our U.S. and non-U.S. defined benefit retirement plans are as follows (in millions):

 

     Three Months
Ended
June 30,
    Six Months
Ended
June 30,
 
     2012     2011     2012     2011  

Service cost

   $ 6.1      $ 7.2      $ 12.9      $ 14.1   

Interest cost

     4.6        5.2        9.6        10.2   

Expected return on plan assets

     (8.2     (8.0     (16.5     (15.8

Settlement

     0.7               0.7          

Amortization of prior service cost

     (1.2     (0.2     (1.4     (0.4

Amortization of unrecognized actuarial loss

     3.3        1.8        6.7        3.7   
  

 

 

   

 

 

   

 

 

   

 

 

 

Net periodic benefit cost

   $ 5.3      $ 6.0      $ 12.0      $ 11.8   
  

 

 

   

 

 

   

 

 

   

 

 

 

We contributed $52.5 million during the six month period ended June 30, 2012 to our U.S. and Puerto Rico defined benefit plans and do not expect to contribute additional funds to these plans during the remainder of 2012. We contributed $7.4 million to our foreign-based defined benefit plans in the six month period ended June 30, 2012 and expect to contribute $7.4 million to these foreign-based plans during the remainder of 2012.

In March 2012, we amended our U.S. defined benefit pension plan which led us to remeasure our plan assets and obligations. Accordingly, the resulting remeasurement was reflected in our condensed consolidated statements of earnings, condensed consolidated statements of comprehensive income and condensed consolidated balance sheets.

 

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Table of Contents
11.

Earnings Per Share

The following is a reconciliation of weighted average shares for the basic and diluted shares computations (in millions):

 

     Three Months
Ended
June 30,
     Six Months
Ended
June 30,
 
     2012      2011      2012      2011  

Weighted average shares outstanding for basic net earnings per share

     175.2         191.5         176.3         192.1   

Effect of dilutive stock options and other equity awards

     1.0         1.2         1.0         1.2   
  

 

 

    

 

 

    

 

 

    

 

 

 

Weighted average shares outstanding for diluted net earnings per share

     176.2         192.7         177.3         193.3   
  

 

 

    

 

 

    

 

 

    

 

 

 

During the three and six month periods ended June 30, 2012, an average of 12.8 million options and 12.6 million options, respectively, to purchase shares of common stock were not included in the computation of diluted earnings per share because the exercise prices of these options were greater than the average market price of the common stock. During the three and six month periods ended June 30, 2011, an average of 11.6 million options and 12.2 million options, respectively, were not included in the computation.

In the three month period ended June 30, 2012, we repurchased 1.7 million shares of our common stock at an average price of $63.75 per share for a total cash outlay of $106.5 million, including commissions. In the six month period ended June 30, 2012, we repurchased 4.0 million shares of our common stock at an average price of $62.17 per share for a total cash outlay of $248.1 million, including commissions. As of June 30, 2012, approximately $1.3 billion remained authorized under a $1.5 billion repurchase program, which will expire on December 31, 2014.

 

12.

Segment Information

We design, develop, manufacture and market orthopaedic reconstructive implants, biologics, dental implants, spinal implants, trauma products and related surgical products which include surgical supplies and instruments designed to aid in surgical procedures and post-operation rehabilitation. We also provide other healthcare-related services. Revenue related to these services currently represents less than 1 percent of our total net sales. We manage operations through three major geographic segments – the Americas, which is comprised principally of the U.S. and includes other North, Central and South American markets; Europe, which is comprised principally of Europe and includes the Middle East and African markets; and Asia Pacific, which is comprised primarily of Japan and includes other Asian and Pacific markets. This structure is the basis for our reportable segment information discussed below. Management evaluates reportable segment performance based upon segment operating profit exclusive of operating expenses pertaining to share-based payment expense, inventory step-up, “Certain claims,” goodwill impairment, “Special items,” and global operations and corporate functions. Global operations and corporate functions include research, development engineering, medical education, brand management, corporate legal, finance, and human resource functions, U.S., Puerto Rico and Ireland-based manufacturing operations and logistics and intangible asset amortization resulting from business combination accounting. Intercompany transactions have been eliminated from segment operating profit.

 

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Table of Contents

Net sales and segment operating profit are as follows (in millions):

 

     Net Sales      Operating Profit  
     Three Months
Ended
June 30,
     Three Months
Ended
June 30,
 
     2012      2011      2012     2011  

Americas

   $ 614.3       $ 608.6       $ 315.7      $ 302.0   

Europe

     305.2         324.7         94.5        104.6   

Asia Pacific

     205.5         204.1         79.0        73.1   
  

 

 

    

 

 

      

Total

   $ 1,125.0       $ 1,137.4        
  

 

 

    

 

 

      

Share-based compensation

           (15.0     (17.4

Inventory step-up

           (1.0     (3.4

Certain claims

                  (50.0

Special items

           (30.7     (13.5

Global operations and corporate functions

           (140.6     (136.3
        

 

 

   

 

 

 

Operating profit

         $ 301.9      $ 259.1   
        

 

 

   

 

 

 

 

     Net Sales      Operating Profit  
     Six Months
Ended
June 30,
     Six Months
Ended
June 30,
 
     2012      2011      2012     2011  

Americas

   $ 1,248.7       $ 1,238.3       $ 636.5      $ 613.4   

Europe

     606.0         623.9         189.2        214.6   

Asia Pacific

     411.0         390.8         156.7        147.0   
  

 

 

    

 

 

      

Total

   $ 2,265.7       $ 2,253.0        
  

 

 

    

 

 

      

Share-based compensation

           (27.8     (31.7

Inventory step-up

           (2.0     (7.8

Certain claims

                  (50.0

Special items

           (64.2     (39.0

Global operations and corporate functions

           (290.9     (290.2
        

 

 

   

 

 

 

Operating profit

         $ 597.5      $ 556.3   
        

 

 

   

 

 

 

Net sales by product category are as follows (in millions):

 

     Three Months
Ended
June 30,
     Six Months
Ended
June 30,
 
     2012      2011      2012      2011  

Reconstructive

           

Knees

   $ 460.7       $ 470.9       $ 931.3       $ 933.1   

Hips

     340.0         345.0         684.5         682.3   

Extremities

     42.5         40.7         87.3         83.6   
  

 

 

    

 

 

    

 

 

    

 

 

 
     843.2         856.6         1,703.1         1,699.0   

Dental

     61.5         67.1         121.7         129.5   

Trauma

     73.9         69.1         149.4         139.2   

Spine

     52.4         56.4         105.6         113.3   

Surgical and other

     94.0         88.2         185.9         172.0   
  

 

 

    

 

 

    

 

 

    

 

 

 

Total

   $ 1,125.0       $ 1,137.4       $ 2,265.7       $ 2,253.0   
  

 

 

    

 

 

    

 

 

    

 

 

 

 

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13.

Commitments and Contingencies

Other than as described below, there have been no significant developments relating to the information previously reported in Note 19 to our Consolidated Financial Statements in our Annual Report on Form 10-K for the year ended December 31, 2011.

On a quarterly and annual basis, we review relevant information with respect to loss contingencies and update our accruals, disclosures and estimates of reasonably possible losses or ranges of loss based on such reviews. We establish liabilities for loss contingencies when a loss is known or considered probable and the amount of the loss can be reasonably estimated. For matters where a loss is believed to be reasonably possible, but not probable, no accrual has been made.

Litigation

Durom® Cup-related claims: On July 22, 2008, we temporarily suspended marketing and distribution of the Durom Acetabular Component (Durom Cup) in the U.S. Subsequently, a number of product liability lawsuits and other claims have been asserted against us. We have settled some of these claims and the others are still pending. Additional claims may be asserted in the future.

Since 2008, we have accrued estimated losses of $388.2 million for Durom Cup-related claims. With respect to the periods covered by this report, our estimate of our total liability for these claims as of June 30, 2012 remains consistent with our prior estimate, and, accordingly, we did not record any expense during the three and six month periods ended June 30, 2012. During the three and six month periods ended June 30, 2011, we recognized $1.9 million and $3.0 million, respectively, of expense in SG&A and $50.0 million of expense in “Certain claims”.

Our understanding of clinical outcomes with the Durom Cup continues to evolve. We rely on significant estimates in determining the provisions for Durom Cup-related claims, including the number of claims that we will receive and the average amount we will pay per claim. The actual number of claims that we receive and the amount we pay per claim may differ from our estimates. Among other factors, since our understanding of the clinical outcomes is still evolving, we cannot reasonably estimate the possible loss or range of loss that may result from Durom Cup-related claims in excess of the estimated losses we have accrued.

Margo and Daniel Polett v. Zimmer, Inc. et al.: On August 20, 2008, the Poletts filed an action against us and an unrelated third party, Public Communications, Inc. (PCI), in the Court of Common Pleas, Philadelphia, Pennsylvania seeking an unspecified amount of damages for injuries and loss of consortium allegedly suffered by Mrs. Polett and her spouse, respectively. The complaint alleged that defendants were negligent in connection with Mrs. Polett’s participation in a promotional video featuring one of our knee products. The case was tried in November 2010 and the jury returned a verdict in favor of plaintiffs. The jury awarded $27.6 million in compensatory damages and apportioned fault 30 percent to plaintiffs, 34 percent to us and 36 percent to PCI. Under applicable law, we may be liable for any portion of the damages apportioned to PCI that it does not pay. On December 2, 2010, we and PCI filed a Motion for Post-Trial Relief seeking a judgment notwithstanding the verdict, a new trial or a remittitur. On June 10, 2011, the trial court entered an order denying our Motion for Post-Trial Relief and affirming the jury verdict in full and entered judgment for $20.3 million against us and PCI. On June 29, 2011, we filed a Notice of Appeal to the Superior Court of Pennsylvania and posted a bond for the verdict amount plus interest. Oral argument before the appellate court in Philadelphia, Pennsylvania was held on March 13, 2012. A ruling has not yet been issued. We have not accrued an estimated loss related to this matter. Although we believe we have strong grounds to reverse the jury’s verdict, the ultimate resolution of this matter is uncertain. We could in the future be required to record a charge to our consolidated statement of earnings that could have a material adverse effect on our results of operations in any particular period.

NexGen® Knee System claims: Following a wide-spread advertising campaign conducted by certain law firms beginning in 2010, a number of product liability lawsuits have been filed against us in various jurisdictions. The majority of the cases are currently pending in a federal Multidistrict Litigation in the Northern District of Illinois. Other cases are pending in other state and federal courts, and additional lawsuits may be filed. As of

 

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June 30, 2012, discovery in these lawsuits was underway and no trial dates had been set. We have not accrued an estimated loss relating to these lawsuits. Although we intend to vigorously defend these lawsuits, their ultimate resolution is uncertain.

Intellectual Property-Related Claims

Royalty arrangements: We are involved in certain ongoing contractual and other disputes pertaining to certain royalty arrangements. We intend to defend ourselves vigorously against these claims. These matters are in varying stages of dispute resolution processes. In the three and six month periods ended June 30, 2012, we accrued losses related to one of these matters, which we have since settled. With respect to the other matters, we cannot reasonably estimate the possible loss, if any, we may incur. An adverse result in any of these matters could have an adverse effect on our results of operations in any particular period.

 

Government

Investigations

FCPA investigation: In September 2007, the Staff of the U.S. Securities and Exchange Commission (SEC) informed us that it was conducting an investigation regarding potential violations of the Foreign Corrupt Practices Act (FCPA) in the sale of medical devices in a number of foreign countries by companies in the medical device industry. In November 2007, we received a letter from the U.S. Department of Justice (DOJ) requesting that any information provided to the SEC also be provided to the DOJ on a voluntary basis. In the course of continuing dialogues with the agencies, we have voluntarily disclosed information to the SEC and DOJ relating to sales of our products by independent distributors in two South American countries. In the first quarter of 2011, we received a subpoena from the SEC seeking documents and other records pertaining to our business activities in substantially all countries in the Asia Pacific region where we operate. We have been responding to the subpoena and reporting to the government concerning our reviews in certain countries in the Asia Pacific region. We cannot currently predict the outcome of this investigation. If the result of the investigation is that we are found to be in violation of the FCPA, we could face significant monetary penalties or be required to take other remedial actions.

Regulatory Matters

In July 2011, the U.S. Food and Drug Administration (FDA) conducted an inspection of our Warsaw, Indiana manufacturing facility, following which it issued certain inspectional observations regarding the facility’s quality systems. We have responded to the observations, met with representatives of the district office of the FDA to discuss our response and action plans, and have been executing our action plans. As anticipated, the FDA conducted a reinspection of the Warsaw, Indiana manufacturing facility during the quarter ended June 30, 2012. The reinspection was completed and we are continuing to address a number of inspectional observations and are communicating regularly with the FDA regarding these matters.

 

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Item 2. Management’s Discussion and Analysis of Financial Condition and Results of Operations

The following discussion and analysis should be read in conjunction with the condensed consolidated financial statements and corresponding notes included elsewhere in this Form 10-Q. Certain percentages presented in this discussion and analysis are calculated from the underlying whole-dollar amounts and therefore may not recalculate from the rounded numbers used for disclosure purposes. In addition, certain amounts in the 2011 condensed consolidated financial statements have been reclassified to conform to the 2012 presentation.

Overview

We believe the following developments or trends are important in understanding our financial condition, results of operations and cash flows for the three and six month periods ended June 30, 2012 and our expected results for the remainder of 2012.

Demand (Volume and Mix) Trends

Increased volume and changes in the mix of product sales contributed 4 percentage points of year-over-year sales growth during the three month period ended June 30, 2012, which is 1 percentage point better than the three month period ended June 30, 2011, but 1 percentage point worse than the three month period ended March 31, 2012.

Consistent with our expectations, procedure volumes in the broader musculoskeletal market remained stable in the second quarter of 2012 relative to the first quarter of 2012. We believe long-term indicators point toward sustained growth driven by an aging global population, growth in emerging markets, obesity, proven clinical benefits, new material technologies, advances in surgical techniques and more active lifestyles, among other factors. In addition, the ongoing shift in demand to premium products, such as Prolong® Highly Crosslinked Polyethylene, Trabecular MetalTM Technology products, hip stems with Kinectiv® Technology, high-flex knees, porous hip stems and the introduction of patient specific devices, is expected to continue to positively affect sales growth.

Pricing Trends

Global selling prices had a negative effect of 2 percent on year-over-year sales growth during the three month period ended June 30, 2012, which is 1 percentage point worse than the three month period ended June 30, 2011, and consistent with the three month period ended March 31, 2012. Selling prices in the Americas and Asia Pacific had a negative effect of 3 percent on sales growth in those operating segments during the three month period ended June 30, 2012. Europe selling prices had a negative effect of 1 percent on sales growth in that operating segment during the three month period ended June 30, 2012. We continue to see pricing pressure from governmental healthcare cost containment efforts and from local hospitals and health systems. In addition, effective April 2012, a biennial price adjustment went into effect in Japan which will negatively affect pricing the remainder of the year. The Japan downward price adjustment was greater than we had anticipated coming into the year. Consequently, this adds modest incremental pressure to our full year pricing outlook of negative 2 percent.

Foreign Currency Exchange Rates

For the three month period ended June 30, 2012, foreign currency exchange rates resulted in a 3 percent decline in sales. If foreign currency exchange rates remain consistent with June 30, 2012 rates, we estimate that a stronger dollar versus foreign currency exchange rates will have a negative effect in 2012 of 2 to 2.5 percent on sales. We address currency risk through regular operating and financing activities and through the use of forward contracts and foreign currency options solely to manage foreign currency volatility and risk. Changes to foreign currency exchange rates affect sales growth, but due to offsetting gains/losses on hedge contracts and options, which are recorded in cost of products sold, the effect on net earnings in the near term is expected to be minimal.

 

 

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2012 Outlook

We estimate our sales will grow between 0 and 1.5 percent in 2012. Such sales growth assumes knee and hip procedures will grow in low single digits with modest global economic growth and relatively stable employment. As discussed previously, we expect pricing to have a negative effect on sales growth of approximately 2 percent, and foreign currency exchange rates to have a negative effect on sales growth of 2 to 2.5 percent based upon June 30, 2012 rates.

Assuming currency rates remain at June 30, 2012 levels, we expect our gross margin to be approximately 75 percent of sales in 2012. This takes into account the cost pressures we have experienced from lower than planned manufacturing volumes, as well as anticipated losses from foreign currency hedges. However, if currency rates remain at June 30, 2012 levels, the hedge losses we recognize in 2012 will be less than the hedge losses recognized in 2011. We expect to continue making investments in research and development (R&D) in the range of 5 to 6 percent of sales. For the full year, selling, general and administrative expenses (SG&A) as a percent of sales is expected to be approximately 40 percent as we realize operational efficiencies from global restructuring and transformation initiatives and further leverage revenue growth. However, due to slower procedure volumes related to summer holidays, our SG&A expense in the third quarter is expected to be between 42 and 42.5 percent of sales.

We expect to incur approximately $115 million of expenses in 2012 related to certain restructuring and transformation initiatives. The programs are targeted at streamlining the organization and business processes. They are expected to be mostly completed in 2012. We also expect to incur approximately $10 million for certain acquisition, integration and other costs. We expect to recognize the majority of these $125 million of expenses in “Special items” on our statement of earnings. The gross margin and SG&A percentages discussed above do not include these expenses.

Assuming variable rates remain at June 30, 2012 levels, we expect interest expense, net of interest income, to be approximately $60 million in 2012, which is higher than 2011 primarily due to the $550 million offering of senior notes we completed in November 2011.

FIRST QUARTER RESULTS OF OPERATIONS

Net Sales by Operating Segment

The following table presents net sales by operating segment and the components of the percentage changes (dollars in millions):

 

     Three Months Ended
June 30,
                          
     2012      2011      % Inc
(Dec)
    Volume/
Mix
    Price     Foreign
Exchange
 

Americas

   $ 614.3       $ 608.6         1     4     (3 )%     

Europe

     305.2         324.7         (6     4        (1     (9

Asia Pacific

     205.5         204.1         1        5        (3     (1
  

 

 

    

 

 

          

Total

   $ 1,125.0       $ 1,137.4         (1     4        (2     (3
  

 

 

    

 

 

          

 

     Six Months Ended
June 30,
                          
     2012      2011      % Inc
(Dec)
    Volume/
Mix
    Price     Foreign
Exchange
 

Americas

   $ 1,248.7       $ 1,238.3         1     4     (3 )%     

Europe

     606.0         623.9         (3     5        (1     (7

Asia Pacific

     411.0         390.8         5        6        (2     1   
  

 

 

    

 

 

          

Total

   $ 2,265.7       $ 2,253.0         1        4        (2     (1
  

 

 

    

 

 

          

“Foreign Exchange” as used in the tables in this report represents the effect of changes in foreign currency exchange rates on sales growth.

 

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Net Sales by Product Category

The following table presents net sales by product category and the components of the percentage changes (dollars in millions):

 

     Three Months Ended
June 30,
     %  Inc
(Dec)
    Volume/
Mix
    Price     Foreign
Exchange
 
     2012      2011           

Reconstructive

              

Knees

   $ 460.7       $ 470.9         (2 )%      4     (3 )%      (3 )% 

Hips

     340.0         345.0         (1     5        (3     (3

Extremities

     42.5         40.7         4        7        (1     (2
  

 

 

    

 

 

          
     843.2         856.6         (2     5        (3     (4

Dental

     61.5         67.1         (8     (6     1        (3

Trauma

     73.9         69.1         7        10        (1     (2

Spine

     52.4         56.4         (7     (1     (3     (3

Surgical and other

     94.0         88.2         7        8               (1
  

 

 

    

 

 

          

Total

   $ 1,125.0       $ 1,137.4         (1     4        (2     (3
  

 

 

    

 

 

          

 

     Six Months Ended
June 30,
     %  Inc
(Dec)
    Volume/
Mix
    Price     Foreign
Exchange
 
     2012      2011           

Reconstructive

              

Knees

   $ 931.3       $ 933.1             5     (3 )%      (2 )% 

Hips

     684.5         682.3                5        (3     (2

Extremities

     87.3         83.6         4        7        (1     (2
  

 

 

    

 

 

          
     1,703.1         1,699.0                5        (3     (2

Dental

     121.7         129.5         (6     (5     1        (2

Trauma

     149.4         139.2         7        10        (1     (2

Spine

     105.6         113.3         (7     (2     (3     (2

Surgical and other

     185.9         172.0         8        8        1        (1
  

 

 

    

 

 

          

Total

   $ 2,265.7       $ 2,253.0         1        4        (2     (1
  

 

 

    

 

 

          

 

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The following table presents net sales by product category by region (dollars in millions):

 

     Three Months Ended June 30,     Six Months Ended June 30,  
     2012      2011      % Inc (Dec)     2012      2011      % Inc (Dec)  

Reconstructive

                

Knees

                

Americas

   $ 264.6       $ 266.5         (1 )%    $ 543.1       $ 544.3        

Europe

     116.9         127.9         (9     235.0         245.1         (4

Asia Pacific

     79.2         76.5         4        153.2         143.7         7   

Hips

                

Americas

     151.8         151.4                305.7         306.0           

Europe

     115.9         121.8         (5     229.9         236.0         (3

Asia Pacific

     72.3         71.8         1        148.9         140.3         6   

Extremities

                

Americas

     32.3         31.1         4        67.5         64.3         5   

Europe

     7.6         6.9         11        14.6         13.7         7   

Asia Pacific

     2.6         2.7         (5     5.2         5.6         (7
  

 

 

    

 

 

      

 

 

    

 

 

    
     843.2         856.6         (2     1,703.1         1,699.0           

Dental

                

Americas

     34.8         33.6         3        70.1         68.3         3   

Europe

     21.1         25.0         (15     41.2         45.7         (10

Asia Pacific

     5.6         8.5         (34     10.4         15.5         (33

Trauma

                

Americas

     37.5         35.1         7        74.7         72.1         4   

Europe

     17.0         15.9         7        33.0         30.0         10   

Asia Pacific

     19.4         18.1         7        41.7         37.1         12   

Spine

                

Americas

     35.4         37.3         (5     72.0         76.1         (5

Europe

     12.7         14.4         (11     25.1         28.2         (11

Asia Pacific

     4.3         4.7         (7     8.5         9.0         (5

Surgical and other

                

Americas

     57.9         53.6         8        115.6         107.2         8   

Europe

     14.0         12.8         9        27.2         25.2         8   

Asia Pacific

     22.1         21.8         2        43.1         39.6         9   
  

 

 

    

 

 

      

 

 

    

 

 

    

Total

   $ 1,125.0       $ 1,137.4         (1   $ 2,265.7       $ 2,253.0         1   
  

 

 

    

 

 

      

 

 

    

 

 

    

Sales Overview

Although the sales growth rate for our Americas geographic segment increased sequentially from the first quarter to the second quarter of 2012, this performance still fell short of our goal of growing all three of our geographic segments at or above market rates. Our ongoing commercial excellence efforts, however, are focused on improving the performance of certain territories in the U.S. to the level of the many other territories that continue to perform well and are growing above market. These efforts, coupled with the strength of our current and upcoming new product introductions, give us confidence that we will accelerate our Americas revenue growth rate in the coming quarters.

Our international segments continued to deliver solid sales results in the second quarter, despite challenging prior year comparisons due to our large knee tender sale in Europe in the second quarter of 2011, as well as the impact of the biennial price reductions in Japan, which became effective in April 2012.

 

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Knees

Knee sales declined by 2 percent and were flat in the three and six month periods ended June 30, 2012, respectively, when compared to the same prior year periods. Changes in foreign currency exchange rates negatively affected knee sales in the three and six month periods ended June 30, 2012 by 3 percent and 2 percent, respectively. Volume/mix growth continued to be stable with prior quarters while pricing pressure remains.

The NexGen® Complete Knee Solution product line, including Gender Solutions® Knee Femoral Implants, the NexGen LPS-Flex Knee and the NexGen CR-Flex Knee led knee sales. In addition, sales of our knee revision systems and Zimmer® Patient Specific Instruments exhibited growth. In Europe, we completed a large tender contract to the ministry of health in a government-run healthcare system in the three month period ended June 30, 2011, which, along with changes in foreign currency exchange rates, has offset underlying growth in the rest of that operating segment. In Europe, changes in foreign currency exchange rates negatively affected knee sales in the three and six month periods ended June 30, 2012 by 9 percent and 6 percent, respectively. In Asia Pacific, changes in foreign currency exchange rates affected knee sales in the three and six month periods ended June 30, 2012 by negative 2 percent and positive 1 percent, respectively.

Hips

Hip sales declined by 1 percent and were flat in the three and six month periods ended June 30, 2012, respectively, when compared to the same prior year periods. Changes in foreign currency exchange rates negatively affected hip sales in the three and six month periods ended June 30, 2012 by 3 percent and 2 percent, respectively. Sales were driven primarily by higher sales of our primary stems, including the Zimmer® M/L Taper Stem and the Zimmer M/L Taper Stem with Kinectiv Technology, and our Continuum® Acetabular System, Trilogy® IT Acetabular System and Allofit® IT Alloclassic® Acetabular System.

Also leading hip stem sales were the CLS® Spotorno® Stem from the CLS Hip System and the Alloclassic Zweymüller® Hip Stem. In addition, sales of the Trabecular Metal Revision Shell and Augment Cups were strong when compared to the prior year period, as were sales of BIOLOX®1 delta Heads and Fitmore® Hip Stems. In Europe, changes in foreign currency exchange rates negatively affected hip sales in the three and six month periods ended June 30, 2012 by 9 percent and 7 percent, respectively. In Asia Pacific, changes in foreign currency exchange rates affected hip sales in the three and six month periods ended June 30, 2012 by 0 percent and positive 2 percent, respectively.

Extremities

Extremities sales increased by 4 percent in both the three and six month periods ended June 30, 2012 when compared to the same prior year periods. The Zimmer Trabecular Metal Reverse Shoulder System led extremities sales. Reverse shoulder procedures continue to gain popularity as a solution for patients with rotator cuff damage.

Dental

Dental sales declined by 8 percent and 6 percent in the three and six month periods ended June 30, 2012, respectively, when compared to the same prior year periods. While Americas sales increased 3 percent in both periods, the overall performance of our dental franchise was impacted by several factors, including softening in certain international markets and timing of inventory purchases at our stocking distributors. Sales were led by the Tapered Screw-Vent® Implant System.

Trauma

Trauma sales increased 7 percent in both the three and six month periods ended June 30, 2012 when compared to the same prior year periods. The Zimmer Natural Nail® System continued to increase sales significantly. In addition to the Zimmer Natural Nail System, the Zimmer® Periarticular Locking Plates System led trauma sales, while sales of the Zimmer® Universal Locking System also made a strong contribution.

 

1 Registered trademark of CeramTec GmbH

 

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Spine

Spine sales decreased 7 percent in both the three and six month periods ended June 30, 2012 when compared to the same prior year periods. Each of our geographic segments experienced sales declines. This product category continues to face challenges related to pricing pressure and payor approvals. Solid sales of the PathFinder NXT® and Sequoia® Pedicle Screw Systems, the InCompass® Spinal Fixation System and Trabecular Metal Technology products partly offset a decline in sales of the Dynesys® Dynamic Stabilization System.

Surgical and other

Surgical and other sales increased 7 percent and 8 percent in the three and six month periods ended June 30, 2012, respectively, when compared to the same prior year periods. Surgical and other sales were led by PALACOS®2 Bone Cement and tourniquet products. Our wound debridement products, powered instruments and DeNovo® NT Natural Tissue Graft also made a strong contribution to sales results, as did our January 2012 acquisition of Synvasive Technology, Inc. (Synvasive). The Synvasive acquisition enhanced our product portfolio through the addition of the STABLECUT® surgical saw blades, as well as the eLIBRA® Dynamic Knee Balancing System™ for soft tissue balancing.

Expenses as a Percent of Net Sales

 

     Three Months Ended
June  30,
    Inc (Dec)     Six Months Ended
June  30,
    Inc (Dec)  
     2012     2011       2012     2011    

Cost of products sold

     25.1     25.3     (0.2     25.2     25.2     0.0   

Research and development

     5.1        5.0        0.1        5.2        5.0        0.2   

Selling, general and administrative

     40.3        41.3        (1.0     40.5        41.2        (0.7

Certain claims

            4.4        (4.4            2.2        (2.2

Special items

     2.7        1.2        1.5        2.8        1.7        1.1   

Operating profit

     26.8        22.8        4.0        26.4        24.7        1.7   

Cost of Products Sold

The decrease in cost of products sold as a percentage of net sales for the three month period ended June 30, 2012 compared to the same prior year period is primarily due to lower foreign currency hedge losses recorded in the current year period. Under our hedging program, the effective portion of derivatives that qualify as hedges of future cash flows is temporarily recorded in other comprehensive income and then recognized in cost of products sold when the hedged item affects earnings. Additionally, there were lower inventory step-up charges based upon timing of business combinations. These favorable items were partially offset by the impact of lower average selling prices.

The six month period ended June 30, 2012 experienced similar year-over-year trends as the three month period discussed above. However, the foreign currency hedge losses were not as relatively favorable year-over-year. Therefore, cost of products sold as a percentage of net sales was the same as the prior year six month period.

Operating Expenses

R&D expenses and R&D as a percent of sales increased slightly when compared to the same prior year periods. Higher spending reflects investments in new platform development projects across all product categories, including our next generation knee system. We continue to align R&D support functions with our product category leaders to continue to drive a faster pace of product innovation, which is a key feature of our growth strategy. We expect R&D spending in 2012 to be between 5 to 6 percent of sales for the full year.

 

2 Registered trademark of Heraeus Kulzer GmbH

 

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SG&A has decreased in dollar terms and as a percent of sales when compared to the same prior year periods. In the three month period ended June 30, 2012, SG&A in dollar terms decreased due to lower sales, changes in foreign currency exchange rates from a stronger U.S. dollar versus various currencies throughout the world, and lower advertising and promotion expenses. Such lower expenses were partially offset by increased bad debt expenses and higher intangible amortization from business combinations. SG&A as a percent of sales has decreased 100 basis points relative to the same prior year period, reflecting disciplined discretionary spending and the effect of our transformation initiatives, which have lowered expenses such as salaries, wages and benefits.

In the six month period ended June 30, 2012, SG&A in dollar terms decreased for similar reasons as discussed above in addition to lower product liability costs. Such lower expenses were partially offset by increased bad debt and intangible amortization expenses as discussed above as well as increased legal costs. SG&A as a percent of sales has decreased 70 basis points relative to the same prior year period, reflecting disciplined discretionary spending and the effect of our transformation initiatives, which have lowered expenses such as salaries, wages and benefits.

“Certain claims” expense is a provision for estimated liabilities to Durom Cup patients undergoing revision surgeries. A provision of $50.0 million was recorded during the three month period ended June 30, 2011. For more information regarding these claims, see Note 13 to the condensed consolidated financial statements.

“Special items” for the three and six month periods ended June 30, 2012 increased from the same prior year periods. We continue to implement our transformation programs and have incurred costs related to consulting and professional fees and dedicated personnel costs for those programs, as well as other costs. Additionally, severance costs were recognized as we announced our plans to transition our Warsaw, Indiana distribution center to an outsourced partner at a national transportation hub, among other organizational changes. We also recognized charges related to certain litigation matters.

“Special items” in 2011 was largely composed of employee severance and termination-related expenses resulting from a reduction in management layers, expansion of management spans of control, and changes in our organizational structure. “Special items” also included expenses relating to integration of business acquisitions and fixed asset impairments. See Note 2 to the condensed consolidated financial statements for more information regarding “Special items” charges.

Interest Income, Interest Expense, Income Taxes and Net Earnings

Interest expense for the three and six month periods ended June 30, 2012 increased primarily due to the $550 million offering of senior notes we completed in November 2011. Interest income has increased due to higher balances of cash and cash equivalents and short-term and long-term investments upon which interest income is being earned.

The effective tax rate on earnings before income taxes increased to 25.6 percent in both the three and six month periods ended June 30, 2012, compared to 18.2 percent and 22.9 percent in the same prior year periods, respectively. In the prior year periods, the effective tax rate was positively affected by the favorable resolution of certain tax matters and the tax effect of the “Certain claims” provision. We anticipate the outcome of various federal, state and foreign audits as well as expiration of certain statutes of limitations could potentially impact our 2012 effective tax rate in future quarters. Currently, we cannot reasonably estimate the impact of these items on our financial results.

Net earnings of Zimmer Holdings, Inc. increased 5 percent to $214.5 million for the three month period ended June 30, 2012, compared to $203.8 million in the same prior year period. Net earnings increased 3 percent to $424.1 million for the six month period ended June 30, 2012, compared to $412.7 million in the same prior year period. The improvements in net earnings were due to the changes in revenues and expenses discussed above. For the three month period ended June 30, 2012, basic and diluted earnings per share both increased 15 percent to $1.22, from $1.06 in the same prior year period. For the six month period ended June 30, 2012, basic and diluted earnings per share both increased 12 percent to $2.41 and $2.39, respectively, from $2.15 and $2.14, respectively, in the same prior year period. The disproportional change in earnings per share as compared with net earnings is attributed to the effect of 2012 and 2011 share repurchases.

 

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Non-GAAP operating performance measures

We use non-GAAP financial measures to evaluate our operating performance that differ from financial measures determined in accordance with GAAP. Our non-GAAP financial measures exclude the impact of inventory step-up charges, “Certain Claims”, “Special items,” and the taxes on those items. We use this information internally and believe it is helpful to investors because it allows more meaningful period-to-period comparisons of our ongoing operating results, it helps to perform trend analysis and to better identify operating trends that may otherwise be masked or distorted by these types of items, and it provides a higher degree of transparency of certain items. Certain of these non-GAAP financial measures are used as metrics for our incentive compensation programs.

Our non-GAAP adjusted net earnings used for internal management purposes for the three and six month periods ended June 30, 2012 were $235.6 million and $466.9 million, respectively, compared to $232.5 million and $463.4 million in the same prior year periods, respectively. Our non-GAAP adjusted diluted earnings per share for the three and six month periods ended June 30, 2012 were $1.34 and $2.63, respectively, compared to $1.21 and $2.40 in the same prior year periods, respectively.

The following are reconciliations from our GAAP net earnings and diluted earnings per share to our non-GAAP adjusted net earnings and non-GAAP adjusted diluted earnings per share used for internal management purposes.

 

     Three Months  Ended
June 30,
    Six Months Ended
June 30,
 
    

(In millions)

   2012     2011     2012     2011  

Net Earnings of Zimmer Holdings, Inc.

   $ 214.5      $ 203.8      $ 424.1      $ 412.7   

Inventory step-up

     1.0        3.4        2.0        7.8   

Certain claims

            50.0               50.0   

Special items

     30.7        13.5        64.2        39.0   

Taxes on inventory step-up, certain claims and special items and tax adjustments related to resolution of certain tax matters*

     (10.6     (38.2     (23.4     (46.1
  

 

 

   

 

 

   

 

 

   

 

 

 

Adjusted Net Earnings

   $ 235.6      $ 232.5      $ 466.9      $ 463.4   
  

 

 

   

 

 

   

 

 

   

 

 

 

 

*

The tax effect is calculated based upon the statutory rates for the jurisdictions where the items were incurred.

 

     Three Months  Ended
June 30,
    Six Months Ended
June 30,
 
    
      2012     2011     2012     2011  

Diluted EPS

   $ 1.22      $ 1.06      $ 2.39      $ 2.14   

Inventory step-up

     0.01        0.02        0.01        0.04   

Certain claims

            0.26               0.26   

Special items

     0.17        0.07        0.36        0.20   

Taxes on inventory step-up, certain claims and special items and tax adjustments related to resolution of certain tax matters*

     (0.06     (0.20     (0.13     (0.24
  

 

 

   

 

 

   

 

 

   

 

 

 

Adjusted Diluted EPS

   $ 1.34      $ 1.21      $ 2.63      $ 2.40   
  

 

 

   

 

 

   

 

 

   

 

 

 

 

*

The tax effect is calculated based upon the statutory rates for the jurisdictions where the items were incurred.

Healthcare Reform in the U.S.

We continue to assess the impact that federal healthcare reform will have on our business. Federal healthcare reform includes a 2.3 percent excise tax on a majority of our U.S. sales that is scheduled to be

 

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implemented in 2013. We do not expect to be able to offset the full impact of the tax on net earnings through higher pricing on our products or through higher sales volumes resulting from the expansion of health insurance coverage. However, we believe we will be able to fully offset the financial impact of the tax through savings generated from our various transformation programs and other cost savings initiatives.

Liquidity and Capital Resources

Cash flows provided by operating activities were $438.9 million for the six month period ended June 30, 2012, compared to $433.2 million in the same prior year period. The principal source of cash from operating activities was net earnings. Non-cash items included in net earnings accounted for another $220.0 million of operating cash. All other items of operating cash flows reflect a use of $204.0 million of cash, compared to a use of $193.7 million in the same 2011 period. The higher cash flows provided by operating activities in the 2012 period were primarily due to the timing of tax payments, which was partially offset by increased product liability payments.

At June 30, 2012, we had 72 days of sales outstanding in trade accounts receivable, which represents an increase of 2 days compared to March 31, 2012 and an increase of 4 days compared to June 30, 2011, reflecting the economic environment in our Europe operating segment. At June 30, 2012, we had 306 days of inventory on hand, which is an increase of 13 days compared to March 31, 2012 and a decrease of 1 day from June 30, 2011. This reflects relatively stable inventory balances.

Cash flows used in investing activities were $282.1 million for the six month period ended June 30, 2012, compared to $162.5 million in the same prior year period. Additions to instruments decreased in the 2012 period compared to the 2011 period as the 2011 period reflected purchases for significant product launches, such as our Continuum Acetabular System. Spending on other property, plant and equipment has increased in the 2012 period relative to the 2011 period, reflecting cash outlays necessary to complete new product-related investments and replace older machinery and equipment. We invest some of our cash and cash equivalents in highly-rated debt securities. The purchases and any sales or maturities of these investments are reflected as cash flows from investing activities. The timing of these investments can vary from quarter to quarter depending on the maturity of the debt securities and other cash and cash equivalent needs. Investments in other assets increased in the 2012 period compared to the 2011 period primarily related to the acquisition of Synvasive and another smaller acquisition.

Cash flows used in financing activities were $262.1 million for the six month period ended June 30, 2012, compared to $324.3 million in the same 2011 period. In the 2012 period, we returned cash to stockholders in the form of cash dividends of 31.7 million and share repurchases of $248.1 million as compared to share repurchases of $357.2 million in the 2011 period.

In May 2012, our Board of Directors declared a dividend of $0.18 per share, resulting in $31.4 million to be paid in July 2012. We expect to continue paying cash dividends on a quarterly basis; however, future dividends are subject to approval of the Board of Directors and may be adjusted for reasons the Board deems appropriate, such as changes in market conditions or business needs.

We have four tranches of senior notes outstanding: $250 million aggregate principal amount of 1.4 percent notes due November 30, 2014, $500 million aggregate principal amount of 4.625 percent notes due November 30, 2019, $300 million aggregate principal amount of 3.375 percent notes due November 30, 2021 and $500 million aggregate principal amount of 5.75 percent notes due November 30, 2039. Interest on each series is payable on May 30 and November 30 of each year until maturity.

We may redeem the senior notes at our election in whole or in part at any time prior to maturity at a redemption price equal to the greater of 1) 100 percent of the principal amount of the notes being redeemed; or 2) the sum of the present values of the remaining scheduled payments of principal and interest (not including any portion of such payments of interest accrued as of the date of redemption), discounted to the date of redemption on a semi-annual basis at the Treasury Rate (as defined in the debt agreement), plus 15 basis points in the case of the 2014 notes, 20 basis points in the case of the 2019 and 2021 notes, and 25 basis points in the case of the 2039 notes. We will also pay the accrued and unpaid interest on the senior notes to the redemption date.

 

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In May 2012 we entered into a new five year $1,350 million revolving, multi-currency, Senior Credit Facility maturing May 9, 2017. The Senior Credit Facility replaced a previous credit facility with similar terms that was due to mature on November 30, 2012. For more information on the Senior Credit Facility, the agreement can be found as an exhibit to this report.

Borrowings of 11.7 billion Japanese Yen outstanding under the previous credit facility were converted to the Senior Credit Facility. On May 24, 2012, we refinanced these borrowings by entering into a separate Term Loan agreement with one of the lenders under the Senior Credit Facility for 11.7 billion Japanese Yen and we repaid the outstanding borrowings under the Senior Credit Facility. As of June 30, 2012, there were no outstanding borrowings under the Senior Credit Facility.

The Term Loan will mature on May 31, 2016. Borrowings under the Term Loan bear interest at a fixed rate of 0.61 percent per annum until maturity. For more information on the Term Loan, the agreement can be found as an exhibit to this report.

We also have available uncommitted credit facilities totaling $71.0 million.

We place our cash and cash equivalents in highly-rated financial institutions and limit the amount of credit exposure to any one entity. We invest only in high-quality financial instruments in accordance with our internal investment policy.

As of June 30, 2012, we had short-term and long-term investments in debt securities with a fair value of $783.9 million. These investments are in debt securities of many different issuers and therefore we have no significant concentration of risk with a single issuer. All of these debt securities remain highly-rated and therefore we believe the risk of default by the issuers is low.

As of June 30, 2012, $1,319.5 million of our cash and cash equivalents and short-term and long-term investments are held in jurisdictions outside of the U.S. and are expected to be indefinitely reinvested for continued use in foreign operations. Repatriation of these assets to the U.S. would have negative tax consequences. Approximately $1,162.9 million of this amount is denominated in U.S. Dollars and therefore bears no foreign currency translation risk. The balance of these assets is denominated in currencies of the various countries where we operate.

Our concentrations of credit risks with respect to trade accounts receivable is limited due to the large number of customers and their dispersion across a number of geographic areas and by frequent monitoring of the creditworthiness of the customers to whom credit is granted in the normal course of business. Substantially all of our trade receivables are concentrated in the public and private hospital and healthcare industry in the U.S. and internationally or with distributors or dealers who operate in international markets and, accordingly, are exposed to their respective business, economic and country specific variables.

Our ability to collect accounts receivable in some countries depends in part upon the financial stability of these hospital and healthcare sectors and the respective countries’ national economic and healthcare systems. Most notably, in Europe healthcare is typically sponsored by the government. Since we sell products to public hospitals in those countries, we are indirectly exposed to government budget constraints. The ongoing financial crisis in the Euro zone impacts the indirect credit exposure we have to those governments through their public hospitals. We have experienced an increasing number of days sales outstanding in some European countries. As of June 30, 2012, in Greece, Italy, Portugal and Spain, countries that have been widely recognized as presenting the highest risk, our gross short-term and long-term trade accounts receivable were $254.2 million. With allowances for doubtful accounts of $8.6 million recorded in those countries, the net balance was $245.6 million, representing 27 percent of our total consolidated short-term and long-term trade accounts receivable balance, net. Italy and Spain account for $233.6 million of that net amount. We are actively monitoring the situations in these countries. We maintain contact with these customers on a regular basis. We continue to receive payments, albeit at a slower rate than in the past. We believe our allowance for doubtful accounts is adequate in these countries, as

 

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ultimately we believe the governments in these countries will be able to pay. As evidence of this, in Spain we received approximately $27 million a few days after the quarter end to settle certain past due accounts receivable. To the extent the respective governments’ ability to fund their public hospital programs deteriorates, we may have to record significant bad debt expenses in the future.

We may use excess cash to repurchase additional common stock under our share repurchase program. As of June 30, 2012, approximately $1.3 billion remained authorized under a $1.5 billion repurchase program, which will expire on December 31, 2014.

Management believes that cash flows from operations and available borrowings under the Senior Credit Facility are sufficient to meet our working capital, capital expenditure, dividend and debt service needs. Should investment opportunities arise, we believe that our earnings, balance sheet and cash flows will allow us to obtain additional capital, if necessary.

Recent Accounting Pronouncements

See Note 2 to our condensed consolidated financial statements included in Part I, Item 1 of this report to see how recent accounting pronouncements have affected or may affect our financial position, results of operations and cash flows.

Forward-Looking Statements

This quarterly report contains certain statements that are forward-looking statements within the meaning of federal securities laws. Forward-looking statements can be identified by the fact that they do not relate strictly to historical or current facts. When used in this report, the words “may,” “will,” “should,” “would,” “could,” “anticipate,” “expect,” “plan,” “seek,” “believe,” “predict,” “estimate,” “potential,” “project,” “target,” “forecast,” “intend,” “strategy,” “future,” “opportunity,” “assume,” “guide” and similar expressions are intended to identify forward-looking statements. Forward-looking statements are based on current expectations and assumptions that are subject to risks and uncertainties that could cause actual results to differ materially from such forward-looking statements. These risks and uncertainties include, but are not limited to:

 

   

our compliance through September 2012 with the Corporate Integrity Agreement we entered into as part of the 2007 settlement with the U.S. government;

 

   

the outcome of the investigation by the U.S. government into Foreign Corrupt Practices Act matters announced in October 2007;

 

   

competition;

 

   

pricing pressures;

 

   

changes in customer demand for our products and services caused by demographic changes or other factors;

 

   

dependence on new product development, technological advances and innovation;

 

   

product liability claims;

 

   

retention of our independent agents and distributors;

 

   

our ability to protect proprietary technology and other intellectual property and claims for infringement of the intellectual property rights of third parties;

 

   

the possible disruptive effect of additional strategic acquisitions and our ability to successfully integrate acquired companies;

 

   

our ability to form and implement strategic alliances;

 

   

our dependence on a limited number of suppliers for key raw materials and outsourced activities;

 

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the impact of the federal healthcare reform legislation, including the impact of the new excise tax on medical devices;

 

   

reductions in reimbursement levels by third-party payors and cost containment efforts of healthcare purchasing organizations;

 

   

the impact of the ongoing financial crisis on countries in the Euro zone on our ability to collect accounts receivable in affected countries;

 

   

challenges relating to changes in and compliance with governmental laws and regulations affecting our U.S. and international businesses, including regulations of the U.S. Food and Drug Administration and foreign government regulators, such as more stringent requirements for regulatory clearance of our products;

 

   

changes in tax obligations arising from tax reform measures or examinations by tax authorities;

 

   

the success of our quality and operational improvement initiatives;

 

   

changes in prices of raw materials and products and our ability to control costs and expenses;

 

   

changes in general domestic and international economic conditions, including interest rate and currency exchange rate fluctuations;

 

   

changes in general industry and market conditions, including domestic and international growth rates; and

 

   

shifts in our product category sales mix or our regional sales mix away from products or geographic regions that generate higher operating margins.

Our Annual Report on Form 10-K for the year ended December 31, 2011 and subsequent Quarterly Report on Form 10-Q contain discussions of these and other important factors under the heading “Risk Factors” in those reports. You should understand that it is not possible to predict or identify all factors that could cause actual results to differ materially from forward-looking statements. Consequently, you should not consider any list or discussion of such factors to be a complete set of all potential risks or uncertainties.

Readers of this report are cautioned not to place undue reliance on these forward-looking statements. While we believe the assumptions on which the forward-looking statements are based are reasonable, there can be no assurance that these forward-looking statements will prove to be accurate. This cautionary statement is applicable to all forward-looking statements contained in this report.

We expressly disclaim any obligation to update or revise any forward-looking statements, whether as a result of new information, future events or otherwise. You are advised, however, to consult any further disclosures we make on related subjects in our Form 10-Q, 8-K and 10-K reports and our other filings with the Securities and Exchange Commission.

 

Item 3. Quantitative and Qualitative Disclosures About Market Risk

There have been no material changes from the information provided in our Annual Report on Form 10-K for the year ended December 31, 2011.

 

Item 4. Controls and Procedures

Evaluation of Disclosure Controls and Procedures

We maintain disclosure controls and procedures (as defined in Rules 13a-15(e) under the Securities Exchange Act of 1934 (Exchange Act)) that are designed to provide reasonable assurance that information required to be disclosed in the reports that we file or submit under the Exchange Act is recorded, processed, summarized and reported within the time periods specified in the SEC’s rules and forms, and that such information is accumulated and communicated to our management, including our Chief Executive Officer and Chief Financial Officer, as appropriate to allow timely decisions regarding required disclosures. Because of inherent limitations, disclosure controls and procedures, no matter how well designed and operated, can provide only reasonable, and not absolute, assurance that the objectives of disclosure controls and procedures are met.

 

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Our management, with the participation of our Chief Executive Officer and Chief Financial Officer, evaluated the effectiveness of the design and operation of our disclosure controls and procedures. Based on that evaluation, our Chief Executive Officer and Chief Financial Officer concluded that, as of the end of the period covered by this report, our disclosure controls and procedures are effective at a reasonable assurance level.

Changes in Internal Control Over Financial Reporting

During the quarter ended June 30, 2012, we continued transitioning work to a third-party service provider to outsource certain finance functions that historically have been performed in multiple countries throughout Europe and in the U.S. We also continued centralizing other finance functions that historically have been performed in a decentralized manner. This outsourcing and centralization are part of our ongoing global business transformation initiatives, and we plan to continue transitioning work to the service provider and the centralized finance departments over the course of 2012.

Also in 2012, we intend to implement new software to consolidate our worldwide financial information. This software implementation is part of our transformation initiatives in order to improve the overall efficiency and effectiveness of our financial reporting process.

In connection with the outsourcing, centralization of finance functions, and software implementation and the resulting business process changes, we continue to enhance the design and documentation of our internal control processes to ensure suitable controls over our financial reporting. There were no other changes in our internal control over financial reporting (as defined in Rule 13a-15(f) of the Exchange Act) that occurred during the quarter ended June 30, 2012 that have materially affected, or are reasonably likely to materially affect, our internal control over financial reporting.

 

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Part II — Other Information

 

Item 1. Legal Proceedings

Information pertaining to legal proceedings can be found in Note 13 to the interim condensed consolidated financial statements included in Part I, Item 1 of this report.

 

Item 1A. Risk Factors

Except as set forth below and in our Quarterly Report on Form 10-Q for the quarter ended March 31, 2012, there have been no material changes from the risk factors disclosed in Part I, Item 1A of our Annual Report on Form 10-K for the year ended December 31, 2011.

The risk factor entitled “In July 2011, we received Form FDA-483 Inspectional Observations from the FDA concerning quality systems at our Warsaw, Indiana manufacturing facility and we may not be able to timely and adequately address the quality system issues raised by the FDA” is revised as follows:

Following a July 2011 routine inspection of our Warsaw, Indiana manufacturing facility, the FDA issued certain inspectional observations regarding the facility’s quality systems. The facility manufactures reconstructive products that are sold globally. We have responded to the observations and met with representatives of the district office of the FDA to discuss our response and action plans. We have been executing our action plans and communicating on a regular basis with representatives of the district office of the FDA on the status of our execution of the action plans. As anticipated, the FDA conducted a reinspection of the Warsaw, Indiana manufacturing facility during the quarter ended June 30, 2012. The reinspection was completed and we are continuing to address a number of inspectional observations and are communicating regularly with the FDA regarding these matters.

 

Item 2. Unregistered Sales of Equity Securities and Use of Proceeds

The following table summarizes repurchases of common stock settled during the three month period ended June 30, 2012:

 

     Total Number
of Shares
Purchased
     Average Price
Paid per Share
     Total Number of
Shares Purchased
as Part of
Publicly
Announced Plans
or Programs*
     Approximate
Dollar Value of
Shares that May
Yet Be Purchased
Under Plans or
Programs
 

April 2012

           $         80,256,650       $ 1,358,415,859   

May 2012

     1,670,758         63.75         81,927,408         1,251,910,218   

June 2012

                     81,927,408         1,251,910,218   
  

 

 

    

 

 

    

 

 

    

 

 

 

Total

     1,670,758       $ 63.75         81,927,408       $ 1,251,910,218   
  

 

 

    

 

 

    

 

 

    

 

 

 

 

*

Includes repurchases made under expired programs as well as the current program authorizing $1.5 billion of repurchases through December 31, 2014.

 

Item 5. Other Information

During the three month period ended June 30, 2012, the Audit Committee of our Board of Directors was not asked to, and did not, approve the engagement of PricewaterhouseCoopers LLP, our independent registered public accounting firm, to perform any non-audit services. This disclosure is made pursuant to Section 10A(i)(2) of the Exchange Act, as added by Section 202 of the Sarbanes-Oxley Act of 2002.

 

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Item 6. Exhibits

The following exhibits are filed or furnished as part of this report:

 

    3.1   

Restated By-Laws of Zimmer Holdings, Inc. effective May 8, 2012 (incorporated by reference to Exhibit 3.1 to the Registrant’s Current Report on Form 8-K filed May 14, 2012)

  10.1   

$1,350,000,000 Credit Agreement dated as of May 9, 2012 (incorporated by reference to Exhibit 10.1 to the Registrant’s Current Report on Form 8-K filed May 15, 2012)

  10.2   

Term Loan Agreement ¥11,700,000,000 dated as of May 24, 2012 (incorporated by reference to Exhibit 10.1 to the Registrant’s Current Report on Form 8-K filed May 31, 2012)

  10.3   

Letter of Guarantee dated as of May 24, 2012 (incorporated by reference to Exhibit 10.2 to the Registrant’s Current Report on Form 8-K filed May 31, 2012)

  31.1   

Certification pursuant to Rule 13a-14(a)/15d-14(a) of the Securities Exchange Act of 1934 of the Chief Executive Officer, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002

  31.2   

Certification pursuant to Rule 13a-14(a)/15d-14(a) of the Securities Exchange Act of 1934 of the Chief Financial Officer, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002

  32   

Certifications pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

101.INS    XBRL Instance Document
101.SCH    XBRL Taxonomy Extension Schema Document
101.CAL    XBRL Taxonomy Extension Calculation Linkbase Document
101.LAB    XBRL Taxonomy Extension Label Linkbase Document
101.PRE    XBRL Taxonomy Extension Presentation Linkbase Document
101.DEF    XBRL Taxonomy Extension Definition Linkbase Document

 

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SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.

 

  ZIMMER HOLDINGS, INC.
  (Registrant)

 

Date: August 6, 2012

 

By:

 

/s/    James T. Crines

   

James T. Crines

   

Executive Vice President, Finance and

Chief Financial Officer

 

Date: August 6, 2012

 

By:

 

/s/    Derek M. Davis

   

Derek M. Davis

   

Vice President, Finance and Corporate

Controller and Chief Accounting Officer

 

36

EX-31.1 2 d355655dex311.htm EX-31.1 EX-31.1

EXHIBIT 31.1

CERTIFICATION PURSUANT TO RULE 13a-14(a)/15d-14(a) OF THE SECURITIES EXCHANGE ACT

OF 1934, AS ADOPTED PURSUANT TO SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002

I, David C. Dvorak, certify that:

1. I have reviewed this quarterly report on Form 10-Q of Zimmer Holdings, Inc.;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4. The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5. The registrant’s other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors:

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

Date: August 6, 2012

 

/s/    David C. Dvorak

David C. Dvorak

President and Chief Executive Officer

EX-31.2 3 d355655dex312.htm EX-31.2 EX-31.2

EXHIBIT 31.2

CERTIFICATION PURSUANT TO RULE 13a-14(a)/15d-14(a) OF THE SECURITIES EXCHANGE ACT OF 1934, AS ADOPTED PURSUANT TO SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002

I, James T. Crines, certify that:

1. I have reviewed this quarterly report on Form 10-Q of Zimmer Holdings, Inc.;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4. The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5. The registrant’s other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors:

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

Date: August 6, 2012

 

/s/    James T. Crines

James T. Crines

Executive Vice President, Finance

and Chief Financial Officer

EX-32 4 d355655dex32.htm EX-32 EX-32

Exhibit 32

CERTIFICATION PURSUANT TO 18 U.S.C. SECTION 1350, AS ADOPTED PURSUANT TO SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

In connection with the Quarterly Report of Zimmer Holdings, Inc. (the “Company”) on Form 10-Q for the period ending June 30, 2012 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), each of the undersigned certify, pursuant to 18 U.S.C. § 1350, as adopted pursuant to § 906 of the Sarbanes-Oxley Act of 2002, that:

(1) The Report fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

(2) The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

/s/    David C. Dvorak

David C. Dvorak

President and Chief Executive Officer

August 6, 2012

 

/s/    James T. Crines

James T. Crines

Executive Vice President, Finance

and Chief Financial Officer

August 6, 2012

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border="0" cellpadding="0" cellspacing="0" width="100%"> <tr> <td width="4%" valign="top" align="left"><font style="font-family:times new roman" size="2"><b>1.</b></font></td> <td align="left" valign="top"> <p align="justify"><font style="font-family:times new roman" size="2"><b>Basis of Presentation </b></font></p> </td> </tr> </table> <p style="margin-top:8px;margin-bottom:0px; text-indent:4%" align="justify"><font style="font-family:times new roman" size="2">The financial data presented herein is unaudited and should be read in conjunction with the consolidated financial statements and accompanying notes included in the 2011 Annual Report on Form 10-K filed by Zimmer Holdings, Inc. 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Fair Value Measurement of Assets and Liabilities (Details) (USD $)
In Millions, unless otherwise specified
Jun. 30, 2012
Dec. 31, 2011
Available-for-sale securities    
Available-for-sale Securities, Fair Value $ 783.9 $ 672.7
Fair Value, Measurements, Recurring [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value 783.9 672.7
Total fair value measurement of assets 852.0 718.8
Liabilities    
Total fair value measurement of liabilities   33.4
Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Quoted Prices in Active Markets for Identical Assets (Level 1) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value      
Total fair value measurement of assets      
Liabilities    
Total fair value measurement of liabilities     
Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Other Observable Inputs (Level 2) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value 783.9 672.7
Total fair value measurement of assets 852.0 718.8
Liabilities    
Total fair value measurement of liabilities   33.4
Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Unobservable Inputs (Level 3) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value      
Total fair value measurement of assets      
Liabilities    
Total fair value measurement of liabilities     
Corporate debt securities [Member] | Fair Value, Measurements, Recurring [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value 296.5 324.7
Corporate debt securities [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Quoted Prices in Active Markets for Identical Assets (Level 1) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value      
Corporate debt securities [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Other Observable Inputs (Level 2) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value 296.5 324.7
Corporate debt securities [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Unobservable Inputs (Level 3) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value      
U.S. Government Agencies and Debt Securities [Member] | Fair Value, Measurements, Recurring [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value 230.5 177.2
U.S. Government Agencies and Debt Securities [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Quoted Prices in Active Markets for Identical Assets (Level 1) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value      
U.S. Government Agencies and Debt Securities [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Other Observable Inputs (Level 2) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value 230.5 177.2
U.S. Government Agencies and Debt Securities [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Unobservable Inputs (Level 3) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value      
Municipal Bonds [Member] | Fair Value, Measurements, Recurring [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value   1.0
Municipal Bonds [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Quoted Prices in Active Markets for Identical Assets (Level 1) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value     
Municipal Bonds [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Other Observable Inputs (Level 2) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value   1.0
Municipal Bonds [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Unobservable Inputs (Level 3) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value     
Foreign government debt securities [Member] | Fair Value, Measurements, Recurring [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value 2.8 6.8
Foreign government debt securities [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Quoted Prices in Active Markets for Identical Assets (Level 1) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value      
Foreign government debt securities [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Other Observable Inputs (Level 2) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value 2.8 6.8
Foreign government debt securities [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Unobservable Inputs (Level 3) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value      
Certificates of deposit [Member] | Fair Value, Measurements, Recurring [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value 70.8 88.5
Certificates of deposit [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Quoted Prices in Active Markets for Identical Assets (Level 1) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value      
Certificates of deposit [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Other Observable Inputs (Level 2) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value 70.8 88.5
Certificates of deposit [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Unobservable Inputs (Level 3) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value      
Commercial Paper [Member] | Fair Value, Measurements, Recurring [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value 183.3 74.5
Commercial Paper [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Quoted Prices in Active Markets for Identical Assets (Level 1) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value      
Commercial Paper [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Other Observable Inputs (Level 2) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value 183.3 74.5
Commercial Paper [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Unobservable Inputs (Level 3) [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Fair Value      
Interest Rate Swap [Member] | Fair Value, Measurements, Recurring [Member]
   
Available-for-sale securities    
Derivatives, current and long-term 32.9 27.8
Interest Rate Swap [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Quoted Prices in Active Markets for Identical Assets (Level 1) [Member]
   
Available-for-sale securities    
Derivatives, current and long-term      
Interest Rate Swap [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Other Observable Inputs (Level 2) [Member]
   
Available-for-sale securities    
Derivatives, current and long-term 32.9 27.8
Interest Rate Swap [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Unobservable Inputs (Level 3) [Member]
   
Available-for-sale securities    
Derivatives, current and long-term      
Foreign Exchange Forward Contracts [Member] | Fair Value, Measurements, Recurring [Member]
   
Available-for-sale securities    
Derivatives, current and long-term 35.2 18.3
Liabilities    
Derivatives, current and long-term 4.7 25.2
Foreign Exchange Forward Contracts [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Quoted Prices in Active Markets for Identical Assets (Level 1) [Member]
   
Available-for-sale securities    
Derivatives, current and long-term      
Liabilities    
Derivatives, current and long-term      
Foreign Exchange Forward Contracts [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Other Observable Inputs (Level 2) [Member]
   
Available-for-sale securities    
Derivatives, current and long-term 35.2 18.3
Liabilities    
Derivatives, current and long-term 4.7 25.2
Foreign Exchange Forward Contracts [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Unobservable Inputs (Level 3) [Member]
   
Available-for-sale securities    
Derivatives, current and long-term      
Liabilities    
Derivatives, current and long-term      
Cross-currency interest rate swaps [Member] | Fair Value, Measurements, Recurring [Member]
   
Liabilities    
Derivatives, current and long-term   8.2
Cross-currency interest rate swaps [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Quoted Prices in Active Markets for Identical Assets (Level 1) [Member]
   
Liabilities    
Derivatives, current and long-term     
Cross-currency interest rate swaps [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Other Observable Inputs (Level 2) [Member]
   
Liabilities    
Derivatives, current and long-term   8.2
Cross-currency interest rate swaps [Member] | Fair Value, Measurements, Recurring [Member] | Fair Value Measurements at Reporting Date Using: Significant Unobservable Inputs (Level 3) [Member]
   
Liabilities    
Derivatives, current and long-term     

XML 14 R48.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Information (Details Textual)
6 Months Ended
Jun. 30, 2012
Segment Information (Textual) [Abstract]  
Share of revenue from other healthcare related services Less than 1 percent
XML 15 R46.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Information (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Net sales and segment operating profit        
Net Sales $ 1,125.0 $ 1,137.4 $ 2,265.7 $ 2,253.0
Share-based compensation (15.0) (17.4) (27.8) (31.7)
Inventory step-up (1.0) (3.4) (2.0) (7.8)
Certain claims   (50.0)   (50.0)
Special items (30.7) (13.5) (64.2) (39.0)
Operating profit 301.9 259.1 597.5 556.3
Americas [Member]
       
Net sales and segment operating profit        
Net Sales 614.3 608.6 1,248.7 1,238.3
Operating profit 315.7 302.0 636.5 613.4
Europe [Member]
       
Net sales and segment operating profit        
Net Sales 305.2 324.7 606.0 623.9
Operating profit 94.5 104.6 189.2 214.6
Asia Pacific [Member]
       
Net sales and segment operating profit        
Net Sales 205.5 204.1 411.0 390.8
Operating profit 79.0 73.1 156.7 147.0
Global operations and corporate functions [Member]
       
Net sales and segment operating profit        
Operating profit $ (140.6) $ (136.3) $ (290.9) $ (290.2)
XML 16 R33.htm IDEA: XBRL DOCUMENT v2.4.0.6
Inventories (Details) (USD $)
In Millions, unless otherwise specified
Jun. 30, 2012
Dec. 31, 2011
Inventories    
Finished goods $ 754.2 $ 743.0
Work in progress 61.4 47.8
Raw materials 140.4 139.0
Inventories $ 956.0 $ 929.8
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Debt (Tables)
6 Months Ended
Jun. 30, 2012
Debt [Abstract]  
Debt
                 
    June 30,
2012
    December 31,
2011
 

Short-term debt

               

Credit facility

  $     $ 143.0  

Other short-term debt

    3.4       0.3  
   

 

 

   

 

 

 

Total short-term debt

  $ 3.4     $ 143.3  
   

 

 

   

 

 

 

Long-term debt

               

Senior Notes due 2014

  $ 250.0     $ 250.0  

Senior Notes due 2019

    500.0       500.0  

Senior Notes due 2021

    300.0       300.0  

Senior Notes due 2039

    500.0       500.0  

Term loan

    145.4        

Debt discount

    (1.8     (1.8

Adjustment related to interest rate swaps

    32.9       27.8  
   

 

 

   

 

 

 

Total long-term debt

  $ 1,726.5     $ 1,576.0  
   

 

 

   

 

 

 
XML 19 R42.htm IDEA: XBRL DOCUMENT v2.4.0.6
Retirement Benefit Plans (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Components of net pension expense        
Service cost $ 6.1 $ 7.2 $ 12.9 $ 14.1
Interest cost 4.6 5.2 9.6 10.2
Expected return on plan assets (8.2) (8.0) (16.5) (15.8)
Settlement 0.7   0.7  
Amortization of prior service cost (1.2) (0.2) (1.4) (0.4)
Amortization of unrecognized actuarial loss 3.3 1.8 6.7 3.7
Net periodic benefit cost $ 5.3 $ 6.0 $ 12.0 $ 11.8
XML 20 R37.htm IDEA: XBRL DOCUMENT v2.4.0.6
Debt (Details)
In Millions, unless otherwise specified
Jun. 30, 2012
USD ($)
Jun. 30, 2012
JPY (¥)
Dec. 31, 2011
USD ($)
Jun. 30, 2012
Senior Notes due 2014 [Member]
USD ($)
Dec. 31, 2011
Senior Notes due 2014 [Member]
USD ($)
Jun. 30, 2012
Senior Notes due 2019 [Member]
USD ($)
Dec. 31, 2011
Senior Notes due 2019 [Member]
USD ($)
Jun. 30, 2012
Senior Notes due 2021 [Member]
USD ($)
Dec. 31, 2011
Senior Notes due 2021 [Member]
USD ($)
Jun. 30, 2012
Senior Notes due 2039 [Member]
USD ($)
Dec. 31, 2011
Senior Notes due 2039 [Member]
USD ($)
Jun. 30, 2012
Senior Notes [Member]
USD ($)
Dec. 31, 2011
Senior Notes [Member]
USD ($)
Short-term Debt                          
Senior Credit Facility     $ 143.0                    
Other short-term debt 3.4   0.3                    
Total short-term debt 3.4   143.3                    
Long term debt                          
Senior notes due       250.0 250.0 500.0 500.0 300.0 300.0 500.0 500.0    
Term loan 145.4 11,700.0                      
Debt discount                       (1.8) (1.8)
Adjustment related to interest rate swaps 32.9   27.8                    
Total long-term debt $ 1,726.5   $ 1,576.0                    
XML 21 R47.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Information (Details 1) (USD $)
In Millions, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Net sales by product category        
Net Sales $ 1,125.0 $ 1,137.4 $ 2,265.7 $ 2,253.0
Knees [Member]
       
Net sales by product category        
Net Sales 460.7 470.9 931.3 933.1
Hips [Member]
       
Net sales by product category        
Net Sales 340.0 345.0 684.5 682.3
Extremities [Member]
       
Net sales by product category        
Net Sales 42.5 40.7 87.3 83.6
Reconstructive implants [Member]
       
Net sales by product category        
Net Sales 843.2 856.6 1,703.1 1,699.0
Dental [Member]
       
Net sales by product category        
Net Sales 61.5 67.1 121.7 129.5
Trauma [Member]
       
Net sales by product category        
Net Sales 73.9 69.1 149.4 139.2
Spine [Member]
       
Net sales by product category        
Net Sales 52.4 56.4 105.6 113.3
Surgical and other [Member]
       
Net sales by product category        
Net Sales $ 94.0 $ 88.2 $ 185.9 $ 172.0
XML 22 R9.htm IDEA: XBRL DOCUMENT v2.4.0.6
Inventories
6 Months Ended
Jun. 30, 2012
Inventories [Abstract]  
Inventories
3.

Inventories

 

                 
    June 30,
2012
    December 31,
2011
 
    (in millions)  

Finished goods

  $ 754.2     $ 743.0  

Work in progress

    61.4       47.8  

Raw materials

    140.4       139.0  
   

 

 

   

 

 

 

Inventories

  $ 956.0     $ 929.8  
   

 

 

   

 

 

 

 

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Retirement Benefit Plans (Details Textual) (USD $)
In Millions, unless otherwise specified
6 Months Ended
Jun. 30, 2012
U.S. and Puerto Rico [Member]
 
Retirement Benefit Plans (Textual) [Abstract]  
Contribution towards defined benefit plans $ 52.5
Foreign-based defined benefit plans [Member]
 
Retirement Benefit Plans (Textual) [Abstract]  
Contribution towards defined benefit plans 7.4
Expected contribution during remainder of year $ 7.4
XML 25 R29.htm IDEA: XBRL DOCUMENT v2.4.0.6
Earnings Per Share (Tables)
6 Months Ended
Jun. 30, 2012
Earnings Per Share [Abstract]  
Reconciliation of weighted average shares for the basic and diluted shares computations
                                 
    Three Months
Ended
June 30,
    Six Months
Ended
June 30,
 
    2012     2011     2012     2011  

Weighted average shares outstanding for basic net earnings per share

    175.2       191.5       176.3       192.1  

Effect of dilutive stock options and other equity awards

    1.0       1.2       1.0       1.2  
   

 

 

   

 

 

   

 

 

   

 

 

 

Weighted average shares outstanding for diluted net earnings per share

    176.2       192.7       177.3       193.3  
   

 

 

   

 

 

   

 

 

   

 

 

 
XML 26 R28.htm IDEA: XBRL DOCUMENT v2.4.0.6
Retirement Benefit Plans (Tables)
6 Months Ended
Jun. 30, 2012
Retirement Benefit Plans [Abstract]  
Components of net pension expense
                                 
    Three Months
Ended
June 30,
    Six Months
Ended
June 30,
 
    2012     2011     2012     2011  

Service cost

  $ 6.1     $ 7.2     $ 12.9     $ 14.1  

Interest cost

    4.6       5.2       9.6       10.2  

Expected return on plan assets

    (8.2     (8.0     (16.5     (15.8

Settlement

    0.7             0.7        

Amortization of prior service cost

    (1.2     (0.2     (1.4     (0.4

Amortization of unrecognized actuarial loss

    3.3       1.8       6.7       3.7  
   

 

 

   

 

 

   

 

 

   

 

 

 

Net periodic benefit cost

  $ 5.3     $ 6.0     $ 12.0     $ 11.8  
   

 

 

   

 

 

   

 

 

   

 

 

 
XML 27 R44.htm IDEA: XBRL DOCUMENT v2.4.0.6
Earnings Per Share (Details)
In Millions, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Reconciliation of weighted average shares for the basic and diluted shares computations        
Weighted average shares outstanding for basic net earnings per share 175.2 191.5 176.3 192.1
Effect of dilutive stock options and other equity awards 1.0 1.2 1.0 1.2
Weighted average shares outstanding for diluted net earnings per share 176.2 192.7 177.3 193.3
XML 28 R30.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Information (Tables)
6 Months Ended
Jun. 30, 2012
Segment Information [Abstract]  
Net sales and segment operating profit
                                 
    Net Sales     Operating Profit  
    Three Months
Ended
June 30,
    Three Months
Ended
June 30,
 
    2012     2011     2012     2011  

Americas

  $ 614.3     $ 608.6     $ 315.7     $ 302.0  

Europe

    305.2       324.7       94.5       104.6  

Asia Pacific

    205.5       204.1       79.0       73.1  
   

 

 

   

 

 

                 

Total

  $ 1,125.0     $ 1,137.4                  
   

 

 

   

 

 

                 

Share-based compensation

                    (15.0     (17.4

Inventory step-up

                    (1.0     (3.4

Certain claims

                          (50.0

Special items

                    (30.7     (13.5

Global operations and corporate functions

                    (140.6     (136.3
                   

 

 

   

 

 

 

Operating profit

                  $ 301.9     $ 259.1  
                   

 

 

   

 

 

 

 

                                 
    Net Sales     Operating Profit  
    Six Months
Ended
June 30,
    Six Months
Ended
June 30,
 
    2012     2011     2012     2011  

Americas

  $ 1,248.7     $ 1,238.3     $ 636.5     $ 613.4  

Europe

    606.0       623.9       189.2       214.6  

Asia Pacific

    411.0       390.8       156.7       147.0  
   

 

 

   

 

 

                 

Total

  $ 2,265.7     $ 2,253.0                  
   

 

 

   

 

 

                 

Share-based compensation

                    (27.8     (31.7

Inventory step-up

                    (2.0     (7.8

Certain claims

                          (50.0

Special items

                    (64.2     (39.0

Global operations and corporate functions

                    (290.9     (290.2
                   

 

 

   

 

 

 

Operating profit

                  $ 597.5     $ 556.3  
                   

 

 

   

 

 

 
Net sales by product category
                                 
    Three Months
Ended
June 30,
    Six Months
Ended
June 30,
 
    2012     2011     2012     2011  

Reconstructive

                               

Knees

  $ 460.7     $ 470.9     $ 931.3     $ 933.1  

Hips

    340.0       345.0       684.5       682.3  

Extremities

    42.5       40.7       87.3       83.6  
   

 

 

   

 

 

   

 

 

   

 

 

 
      843.2       856.6       1,703.1       1,699.0  

Dental

    61.5       67.1       121.7       129.5  

Trauma

    73.9       69.1       149.4       139.2  

Spine

    52.4       56.4       105.6       113.3  

Surgical and other

    94.0       88.2       185.9       172.0  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,125.0     $ 1,137.4     $ 2,265.7     $ 2,253.0  
   

 

 

   

 

 

   

 

 

   

 

 

 
XML 29 R31.htm IDEA: XBRL DOCUMENT v2.4.0.6
Significant Accounting Policies (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Expenses in the Special items        
Impairment/loss on disposal of assets   $ 0.4 $ 0.4 $ 2.9
Consulting and professional fees 19.2 4.9 37.5 8.4
Employee severance and retention 1.0 3.6 4.4 19.8
Dedicated project personnel 3.3 0.6 6.6 0.9
Distributor acquisitions 0.3 0.5 0.4 1.1
Certain litigation matters 3.5   9.9 0.1
Contract terminations 1.1 1.7 2.6 2.7
Contingent consideration adjustments     (0.8)  
Accelerated software amortization 1.5   1.5  
Other 0.8 1.8 1.7 3.1
Special Items $ 30.7 $ 13.5 $ 64.2 $ 39.0
XML 30 R8.htm IDEA: XBRL DOCUMENT v2.4.0.6
Significant Accounting Policies
6 Months Ended
Jun. 30, 2012
Significant Accounting Policies [Abstract]  
Significant Accounting Policies
2.

Significant Accounting Policies

Special Items — We recognize expenses resulting directly from our business combinations, employee termination benefits, certain contract terminations, consulting and professional fees and asset impairment charges connected with global restructuring, quality excellence and transformation initiatives, and other items as “Special items” in our condensed consolidated statement of earnings. “Special items” included (in millions):

 

                                 
    Three Months Ended
June  30,
    Six Months Ended
June 30,
 
         2012             2011             2012             2011      

Impairment/loss on disposal of assets

  $     $ 0.4     $ 0.4     $ 2.9  

Consulting and professional fees

    19.2       4.9       37.5       8.4  

Employee severance and retention

    1.0       3.6       4.4       19.8  

Dedicated project personnel

    3.3       0.6       6.6       0.9  

Distributor acquisitions

    0.3       0.5       0.4       1.1  

Certain litigation matters

    3.5             9.9       0.1  

Contract terminations

    1.1       1.7       2.6       2.7  

Contingent consideration adjustments

                (0.8      

Accelerated software amortization

    1.5             1.5        

Other

    0.8       1.8       1.7       3.1  
   

 

 

   

 

 

   

 

 

   

 

 

 

Special items

  $ 30.7     $ 13.5     $ 64.2     $ 39.0  
   

 

 

   

 

 

   

 

 

   

 

 

 

In the first six months of 2012, we announced our plans to outsource our Warsaw, Indiana distribution center to a third party service provider at a national transportation hub, among other organizational changes. Approximately 160 employees were or will be affected by these actions.

In the first six months of 2011, we terminated employees as part of a reduction of management layers, expansion of management spans of control, and changes in our organizational structure. Approximately 500 employees from across the globe were affected by these actions.

 

As a result of these actions, we incurred expenses related to severance benefits, share-based compensation acceleration and other employee termination-related costs. The vast majority of these termination benefits were provided in accordance with our existing policies or local government regulations and are considered ongoing benefits. These costs were accrued when they became probable and estimable and were recorded as part of other current liabilities. The majority of these costs have been paid or will be paid in the year they were accrued.

In the second quarter of 2012, we approved a plan to replace certain software. As a result, the estimated economic useful life of the existing software was decreased to represent the period of time expected to implement replacement software. As a result, the amortization from the shortened life of this software is substantially higher than the previous amortization being recognized. We have recognized the incremental amortization caused by the shorter life in “Special items”.

Recent Accounting Pronouncements — In 2011, the Financial Accounting Standards Board issued an accounting standard update (ASU) requiring companies to present net income and other comprehensive income in either a single continuous statement or in two separate, but consecutive, statements of net income and of comprehensive income. This requirement became effective for us January 1, 2012. The ASU changes the presentation requirements of other comprehensive income only and does not change any accounting for other comprehensive income and therefore had no effect on our financial position, results of operations or cash flows.

There are no other recently issued accounting pronouncements that we have not yet adopted that are expected to have a material effect on our financial position, results of operations or cash flows.

 

XML 31 R32.htm IDEA: XBRL DOCUMENT v2.4.0.6
Significant Accounting Policies (Details Textual)
6 Months Ended
Jun. 30, 2012
Person
Jun. 30, 2011
Person
Significant Accounting Policies (Textual) [Abstract]    
Number of employees effected by restructuring 160 500
XML 32 R40.htm IDEA: XBRL DOCUMENT v2.4.0.6
Derivative Instruments and Hedging Activities (Details)
6 Months Ended 3 Months Ended 6 Months Ended 3 Months Ended 6 Months Ended 3 Months Ended 6 Months Ended 3 Months Ended 6 Months Ended 3 Months Ended 6 Months Ended 3 Months Ended 6 Months Ended 3 Months Ended 6 Months Ended 3 Months Ended 6 Months Ended 3 Months Ended 6 Months Ended
Jun. 30, 2012
USD ($)
Dec. 31, 2011
USD ($)
Dec. 31, 2011
JPY (¥)
Jun. 30, 2012
Designated as Hedging Instrument [Member]
USD ($)
Dec. 31, 2011
Designated as Hedging Instrument [Member]
USD ($)
Jun. 30, 2012
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2011
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2012
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2011
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2012
Foreign Exchange Forward Contracts [Member]
Designated as Hedging Instrument [Member]
Other long-term liabilities [Member]
USD ($)
Dec. 31, 2011
Foreign Exchange Forward Contracts [Member]
Designated as Hedging Instrument [Member]
Other long-term liabilities [Member]
USD ($)
Jun. 30, 2012
Foreign Exchange Forward Contracts [Member]
Designated as Hedging Instrument [Member]
Other Current Liabilities [Member]
USD ($)
Dec. 31, 2011
Foreign Exchange Forward Contracts [Member]
Designated as Hedging Instrument [Member]
Other Current Liabilities [Member]
USD ($)
Jun. 30, 2012
Foreign Exchange Forward Contracts [Member]
Designated as Hedging Instrument [Member]
Other Current Assets [Member]
USD ($)
Dec. 31, 2011
Foreign Exchange Forward Contracts [Member]
Designated as Hedging Instrument [Member]
Other Current Assets [Member]
USD ($)
Jun. 30, 2012
Foreign Exchange Forward Contracts [Member]
Designated as Hedging Instrument [Member]
Other assets [Member]
USD ($)
Dec. 31, 2011
Foreign Exchange Forward Contracts [Member]
Designated as Hedging Instrument [Member]
Other assets [Member]
USD ($)
Jun. 30, 2012
Foreign Exchange Forward Contracts [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2011
Foreign Exchange Forward Contracts [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2012
Foreign Exchange Forward Contracts [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2011
Foreign Exchange Forward Contracts [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2012
Foreign Exchange Option [Member]
Designated as Hedging Instrument [Member]
Other Current Assets [Member]
USD ($)
Dec. 31, 2011
Foreign Exchange Option [Member]
Designated as Hedging Instrument [Member]
Other Current Assets [Member]
USD ($)
Jun. 30, 2012
Foreign Exchange Option [Member]
Designated as Hedging Instrument [Member]
Other assets [Member]
USD ($)
Dec. 31, 2011
Foreign Exchange Option [Member]
Designated as Hedging Instrument [Member]
Other assets [Member]
USD ($)
Jun. 30, 2012
Foreign Exchange Option [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2011
Foreign Exchange Option [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2012
Foreign Exchange Option [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2011
Foreign Exchange Option [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2012
Interest Rate Swap [Member]
Designated as Hedging Instrument [Member]
Other assets [Member]
USD ($)
Dec. 31, 2011
Interest Rate Swap [Member]
Designated as Hedging Instrument [Member]
Other assets [Member]
USD ($)
Jun. 30, 2012
Cross-currency interest rate swaps [Member]
Designated as Hedging Instrument [Member]
Other Current Liabilities [Member]
USD ($)
Dec. 31, 2011
Cross-currency interest rate swaps [Member]
Designated as Hedging Instrument [Member]
Other Current Liabilities [Member]
USD ($)
Jun. 30, 2012
Cross-currency interest rate swaps [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2011
Cross-currency interest rate swaps [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2012
Cross-currency interest rate swaps [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2011
Cross-currency interest rate swaps [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2012
Cost Of Products Sold [Member]
Foreign Exchange Forward Contracts [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2011
Cost Of Products Sold [Member]
Foreign Exchange Forward Contracts [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2012
Cost Of Products Sold [Member]
Foreign Exchange Forward Contracts [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2011
Cost Of Products Sold [Member]
Foreign Exchange Forward Contracts [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2012
Cost Of Products Sold [Member]
Foreign Exchange Forward Contracts [Member]
Nondesignated [Member]
USD ($)
Jun. 30, 2011
Cost Of Products Sold [Member]
Foreign Exchange Forward Contracts [Member]
Nondesignated [Member]
USD ($)
Jun. 30, 2012
Cost Of Products Sold [Member]
Foreign Exchange Forward Contracts [Member]
Nondesignated [Member]
USD ($)
Jun. 30, 2011
Cost Of Products Sold [Member]
Foreign Exchange Forward Contracts [Member]
Nondesignated [Member]
USD ($)
Jun. 30, 2012
Cost Of Products Sold [Member]
Foreign Exchange Option [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2011
Cost Of Products Sold [Member]
Foreign Exchange Option [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2012
Cost Of Products Sold [Member]
Foreign Exchange Option [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2011
Cost Of Products Sold [Member]
Foreign Exchange Option [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2012
Interest Expense Net [Member]
Interest Rate Swap [Member]
Fair Value Hedging [Member]
USD ($)
Jun. 30, 2011
Interest Expense Net [Member]
Interest Rate Swap [Member]
Fair Value Hedging [Member]
USD ($)
Jun. 30, 2012
Interest Expense Net [Member]
Interest Rate Swap [Member]
Fair Value Hedging [Member]
USD ($)
Jun. 30, 2011
Interest Expense Net [Member]
Interest Rate Swap [Member]
Fair Value Hedging [Member]
USD ($)
Jun. 30, 2012
Interest Expense Net [Member]
Cross-currency interest rate swaps [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2011
Interest Expense Net [Member]
Cross-currency interest rate swaps [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2012
Interest Expense Net [Member]
Cross-currency interest rate swaps [Member]
Cash Flow Hedging [Member]
USD ($)
Jun. 30, 2011
Interest Expense Net [Member]
Cross-currency interest rate swaps [Member]
Cash Flow Hedging [Member]
USD ($)
Derivative instruments designated as fair value hedges                                                                                                                  
Gain on Instrument                                                                                                   $ 8,300,000 $ 7,100,000 $ 5,100,000 $ 4,000,000        
Loss on Hedged Item                                                                                                   (8,300,000) (7,100,000) (5,100,000) (4,000,000)        
Gross unrealized losses from derivative instruments                                                                                                                  
Amount of Gain / (Loss) Recognized in OCI           22,700,000 (14,000,000) 30,700,000 (70,200,000)                 23,800,000 (16,000,000) 31,800,000 (74,100,000)         (1,100,000) 2,800,000 (1,100,000) 3,700,000         0 (800,000) 0 200,000                                        
Amount of Gain / (Loss) Reclassified from OCI           (3,800,000) (12,700,000) (7,700,000) (20,900,000)                                                         (3,700,000) (12,200,000) (7,800,000) (17,400,000)         (100,000) 0 (100,000) 0         0 (500,000) 200,000 (3,500,000)
Gains/(losses) from derivative instruments                                                                                                                  
Gains (losses) from derivative instruments not designated as hedging instruments                                                                                   10,500,000 1,300,000 8,600,000 (13,700,000)                        
Fair value of derivative instruments on gross basis                                                                                                                  
Derivative Assets       94,400,000 69,600,000                 37,300,000 24,900,000 23,300,000 14,500,000         900,000 1,400,000 0 1,000,000         32,900,000 27,800,000                                                    
Derivative Liabilities       31,000,000 56,900,000         8,100,000 13,100,000 22,900,000 35,600,000                                     0 8,200,000                                                
Derivative Instruments and Hedging Activities (Numeric)                                                                                                                  
Time hedged in interest rate fair value hedges 9 years                                                                                                                
Derivative notional amount, Total 250,000,000                                                                                                                
Interest rate of Senior Notes 4.625%                                                                                                                
Description of terms of Interest rate Derivatives terms Receive a fixed interest rate of 4.625 percent and pay variable interest equal to the three-month LIBOR plus an average of 133 basis points                                                                                                                
Description of variable interest rate basis three-month LIBOR                                                                                                                
Interest rate swap basis spread on variable rate 1.33%                                                                                                                
Expected months of hedging of intercompany sales of inventory to minimize the effects of foreign exchange rate movements 30 Months                                                                                                                
Notional amounts of outstanding forward contracts and options entered into with third parties to purchase U.S. Dollars 1,500,000,000                                                                                                                
Notional amounts of outstanding forward contracts entered into with third parties to purchase Swiss Francs 296,900,000                                                                                                                
Minimum notional amounts of foreign currency forward exchange contracts 1,200,000,000                                                                                                                
Maximum notional amounts of foreign currency forward exchange contracts 1,700,000,000                                                                                                                
Senior Credit Facility   143,000,000                                                                                                              
Notional amount of cross currency interest rate swap agreement     11,798,000,000                                                                                                            
Fair value of outstanding derivative instruments, net unrealized gain deferred in other comprehensive income 16,100,000                                                                                                                
Fair value of outstanding derivative instruments, unrealized loss net of taxes deferred in other comprehensive income 16,200,000                                                                                                                
Fair value of outstanding derivative instruments, net unrealized loss expected to be reclassified to earnings 3,800,000                                                                                                                
Fair value of outstanding derivative instruments, unrealized gain net of taxes expected to be reclassified to earnings $ 6,800,000                                                                                                                
XML 33 R2.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONDENSED CONSOLIDATED STATEMENTS OF EARNINGS (Unaudited) (USD $)
In Millions, except Per Share data, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Condensed Consolidated Statements of Earnings [Abstract]        
Net Sales $ 1,125.0 $ 1,137.4 $ 2,265.7 $ 2,253.0
Cost of products sold 281.9 287.9 570.6 566.9
Gross Profit 843.1 849.5 1,695.1 1,686.1
Research and development 57.2 56.9 116.8 112.5
Selling, general and administrative 453.3 470.0 916.6 928.3
Certain claims   50.0   50.0
Special items (Note 2) 30.7 13.5 64.2 39.0
Operating expenses 541.2 590.4 1,097.6 1,129.8
Operating Profit 301.9 259.1 597.5 556.3
Interest income 3.8 3.3 6.9 5.3
Interest expense (18.1) (13.1) (35.7) (26.1)
Earnings before income taxes 287.6 249.3 568.7 535.5
Provision for income taxes 73.6 45.5 145.8 122.8
Net earnings 214.0 203.8 422.9 412.7
Less: Net loss attributable to noncontrolling interest (0.5)   (1.2)  
Net Earnings of Zimmer Holdings, Inc. $ 214.5 $ 203.8 $ 424.1 $ 412.7
Earnings Per Common Share        
Basic $ 1.22 $ 1.06 $ 2.41 $ 2.15
Diluted $ 1.22 $ 1.06 $ 2.39 $ 2.14
Weighted Average Common Shares Outstanding        
Basic 175.2 191.5 176.3 192.1
Diluted 176.2 192.7 177.3 193.3
Cash Dividends Declared Per Common Share $ 0.18   $ 0.18  
XML 34 R45.htm IDEA: XBRL DOCUMENT v2.4.0.6
Earnings Per Share (Details Textual) (USD $)
Share data in Millions, except Per Share data, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Earnings Per Share (Textual) [Abstract]        
Options to purchase shares of common stock not included in the computation of diluted earnings per share 12.8 11.6 12.6 12.2
Repurchased shares of common stock 1.7   4.0  
Average price per share $ 63.75   $ 62.17  
Total cash outlay $ 106,500,000   $ 248,100,000  
Amount remains authorized for future repurchases     1,300,000,000  
Amount authorized for share repurchase program     $ 1,500,000,000  
XML 35 R6.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited) (USD $)
In Millions, unless otherwise specified
6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Cash flows provided by (used in) operating activities:    
Net earnings $ 422.9 $ 412.7
Adjustments to reconcile net earnings to cash provided by operating activities:    
Depreciation and amortization 190.2 174.7
Share-based compensation 27.8 31.7
Income tax benefit from stock option exercises 7.3 9.5
Excess income tax benefit from stock option exercises (1.4) (3.6)
Inventory step-up 2.0 7.8
Changes in operating assets and liabilities, net of effect of acquisitions:    
Income taxes 10.6 (11.5)
Receivables (86.9) (76.0)
Inventories (29.7) (21.8)
Accounts payable and accrued expenses (15.7) (42.2)
Other assets and liabilities (88.2) (48.1)
Net cash provided by operating activities 438.9 433.2
Cash flows provided by (used in) investing activities:    
Additions to instruments (68.3) (85.2)
Additions to other property, plant and equipment (44.3) (34.0)
Purchases of investments (537.5) (186.7)
Sales of investments 422.7 169.8
Investments in other assets (54.7) (26.4)
Net cash used in investing activities (282.1) (162.5)
Cash flows provided by (used in) financing activities:    
Net proceeds under revolving credit facilities (145.7) 0.2
Proceeds from term loans 147.3  
Dividends paid to stockholders (31.7)  
Proceeds from employee stock compensation plans 18.0 29.1
Excess income tax benefit from stock option exercises 1.4 3.6
Debt issuance costs (3.3)  
Repurchase of common stock (248.1) (357.2)
Net cash used in financing activities (262.1) (324.3)
Effect of exchange rates on cash and cash equivalents (12.0) 8.8
Increase (decrease) in cash and cash equivalents (117.3) (44.8)
Cash and cash equivalents, beginning of year 768.3 668.9
Cash and cash equivalents, end of period $ 651.0 $ 624.1
XML 36 R35.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investments (Details) (USD $)
In Millions, unless otherwise specified
Jun. 30, 2012
Dec. 31, 2011
Available-for-sale securities    
Available-for-sale Securities, Amortized Cost $ 783.6 $ 672.7
Available-for-sale Securities, Gross Unrealized Gains 0.4 0.3
Available-for-sale Securities, Gross Unrealized Losses (0.1) (0.3)
Available-for-sale Securities, Fair Value 783.9 672.7
Corporate debt securities [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Amortized Cost 296.3 324.8
Available-for-sale Securities, Gross Unrealized Gains 0.3 0.2
Available-for-sale Securities, Gross Unrealized Losses (0.1) (0.3)
Available-for-sale Securities, Fair Value 296.5 324.7
Fair values and gross unrealized losses for all available-for-sale securities in an unrealized loss position deemed to be temporary    
Available-for-sale Securities, Unrealized Losses, Fair Value 118.5 164.5
Available-for-sale Securities, Unrealized Losses (0.1) (0.3)
U.S. Government Agencies and Debt Securities [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Amortized Cost 230.5 177.1
Available-for-sale Securities, Gross Unrealized Gains   0.1
Available-for-sale Securities, Fair Value 230.5 177.2
Municipal Bonds [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Amortized Cost   1.0
Available-for-sale Securities, Fair Value   1.0
Foreign government debt securities [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Amortized Cost 2.8 6.8
Available-for-sale Securities, Fair Value 2.8 6.8
Commercial Paper [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Amortized Cost 183.3 74.5
Available-for-sale Securities, Fair Value 183.3 74.5
Certificates of deposit [Member]
   
Available-for-sale securities    
Available-for-sale Securities, Amortized Cost 70.7 88.5
Available-for-sale Securities, Gross Unrealized Gains 0.1  
Available-for-sale Securities, Fair Value $ 70.8 $ 88.5
XML 37 R22.htm IDEA: XBRL DOCUMENT v2.4.0.6
Inventories (Tables)
6 Months Ended
Jun. 30, 2012
Inventories [Abstract]  
Inventories
                 
    June 30,
2012
    December 31,
2011
 
    (in millions)  

Finished goods

  $ 754.2     $ 743.0  

Work in progress

    61.4       47.8  

Raw materials

    140.4       139.0  
   

 

 

   

 

 

 

Inventories

  $ 956.0     $ 929.8  
   

 

 

   

 

 

 
XML 38 R36.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investments (Details 1) (USD $)
In Millions, unless otherwise specified
Jun. 30, 2012
Investment
Dec. 31, 2011
The cost and fair value of available-for-sale debt securities by contractual maturity    
Available-for-sale Securities, Debt Maturities, Due in One Year or less, Amortized Cost $ 684.6  
Available-for-sale Securities, Debt Maturities, Due after One year through two Years, Amortized Cost 99.0  
Available-for-sale Securities, Debt Maturities, Amortized Cost 783.6  
Available-for-sale Securities, Debt Maturities, Due in One Year or less, Fair Value 684.9  
Available-for-sale Securities, Debt Maturities, Due after One year through two Years, Fair Value 99.0  
Available-for-sale Securities, Fair Value $ 783.9 $ 672.7
Investments Numeric [Abstract]    
Total number of securities in an unrealized loss position 74  
XML 39 R24.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investments (Tables)
6 Months Ended
Jun. 30, 2012
Investments [Abstract]  
Investments in short and long-term classified as available-for-sale securities
                                 
    Amortized
Cost
    Gross
Unrealized
       
      Gains     Losses     Fair value  

As of June 30, 2012

                               

Corporate debt securities

  $ 296.3     $ 0.3     $ (0.1   $ 296.5  

U.S. government and agency debt securities

    230.5                   230.5  

Foreign government debt securities

    2.8                   2.8  

Commercial paper

    183.3                   183.3  

Certificates of deposit

    70.7       0.1             70.8  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total short and long-term investments

  $ 783.6     $ 0.4     $ (0.1   $ 783.9  
   

 

 

   

 

 

   

 

 

   

 

 

 

As of December 31, 2011

                               

Corporate debt securities

  $ 324.8     $ 0.2     $ (0.3   $ 324.7  

U.S. government and agency debt securities

    177.1       0.1             177.2  

Municipal bonds

    1.0                   1.0  

Foreign government debt securities

    6.8                   6.8  

Commercial paper

    74.5                   74.5  

Certificates of deposit

    88.5                   88.5  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total short and long-term investments

  $ 672.7     $ 0.3     $ (0.3   $ 672.7  
   

 

 

   

 

 

   

 

 

   

 

 

 
Fair values and gross unrealized losses for all available-for-sale securities in an unrealized loss position deemed to be temporary
                                 
    June 30, 2012     December 31, 2011  
    Fair Value     Unrealized
Losses
    Fair value     Unrealized
Losses
 

Corporate debt securities

  $ 118.5     $ (0.1   $ 164.5     $ (0.3
The cost and fair value of available-for-sale fixed-maturity securities by contractual maturity
                 
    June 30, 2012  
    Amortized
Cost
    Fair Value  

Due in one year or less

  $ 684.6     $ 684.9  

Due after one year through two years

    99.0       99.0  
   

 

 

   

 

 

 

Total

  $ 783.6     $ 783.9  
   

 

 

   

 

 

 
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XML 41 R7.htm IDEA: XBRL DOCUMENT v2.4.0.6
Basis of Presentation
6 Months Ended
Jun. 30, 2012
Basis of Presentation [Abstract]  
Basis of Presentation
1.

Basis of Presentation

The financial data presented herein is unaudited and should be read in conjunction with the consolidated financial statements and accompanying notes included in the 2011 Annual Report on Form 10-K filed by Zimmer Holdings, Inc. The condensed consolidated financial statements for the majority of our international subsidiaries are for periods that ended on June 25, 2012 and 2011. For these international subsidiaries, the three month results included in these condensed consolidated financial statements are for the period of March 26 through June 25 and the six month results included in these condensed consolidated financial statements are for the period of December 26 through June 25 or the period of January 1 to June 25.

In our opinion, the accompanying unaudited condensed consolidated financial statements include all adjustments necessary for a fair statement of the financial position, results of operations and cash flows for the interim periods presented. The December 31, 2011 condensed balance sheet data was derived from audited financial statements, but does not include all disclosures required by accounting principles generally accepted in the United States of America (GAAP). Results for interim periods should not be considered indicative of results for the full year. Certain amounts in the 2011 condensed consolidated financial statements have been reclassified to conform to the 2012 presentation.

The words “we,” “us,” “our” and similar words refer to Zimmer Holdings, Inc. and its subsidiaries. Zimmer Holdings refers to the parent company only.

 

XML 42 R3.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (Unaudited) (USD $)
In Millions, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Condensed Consolidated Statements of Comprehensive Income [Abstract]        
Net earnings $ 214.0 $ 203.8 $ 422.9 $ 412.7
Other Comprehensive Income:        
Foreign currency cumulative translation adjustments (75.2) 38.9 (47.1) 169.6
Unrealized cash flow hedge gains/(losses), net of tax 20.1 (10.9) 24.2 (58.2)
Reclassification adjustments on foreign currency hedges, net of tax 1.3 8.8 2.2 13.2
Unrealized gains on securities, net of tax 0.1 0.3 0.3 0.5
Adjustments to prior service cost and unrecognized actuarial assumptions, net of tax 1.6 0.7 24.5 1.4
Total Other Comprehensive Gain/(Loss) (52.1) 37.8 4.1 126.5
Comprehensive Income 161.9 241.6 427.0 539.2
Comprehensive loss attributable to the noncontrolling interest (0.7)   (1.4)  
Comprehensive Income Attributable to Zimmer Holdings, Inc. $ 162.6 $ 241.6 $ 428.4 $ 539.2
XML 43 R17.htm IDEA: XBRL DOCUMENT v2.4.0.6
Earnings Per Share
6 Months Ended
Jun. 30, 2012
Earnings Per Share [Abstract]  
Earnings Per Share
11.

Earnings Per Share

The following is a reconciliation of weighted average shares for the basic and diluted shares computations (in millions):

 

                                 
    Three Months
Ended
June 30,
    Six Months
Ended
June 30,
 
    2012     2011     2012     2011  

Weighted average shares outstanding for basic net earnings per share

    175.2       191.5       176.3       192.1  

Effect of dilutive stock options and other equity awards

    1.0       1.2       1.0       1.2  
   

 

 

   

 

 

   

 

 

   

 

 

 

Weighted average shares outstanding for diluted net earnings per share

    176.2       192.7       177.3       193.3  
   

 

 

   

 

 

   

 

 

   

 

 

 

During the three and six month periods ended June 30, 2012, an average of 12.8 million options and 12.6 million options, respectively, to purchase shares of common stock were not included in the computation of diluted earnings per share because the exercise prices of these options were greater than the average market price of the common stock. During the three and six month periods ended June 30, 2011, an average of 11.6 million options and 12.2 million options, respectively, were not included in the computation.

In the three month period ended June 30, 2012, we repurchased 1.7 million shares of our common stock at an average price of $63.75 per share for a total cash outlay of $106.5 million, including commissions. In the six month period ended June 30, 2012, we repurchased 4.0 million shares of our common stock at an average price of $62.17 per share for a total cash outlay of $248.1 million, including commissions. As of June 30, 2012, approximately $1.3 billion remained authorized under a $1.5 billion repurchase program, which will expire on December 31, 2014.

 

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Document and Entity Information
6 Months Ended
Jun. 30, 2012
Jul. 25, 2012
Document and Entity Information [Abstract]    
Entity Registrant Name ZIMMER HOLDINGS INC  
Entity Central Index Key 0001136869  
Document Type 10-Q  
Document Period End Date Jun. 30, 2012  
Amendment Flag false  
Document Fiscal Year Focus 2012  
Document Fiscal Period Focus Q2  
Current Fiscal Year End Date --12-31  
Entity Filer Category Large Accelerated Filer  
Entity Common Stock, Shares Outstanding   174,694,720

XML 46 R18.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Information
6 Months Ended
Jun. 30, 2012
Segment Information [Abstract]  
Segment Information
12.

Segment Information

We design, develop, manufacture and market orthopaedic reconstructive implants, biologics, dental implants, spinal implants, trauma products and related surgical products which include surgical supplies and instruments designed to aid in surgical procedures and post-operation rehabilitation. We also provide other healthcare-related services. Revenue related to these services currently represents less than 1 percent of our total net sales. We manage operations through three major geographic segments – the Americas, which is comprised principally of the U.S. and includes other North, Central and South American markets; Europe, which is comprised principally of Europe and includes the Middle East and African markets; and Asia Pacific, which is comprised primarily of Japan and includes other Asian and Pacific markets. This structure is the basis for our reportable segment information discussed below. Management evaluates reportable segment performance based upon segment operating profit exclusive of operating expenses pertaining to share-based payment expense, inventory step-up, “Certain claims,” goodwill impairment, “Special items,” and global operations and corporate functions. Global operations and corporate functions include research, development engineering, medical education, brand management, corporate legal, finance, and human resource functions, U.S., Puerto Rico and Ireland-based manufacturing operations and logistics and intangible asset amortization resulting from business combination accounting. Intercompany transactions have been eliminated from segment operating profit.

 

Net sales and segment operating profit are as follows (in millions):

 

                                 
    Net Sales     Operating Profit  
    Three Months
Ended
June 30,
    Three Months
Ended
June 30,
 
    2012     2011     2012     2011  

Americas

  $ 614.3     $ 608.6     $ 315.7     $ 302.0  

Europe

    305.2       324.7       94.5       104.6  

Asia Pacific

    205.5       204.1       79.0       73.1  
   

 

 

   

 

 

                 

Total

  $ 1,125.0     $ 1,137.4                  
   

 

 

   

 

 

                 

Share-based compensation

                    (15.0     (17.4

Inventory step-up

                    (1.0     (3.4

Certain claims

                          (50.0

Special items

                    (30.7     (13.5

Global operations and corporate functions

                    (140.6     (136.3
                   

 

 

   

 

 

 

Operating profit

                  $ 301.9     $ 259.1  
                   

 

 

   

 

 

 

 

                                 
    Net Sales     Operating Profit  
    Six Months
Ended
June 30,
    Six Months
Ended
June 30,
 
    2012     2011     2012     2011  

Americas

  $ 1,248.7     $ 1,238.3     $ 636.5     $ 613.4  

Europe

    606.0       623.9       189.2       214.6  

Asia Pacific

    411.0       390.8       156.7       147.0  
   

 

 

   

 

 

                 

Total

  $ 2,265.7     $ 2,253.0                  
   

 

 

   

 

 

                 

Share-based compensation

                    (27.8     (31.7

Inventory step-up

                    (2.0     (7.8

Certain claims

                          (50.0

Special items

                    (64.2     (39.0

Global operations and corporate functions

                    (290.9     (290.2
                   

 

 

   

 

 

 

Operating profit

                  $ 597.5     $ 556.3  
                   

 

 

   

 

 

 

Net sales by product category are as follows (in millions):

 

                                 
    Three Months
Ended
June 30,
    Six Months
Ended
June 30,
 
    2012     2011     2012     2011  

Reconstructive

                               

Knees

  $ 460.7     $ 470.9     $ 931.3     $ 933.1  

Hips

    340.0       345.0       684.5       682.3  

Extremities

    42.5       40.7       87.3       83.6  
   

 

 

   

 

 

   

 

 

   

 

 

 
      843.2       856.6       1,703.1       1,699.0  

Dental

    61.5       67.1       121.7       129.5  

Trauma

    73.9       69.1       149.4       139.2  

Spine

    52.4       56.4       105.6       113.3  

Surgical and other

    94.0       88.2       185.9       172.0  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,125.0     $ 1,137.4     $ 2,265.7     $ 2,253.0  
   

 

 

   

 

 

   

 

 

   

 

 

 

 

XML 47 R4.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONDENSED CONSOLIDATED BALANCE SHEETS (Unaudited) (USD $)
In Millions, unless otherwise specified
Jun. 30, 2012
Dec. 31, 2011
Current Assets:    
Cash and cash equivalents $ 651.0 $ 768.3
Short-term investments 684.9 455.5
Accounts receivable, less allowance for doubtful accounts 906.7 838.8
Inventories 956.0 929.8
Prepaid expenses and other current assets 83.1 73.7
Deferred income taxes 196.6 210.5
Total Current Assets 3,478.3 3,276.6
Property, plant and equipment, net 1,176.8 1,207.3
Goodwill 2,609.5 2,626.0
Intangible assets, net 776.9 798.5
Other assets 575.0 606.9
Total Assets 8,616.5 8,515.3
Current Liabilities:    
Accounts payable 137.2 143.3
Income taxes 12.2 8.6
Short-term debt 3.4 143.3
Other current liabilities 530.3 571.9
Total Current Liabilities 683.1 867.1
Other long-term liabilities 494.7 557.4
Long-term debt 1,726.5 1,576.0
Total Liabilities 2,904.3 3,000.5
Commitments and Contingencies (Note 13)      
Zimmer Holdings, Inc. Stockholders' Equity:    
Common stock, $0.01 par value, one billion shares authorized, 256.5 million shares issued in 2012 (255.9 million in 2011) 2.6 2.5
Paid-in capital 3,448.3 3,399.2
Retained earnings 6,819.4 6,426.8
Accumulated other comprehensive income 275.5 271.4
Treasury stock, 81.9 million shares (77.9 million shares in 2011) (4,839.8) (4,592.7)
Total Zimmer Holdings, Inc. stockholders' equity 5,706.0 5,507.2
Noncontrolling interest 6.2 7.6
Total Stockholders' Equity 5,712.2 5,514.8
Total Liabilities and Stockholders' Equity $ 8,616.5 $ 8,515.3
XML 48 R12.htm IDEA: XBRL DOCUMENT v2.4.0.6
Debt
6 Months Ended
Jun. 30, 2012
Debt [Abstract]  
Debt
6.

Debt

Our debt consisted of the following (in millions):

 

                 
    June 30,
2012
    December 31,
2011
 

Short-term debt

               

Credit facility

  $     $ 143.0  

Other short-term debt

    3.4       0.3  
   

 

 

   

 

 

 

Total short-term debt

  $ 3.4     $ 143.3  
   

 

 

   

 

 

 

Long-term debt

               

Senior Notes due 2014

  $ 250.0     $ 250.0  

Senior Notes due 2019

    500.0       500.0  

Senior Notes due 2021

    300.0       300.0  

Senior Notes due 2039

    500.0       500.0  

Term loan

    145.4        

Debt discount

    (1.8     (1.8

Adjustment related to interest rate swaps

    32.9       27.8  
   

 

 

   

 

 

 

Total long-term debt

  $ 1,726.5     $ 1,576.0  
   

 

 

   

 

 

 

In May 2012, we entered into a new five year $1,350 million revolving, multi-currency, senior unsecured credit facility maturing May 9, 2017 (Senior Credit Facility). The Senior Credit Facility replaced a previous credit facility with similar terms that was due to mature on November 30, 2012.

Borrowings of 11.7 billion Japanese Yen outstanding under the previous credit facility were converted to the Senior Credit Facility. On May 24, 2012, we refinanced these borrowings by entering into a separate term loan agreement with one of the lenders under the Senior Credit Facility (Term Loan) for 11.7 billion Japanese Yen and we repaid the outstanding borrowings under the Senior Credit Facility.

The Term Loan will mature on May 31, 2016. Borrowings under the Term Loan bear interest at a fixed rate of 0.61 percent per annum until maturity.

The estimated fair value of our Senior Notes as of June 30, 2012, based on quoted prices for the specific securities from transactions in over-the-counter markets (Level 2), was $1,742.6 million. The estimated fair value of the Term Loan as of June 30, 2012, based upon publicly available market yield curves and the terms of the debt (Level 2), was $145.6 million.

 

XML 49 R11.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investments
6 Months Ended
Jun. 30, 2012
Investments [Abstract]  
Investments
5.

Investments

We invest in short and long-term investments classified as available-for-sale securities. Information regarding our investments is as follows (in millions):

                                 
    Amortized
Cost
    Gross
Unrealized
       
      Gains     Losses     Fair value  

As of June 30, 2012

                               

Corporate debt securities

  $ 296.3     $ 0.3     $ (0.1   $ 296.5  

U.S. government and agency debt securities

    230.5                   230.5  

Foreign government debt securities

    2.8                   2.8  

Commercial paper

    183.3                   183.3  

Certificates of deposit

    70.7       0.1             70.8  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total short and long-term investments

  $ 783.6     $ 0.4     $ (0.1   $ 783.9  
   

 

 

   

 

 

   

 

 

   

 

 

 

As of December 31, 2011

                               

Corporate debt securities

  $ 324.8     $ 0.2     $ (0.3   $ 324.7  

U.S. government and agency debt securities

    177.1       0.1             177.2  

Municipal bonds

    1.0                   1.0  

Foreign government debt securities

    6.8                   6.8  

Commercial paper

    74.5                   74.5  

Certificates of deposit

    88.5                   88.5  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total short and long-term investments

  $ 672.7     $ 0.3     $ (0.3   $ 672.7  
   

 

 

   

 

 

   

 

 

   

 

 

 

Unrealized gains and losses on these investments are recorded in accumulated other comprehensive income in our condensed consolidated balance sheet.

The following table shows the fair value and gross unrealized losses for all available-for-sale securities in an unrealized loss position deemed to be temporary (in millions):

 

                                 
    June 30, 2012     December 31, 2011  
    Fair Value     Unrealized
Losses
    Fair value     Unrealized
Losses
 

Corporate debt securities

  $ 118.5     $ (0.1   $ 164.5     $ (0.3

All securities in the table above have been in an unrealized loss position for less than twelve months. A total of 74 securities were in an unrealized loss position as of June 30, 2012.

The unrealized losses on our investments in corporate debt securities were caused by increases in interest yields resulting from adverse conditions in the global credit markets. We believe the unrealized losses associated with our available-for-sale securities as of June 30, 2012 are temporary because we do not intend to sell these investments, and we do not believe we will be required to sell them before recovery of their amortized cost basis.

The amortized cost and fair value of our available-for-sale fixed-maturity securities by contractual maturity are as follows (in millions):

 

                 
    June 30, 2012  
    Amortized
Cost
    Fair Value  

Due in one year or less

  $ 684.6     $ 684.9  

Due after one year through two years

    99.0       99.0  
   

 

 

   

 

 

 

Total

  $ 783.6     $ 783.9  
   

 

 

   

 

 

 

 

XML 50 R23.htm IDEA: XBRL DOCUMENT v2.4.0.6
Property, Plant and Equipment (Tables)
6 Months Ended
Jun. 30, 2012
Property, Plant and Equipment [Abstract]  
Property, Plant and Equipment
                 
    June 30,
2012
    December 31,
2011
 
    (in millions)  

Land

  $ 22.1     $ 22.3  

Buildings and equipment

    1,214.8       1,196.8  

Capitalized software costs

    217.4       208.4  

Instruments

    1,547.4       1,509.2  

Construction in progress

    83.2       76.4  
   

 

 

   

 

 

 
      3,084.9       3,013.1  

Accumulated depreciation

    (1,908.1     (1,805.8
   

 

 

   

 

 

 

Property, plant and equipment, net

  $ 1,176.8     $ 1,207.3  
   

 

 

   

 

 

 
XML 51 R19.htm IDEA: XBRL DOCUMENT v2.4.0.6
Commitments and Contingencies
6 Months Ended
Jun. 30, 2012
Commitments and Contingencies [Abstract]  
Commitments and Contingencies
13.

Commitments and Contingencies

Other than as described below, there have been no significant developments relating to the information previously reported in Note 19 to our Consolidated Financial Statements in our Annual Report on Form 10-K for the year ended December 31, 2011.

On a quarterly and annual basis, we review relevant information with respect to loss contingencies and update our accruals, disclosures and estimates of reasonably possible losses or ranges of loss based on such reviews. We establish liabilities for loss contingencies when a loss is known or considered probable and the amount of the loss can be reasonably estimated. For matters where a loss is believed to be reasonably possible, but not probable, no accrual has been made.

Litigation

Durom ® Cup-related claims: On July 22, 2008, we temporarily suspended marketing and distribution of the Durom Acetabular Component (Durom Cup) in the U.S. Subsequently, a number of product liability lawsuits and other claims have been asserted against us. We have settled some of these claims and the others are still pending. Additional claims may be asserted in the future.

Since 2008, we have accrued estimated losses of $388.2 million for Durom Cup-related claims. With respect to the periods covered by this report, our estimate of our total liability for these claims as of June 30, 2012 remains consistent with our prior estimate, and, accordingly, we did not record any expense during the three and six month periods ended June 30, 2012. During the three and six month periods ended June 30, 2011, we recognized $1.9 million and $3.0 million, respectively, of expense in SG&A and $50.0 million of expense in “Certain claims”.

Our understanding of clinical outcomes with the Durom Cup continues to evolve. We rely on significant estimates in determining the provisions for Durom Cup-related claims, including the number of claims that we will receive and the average amount we will pay per claim. The actual number of claims that we receive and the amount we pay per claim may differ from our estimates. Among other factors, since our understanding of the clinical outcomes is still evolving, we cannot reasonably estimate the possible loss or range of loss that may result from Durom Cup-related claims in excess of the estimated losses we have accrued.

Margo and Daniel Polett v. Zimmer, Inc. et al.: On August 20, 2008, the Poletts filed an action against us and an unrelated third party, Public Communications, Inc. (PCI), in the Court of Common Pleas, Philadelphia, Pennsylvania seeking an unspecified amount of damages for injuries and loss of consortium allegedly suffered by Mrs. Polett and her spouse, respectively. The complaint alleged that defendants were negligent in connection with Mrs. Polett’s participation in a promotional video featuring one of our knee products. The case was tried in November 2010 and the jury returned a verdict in favor of plaintiffs. The jury awarded $27.6 million in compensatory damages and apportioned fault 30 percent to plaintiffs, 34 percent to us and 36 percent to PCI. Under applicable law, we may be liable for any portion of the damages apportioned to PCI that it does not pay. On December 2, 2010, we and PCI filed a Motion for Post-Trial Relief seeking a judgment notwithstanding the verdict, a new trial or a remittitur. On June 10, 2011, the trial court entered an order denying our Motion for Post-Trial Relief and affirming the jury verdict in full and entered judgment for $20.3 million against us and PCI. On June 29, 2011, we filed a Notice of Appeal to the Superior Court of Pennsylvania and posted a bond for the verdict amount plus interest. Oral argument before the appellate court in Philadelphia, Pennsylvania was held on March 13, 2012. A ruling has not yet been issued. We have not accrued an estimated loss related to this matter. Although we believe we have strong grounds to reverse the jury’s verdict, the ultimate resolution of this matter is uncertain. We could in the future be required to record a charge to our consolidated statement of earnings that could have a material adverse effect on our results of operations in any particular period.

NexGen® Knee System claims: Following a wide-spread advertising campaign conducted by certain law firms beginning in 2010, a number of product liability lawsuits have been filed against us in various jurisdictions. The majority of the cases are currently pending in a federal Multidistrict Litigation in the Northern District of Illinois. Other cases are pending in other state and federal courts, and additional lawsuits may be filed. As of June 30, 2012, discovery in these lawsuits was underway and no trial dates had been set. We have not accrued an estimated loss relating to these lawsuits. Although we intend to vigorously defend these lawsuits, their ultimate resolution is uncertain.

Intellectual Property-Related Claims

Royalty arrangements: We are involved in certain ongoing contractual and other disputes pertaining to certain royalty arrangements. We intend to defend ourselves vigorously against these claims. These matters are in varying stages of dispute resolution processes. In the three and six month periods ended June 30, 2012, we accrued losses related to one of these matters, which we have since settled. With respect to the other matters, we cannot reasonably estimate the possible loss, if any, we may incur. An adverse result in any of these matters could have an adverse effect on our results of operations in any particular period.

 

Government

Investigations

FCPA investigation: In September 2007, the Staff of the U.S. Securities and Exchange Commission (SEC) informed us that it was conducting an investigation regarding potential violations of the Foreign Corrupt Practices Act (FCPA) in the sale of medical devices in a number of foreign countries by companies in the medical device industry. In November 2007, we received a letter from the U.S. Department of Justice (DOJ) requesting that any information provided to the SEC also be provided to the DOJ on a voluntary basis. In the course of continuing dialogues with the agencies, we have voluntarily disclosed information to the SEC and DOJ relating to sales of our products by independent distributors in two South American countries. In the first quarter of 2011, we received a subpoena from the SEC seeking documents and other records pertaining to our business activities in substantially all countries in the Asia Pacific region where we operate. We have been responding to the subpoena and reporting to the government concerning our reviews in certain countries in the Asia Pacific region. We cannot currently predict the outcome of this investigation. If the result of the investigation is that we are found to be in violation of the FCPA, we could face significant monetary penalties or be required to take other remedial actions.

Regulatory Matters

In July 2011, the U.S. Food and Drug Administration (FDA) conducted an inspection of our Warsaw, Indiana manufacturing facility, following which it issued certain inspectional observations regarding the facility’s quality systems. We have responded to the observations, met with representatives of the district office of the FDA to discuss our response and action plans, and have been executing our action plans. As anticipated, the FDA conducted a reinspection of the Warsaw, Indiana manufacturing facility during the quarter ended June 30, 2012. The reinspection was completed and we are continuing to address a number of inspectional observations and are communicating regularly with the FDA regarding these matters.

XML 52 R15.htm IDEA: XBRL DOCUMENT v2.4.0.6
Income Taxes
6 Months Ended
Jun. 30, 2012
Income Taxes [Abstract]  
Income Taxes
9.

Income Taxes

We operate on a global basis and are subject to numerous and complex tax laws and regulations. Our income tax filings are regularly under audit in multiple federal, state and foreign jurisdictions. Income tax audits may require an extended period of time to reach resolution and may result in significant income tax adjustments when interpretation of tax laws or allocation of company profits is disputed. In the three and six month periods ended June 30, 2011, we resolved tax matters in multiple jurisdictions resulting in a reduction in both the net amount of tax liability for unrecognized tax benefits and income tax expense. The net amount of tax liability for unrecognized tax benefits may change within the next twelve months due to changes in audit status, expiration of statutes of limitations and other events which could impact our determination of unrecognized tax benefits. Currently, we cannot reasonably estimate the amount by which our unrecognized tax benefits will change.

During the second quarter of 2011, the IRS concluded their examination of our U.S. federal returns for years 2005 through 2007 and issued income tax assessments reallocating profits between certain of our U.S. and foreign subsidiaries. We believe that we have followed applicable U.S. tax laws and are vigorously defending our income tax positions. The ultimate resolution of this matter is uncertain and could have a material impact on our income tax expense, results of operations, and cash flows for future periods. Our U.S. federal returns for years 2008 and 2009 are currently under IRS examination.

In the three and six month periods ended June 30, 2012, our effective tax rates were 25.6 percent. Our effective tax rates were lower than the U.S. statutory income tax rate of 35 percent primarily due to income earned in foreign locations with lower tax rates.

 

XML 53 R13.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurement of Assets and Liabilities
6 Months Ended
Jun. 30, 2012
Fair Value Measurement of Assets and Liabilities [Abstract]  
Fair Value Measurement of Assets and Liabilities
7.

Fair Value Measurement of Assets and Liabilities

The following assets and liabilities are recorded at fair value on a recurring basis (in millions):

 

                                 
    As of June 30, 2012  

Description

  Recorded
Balance
    Fair Value Measurements at Reporting Date
Using:
 
    Quoted
Prices  in
Active

Markets for
Identical
Assets
(Level 1)
    Significant
Other
Observable

Inputs
(Level 2)
    Significant
Unobservable

Inputs
(Level 3)
 

Assets

                               

Available-for-sale securities

                               

Corporate debt securities

  $ 296.5     $     $ 296.5     $  

U.S. government and agency debt securities

    230.5             230.5        

Foreign government debt securities

    2.8             2.8        

Commercial paper

    183.3             183.3        

Certificates of deposit

    70.8             70.8        
   

 

 

   

 

 

   

 

 

   

 

 

 

Total available-for-sale securities

    783.9             783.9        

Derivatives, current and long-term

                               

Foreign currency forward contracts and options

    35.2             35.2        

Interest rate swaps

    32.9             32.9        
   

 

 

   

 

 

   

 

 

   

 

 

 
    $ 852.0     $     $ 852.0     $  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liabilities

                               

Derivatives, current and long-term

                               

Foreign currency forward contracts and options

  $ 4.7     $     $ 4.7     $  
   

 

 

   

 

 

   

 

 

   

 

 

 

 

                                 
    As of December 31, 2011  
     Recorded
Balance
    Fair Value Measurements at Reporting Date
Using:
 

Description

    Quoted
Prices  in
Active
Markets for
Identical
Assets
(Level 1)
    Significant
Other
Observable

Inputs
(Level 2)
    Significant
Unobservable

Inputs
(Level 3)
 

Assets

                               

Available-for-sale securities

                               

Corporate debt securities

  $ 324.7     $     $ 324.7     $  

U.S. government and agency debt securities

    177.2             177.2        

Municipal bonds

    1.0             1.0        

Foreign government debt securities

    6.8             6.8        

Commercial paper

    74.5             74.5        

Certificates of deposit

    88.5             88.5        
   

 

 

   

 

 

   

 

 

   

 

 

 

Total available-for-sale securities

    672.7             672.7        

Derivatives, current and long-term

                               

Foreign currency forward contracts and options

    18.3             18.3        

Interest rate swaps

    27.8             27.8        
   

 

 

   

 

 

   

 

 

   

 

 

 
    $ 718.8     $     $ 718.8     $  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liabilities

                               

Derivatives, current and long-term

                               

Foreign currency forward contracts and options

  $ 25.2     $     $ 25.2     $  

Cross-currency interest rate swaps

    8.2             8.2        
   

 

 

   

 

 

   

 

 

   

 

 

 
    $ 33.4     $     $ 33.4     $  
   

 

 

   

 

 

   

 

 

   

 

 

 

We value our available-for-sale securities using a market approach based on broker prices for identical assets in over-the-counter markets and we perform ongoing assessments of counterparty credit risk.

We value our foreign currency forward contracts and foreign currency options using a market approach based on foreign currency exchange rates obtained from active markets and we perform ongoing assessments of counterparty credit risk.

We value our interest rate swaps using a market approach based on publicly available market yield curves and the terms of our swaps and we perform ongoing assessments of counterparty credit risk.

We value our cross-currency interest rate swaps using a market approach based upon publicly available market yield curves, foreign currency exchange rates obtained from active markets and the terms of our swaps. We also perform ongoing assessments of counterparty credit risk.

 

XML 54 R14.htm IDEA: XBRL DOCUMENT v2.4.0.6
Derivative Instruments and Hedging Activities
6 Months Ended
Jun. 30, 2012
Derivative Instruments and Hedging Activities [Abstract]  
Derivative Instruments and Hedging Activities
8.

Derivative Instruments and Hedging Activities

We are exposed to certain market risks relating to our ongoing business operations, including foreign currency exchange rate risk, commodity price risk, interest rate risk and credit risk. We manage our exposure to these and other market risks through regular operating and financing activities. Currently, the only risks that we manage through the use of derivative instruments are interest rate risk and foreign currency exchange rate risk.

 

Interest

Rate Risk

Derivatives Designated as Fair Value Hedges

We use interest rate derivative instruments to manage our exposure to interest rate movements by converting fixed-rate debt into variable-rate debt. Under these agreements, we agree to exchange, at specified intervals, the difference between fixed and variable interest amounts calculated by reference to an agreed-upon notional principal amount. The objective of the instruments is to more closely align interest expense with interest income received on cash and cash equivalents. These derivative instruments are designated as fair value hedges under GAAP. Changes in the fair value of the derivative instrument are recorded in current earnings and are offset by gains or losses on the underlying debt instrument.

We have multiple nine-year fixed-to-variable interest rate swap agreements with a total notional amount of $250 million. These interest rate swap agreements were designated as fair value hedges of the fixed interest rate obligation of our 2019 Notes. We receive a fixed interest rate of 4.625 percent and pay variable interest equal to the three-month LIBOR plus an average of 133 basis points on these interest rate swap agreements.

 

Foreign

Currency Exchange Rate Risk

We operate on a global basis and are exposed to the risk that our financial condition, results of operations and cash flows could be adversely affected by changes in foreign currency exchange rates. To reduce the potential effects of foreign currency exchange rate movements on net earnings, we enter into derivative financial instruments in the form of foreign currency exchange forward contracts and options with major financial institutions. We are primarily exposed to foreign currency exchange rate risk with respect to transactions and net assets denominated in Euros, Swiss Francs, Japanese Yen, British Pounds, Canadian Dollars, Australian Dollars, Korean Won, Swedish Krona, Czech Koruna, Thai Baht, Taiwan Dollars, South African Rand, Russian Rubles and Indian Rupees. We do not use derivative financial instruments for trading or speculative purposes.

Derivatives Designated as Cash Flow Hedges

Our revenues are generated in various currencies throughout the world. However, a significant amount of our inventory is produced in U.S. Dollars. Therefore, movements in foreign currency exchange rates may have different proportional effects on our revenues compared to our cost of products sold. To minimize the effects of foreign currency exchange rate movements on cash flows, we hedge intercompany sales of inventory expected to occur within the next 30 months with foreign currency exchange forward contracts and options. We designate these derivative instruments as cash flow hedges.

We perform quarterly assessments of hedge effectiveness by verifying and documenting the critical terms of the hedge instrument and that forecasted transactions have not changed significantly. We also assess on a quarterly basis whether there have been adverse developments regarding the risk of a counterparty default. For derivatives which qualify as hedges of future cash flows, the effective portion of changes in fair value is temporarily recorded in other comprehensive income and then recognized in cost of products sold when the hedged item affects net earnings. The ineffective portion of a derivative’s change in fair value, if any, is immediately reported in cost of products sold.

For forward contracts and options outstanding at June 30, 2012, we have obligations to purchase U.S. Dollars and sell Euros, Japanese Yen, British Pounds, Canadian Dollars, Australian Dollars, Korean Won, Swedish Krona, Czech Koruna, Thai Baht, Taiwan Dollars, South African Rand, Russian Rubles and Indian Rupees and purchase Swiss Francs and sell U.S. Dollars at set maturity dates ranging from July 2012 through December 2014. As of June 30, 2012, the notional amounts of outstanding forward contracts and options entered into with third parties to purchase U.S. Dollars were $1.5 billion. As of June 30, 2012, the notional amounts of outstanding forward contracts and options entered into with third parties to purchase Swiss Francs were $296.9 million.

Derivatives Not Designated as Hedging Instruments

We enter into foreign currency forward exchange contracts with terms of one month to manage currency exposures for monetary assets and liabilities denominated in a currency other than an entity’s functional currency. As a result, any foreign currency remeasurement gains/losses recognized in earnings are generally offset with gains/losses on the foreign currency forward exchange contracts in the same reporting period. These offsetting gains/losses are recorded in cost of products sold as the underlying assets and liabilities exposed to remeasurement include inventory-related transactions. These contracts are settled on the last day of each reporting period. Therefore, there is no outstanding balance related to these contracts recorded on the balance sheet as of the end of the reporting period. The notional amounts of these contracts are typically in a range of $1.2 billion to $1.7 billion per quarter.

 

Foreign

Currency Exchange and Interest Rate Risk

Derivatives Designated as Cash Flow Hedges

In 2011, our subsidiary in Japan, with a functional currency of Japanese Yen, borrowed variable-rate debt of $143.0 million denominated in U.S. Dollars under our previous credit facility. To manage the foreign currency exchange risk associated with remeasuring the debt to Japanese Yen and the interest rate risk associated with the variable-rate debt, we entered into multiple cross-currency interest rate swap agreements with a total notional amount of 11,798 million Japanese Yen. We designated these swaps as cash flow hedges of the foreign currency exchange and interest rate risks. The effective portion of changes in fair value of the cross-currency interest rate swaps was temporarily recorded in other comprehensive income and then recognized in interest expense when the hedged item affected net earnings. The cross-currency interest rate swap agreements matured in the first quarter of 2012 and we paid off the subsidiary’s U.S. Dollar debt with Japanese Yen debt borrowed under our previous credit facility.

 

Income

Statement Presentation

Derivatives Designated as Fair Value Hedges

Derivative instruments designated as fair value hedges had the following effects on our condensed consolidated statements of earnings (in millions):

 

                                                                         
          Gain on Instrument     Loss on Hedged Item  
    Location on
Statement of Earnings
    Three Months
Ended
June 30,
    Six Months
Ended
June 30,
    Three Months
Ended
June 30,
    Six Months
Ended
June 30,
 

Derivative Instrument

        2012             2011             2012             2011             2012             2011             2012             2011      

Interest rate swaps

    Interest expense     $ 8.3     $ 7.1     $ 5.1     $ 4.0     $ (8.3   $ (7.1   $ (5.1   $ (4.0

We had no ineffective fair value hedging instruments during the three or six month periods ended June 30, 2012 and 2011.

Derivatives Designated as Cash Flow Hedges

Derivative instruments designated as cash flow hedges had the following effects, before taxes, on other comprehensive income (OCI) and net earnings on our condensed consolidated statements of earnings, condensed consolidated statements of comprehensive income and condensed consolidated balance sheets (in millions):

 

                                                                     
    Amount of
Gain / (Loss)
Recognized in OCI
   

Location on
Statement of Earnings

  Amount of
Gain / (Loss)
Reclassified from OCI
 
    Three Months
Ended
June 30,
    Six Months
Ended
June 30,
      Three Months
Ended
June 30,
    Six Months
Ended

June 30,
 

Derivative Instrument

  2012     2011     2012     2011       2012     2011     2012     2011  

Foreign exchange forward contracts

  $ 23.8     $ (16.0   $ 31.8     $ (74.1   Cost of products sold   $ (3.7   $ (12.2   $ (7.8   $ (17.4

Foreign exchange options

    (1.1     2.8       (1.1     3.7     Cost of products sold     (0.1           (0.1      

Cross-currency interest rate swaps

          (0.8           0.2     Interest expense           (0.5     0.2       (3.5
   

 

 

   

 

 

   

 

 

   

 

 

       

 

 

   

 

 

   

 

 

   

 

 

 
    $ 22.7     $ (14.0   $ 30.7     $ (70.2       $ (3.8   $ (12.7   $ (7.7   $ (20.9
   

 

 

   

 

 

   

 

 

   

 

 

       

 

 

   

 

 

   

 

 

   

 

 

 

 

The net amount recognized in earnings during the three month periods ended June 30, 2012 and 2011 due to ineffectiveness and amounts excluded from the assessment of hedge effectiveness was not significant.

The fair value of outstanding derivative instruments designated as cash flow hedges and recorded on the balance sheet at June 30, 2012, together with settled derivatives where the hedged item has not yet affected earnings, was a net unrealized gain of $16.1 million, or $16.2 million after taxes, which is deferred in accumulated other comprehensive income. Of the net unrealized gain, $3.8 million, or $6.8 million after taxes, is expected to be reclassified to earnings over the next twelve months.

Derivatives Not Designated as Hedging Instruments

The following gains/(losses) from these derivative instruments were recognized on our condensed consolidated statements of earnings (in millions):

 

                                     
   

Location on
Statement of Earnings

  Three Months Ended
June 30,
    Six Months Ended
June 30,
 

Derivative Instrument

        2012             2011             2012             2011      

Foreign exchange forward contracts

  Cost of products sold   $ 10.5     $ 1.3     $ 8.6     $ (13.7

This impact does not include any offsetting gains/losses recognized in earnings as a result of foreign currency remeasurement of monetary assets and liabilities denominated in a currency other than an entity’s functional currency.

 

Balance

Sheet Presentation

As of June 30, 2012 and December 31, 2011, all derivative instruments designated as fair value hedges and cash flow hedges are recorded at fair value on the balance sheet. On our condensed consolidated balance sheets, we recognize individual forward contracts and options with the same counterparty on a net asset/liability basis if we have a master netting agreement with the counterparty. The fair value of derivative instruments on a gross basis is as follows (in millions):

 

                         
   

June 30, 2012

   

December 31, 2011

 
   

Balance

Sheet

Location

  Fair
Value
   

Balance

Sheet

Location

  Fair
Value
 

Asset Derivatives

                       

Foreign exchange forward contracts

  Other current assets   $ 37.3     Other current assets   $ 24.9  

Foreign exchange options

  Other current assets     0.9     Other current assets     1.4  

Foreign exchange forward contracts

  Other assets     23.3     Other assets     14.5  

Foreign exchange options

  Other assets         Other assets     1.0  

Interest rate swaps

  Other assets     32.9     Other assets     27.8  
       

 

 

       

 

 

 

Total asset derivatives

      $ 94.4         $ 69.6  
       

 

 

       

 

 

 

Liability Derivatives

                       

Foreign exchange forward contracts

  Other current liabilities   $ 22.9     Other current liabilities   $ 35.6  

Cross-currency interest rate swaps

  Other current liabilities         Other current liabilities     8.2  

Foreign exchange forward contracts

  Other long-term liabilities     8.1     Other long-term liabilities     13.1  
       

 

 

       

 

 

 

Total liability derivatives

      $ 31.0         $ 56.9  
       

 

 

       

 

 

 

 

XML 55 R16.htm IDEA: XBRL DOCUMENT v2.4.0.6
Retirement Benefit Plans
6 Months Ended
Jun. 30, 2012
Retirement Benefit Plans [Abstract]  
Retirement Benefit Plans
10.

Retirement Benefit Plans

We have defined benefit pension plans covering certain U.S. and Puerto Rico employees. The employees who are not participating in the defined benefit plans receive additional benefits under our defined contribution plans. Plan benefits are primarily based on years of credited service and the participant’s compensation. In addition to the U.S. and Puerto Rico defined benefit pension plans, we sponsor various non-U.S. pension arrangements, including retirement and termination benefit plans required by local law or coordinated with government sponsored plans.

The components of net pension expense for our U.S. and non-U.S. defined benefit retirement plans are as follows (in millions):

 

                                 
    Three Months
Ended
June 30,
    Six Months
Ended
June 30,
 
    2012     2011     2012     2011  

Service cost

  $ 6.1     $ 7.2     $ 12.9     $ 14.1  

Interest cost

    4.6       5.2       9.6       10.2  

Expected return on plan assets

    (8.2     (8.0     (16.5     (15.8

Settlement

    0.7             0.7        

Amortization of prior service cost

    (1.2     (0.2     (1.4     (0.4

Amortization of unrecognized actuarial loss

    3.3       1.8       6.7       3.7  
   

 

 

   

 

 

   

 

 

   

 

 

 

Net periodic benefit cost

  $ 5.3     $ 6.0     $ 12.0     $ 11.8  
   

 

 

   

 

 

   

 

 

   

 

 

 

We contributed $52.5 million during the six month period ended June 30, 2012 to our U.S. and Puerto Rico defined benefit plans and do not expect to contribute additional funds to these plans during the remainder of 2012. We contributed $7.4 million to our foreign-based defined benefit plans in the six month period ended June 30, 2012 and expect to contribute $7.4 million to these foreign-based plans during the remainder of 2012.

In March 2012, we amended our U.S. defined benefit pension plan which led us to remeasure our plan assets and obligations. Accordingly, the resulting remeasurement was reflected in our condensed consolidated statements of earnings, condensed consolidated statements of comprehensive income and condensed consolidated balance sheets.

 

XML 56 R34.htm IDEA: XBRL DOCUMENT v2.4.0.6
Property, Plant and Equipment (Details) (USD $)
In Millions, unless otherwise specified
Jun. 30, 2012
Dec. 31, 2011
Property, Plant and Equipment    
Land $ 22.1 $ 22.3
Buildings and equipment 1,214.8 1,196.8
Capitalized software costs 217.4 208.4
Instruments 1,547.4 1,509.2
Construction in progress 83.2 76.4
Property, plant and equipment, gross 3,084.9 3,013.1
Accumulated depreciation (1,908.1) (1,805.8)
Property, plant and equipment, net $ 1,176.8 $ 1,207.3
XML 57 R21.htm IDEA: XBRL DOCUMENT v2.4.0.6
Significant Accounting Policies (Tables)
6 Months Ended
Jun. 30, 2012
Significant Accounting Policies [Abstract]  
Expenses in the Special items
                                 
    Three Months Ended
June  30,
    Six Months Ended
June 30,
 
         2012             2011             2012             2011      

Impairment/loss on disposal of assets

  $     $ 0.4     $ 0.4     $ 2.9  

Consulting and professional fees

    19.2       4.9       37.5       8.4  

Employee severance and retention

    1.0       3.6       4.4       19.8  

Dedicated project personnel

    3.3       0.6       6.6       0.9  

Distributor acquisitions

    0.3       0.5       0.4       1.1  

Certain litigation matters

    3.5             9.9       0.1  

Contract terminations

    1.1       1.7       2.6       2.7  

Contingent consideration adjustments

                (0.8      

Accelerated software amortization

    1.5             1.5        

Other

    0.8       1.8       1.7       3.1  
   

 

 

   

 

 

   

 

 

   

 

 

 

Special items

  $ 30.7     $ 13.5     $ 64.2     $ 39.0  
   

 

 

   

 

 

   

 

 

   

 

 

 
XML 58 R26.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurement of Assets and Liabilities (Tables)
6 Months Ended
Jun. 30, 2012
Fair Value Measurement of Assets and Liabilities [Abstract]  
Fair Value Measurement of Assets and Liabilities
                                 
    As of June 30, 2012  

Description

  Recorded
Balance
    Fair Value Measurements at Reporting Date
Using:
 
    Quoted
Prices  in
Active

Markets for
Identical
Assets
(Level 1)
    Significant
Other
Observable

Inputs
(Level 2)
    Significant
Unobservable

Inputs
(Level 3)
 

Assets

                               

Available-for-sale securities

                               

Corporate debt securities

  $ 296.5     $     $ 296.5     $  

U.S. government and agency debt securities

    230.5             230.5        

Foreign government debt securities

    2.8             2.8        

Commercial paper

    183.3             183.3        

Certificates of deposit

    70.8             70.8        
   

 

 

   

 

 

   

 

 

   

 

 

 

Total available-for-sale securities

    783.9             783.9        

Derivatives, current and long-term

                               

Foreign currency forward contracts and options

    35.2             35.2        

Interest rate swaps

    32.9             32.9        
   

 

 

   

 

 

   

 

 

   

 

 

 
    $ 852.0     $     $ 852.0     $  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liabilities

                               

Derivatives, current and long-term

                               

Foreign currency forward contracts and options

  $ 4.7     $     $ 4.7     $  
   

 

 

   

 

 

   

 

 

   

 

 

 

 

                                 
    As of December 31, 2011  
     Recorded
Balance
    Fair Value Measurements at Reporting Date
Using:
 

Description

    Quoted
Prices  in
Active
Markets for
Identical
Assets
(Level 1)
    Significant
Other
Observable

Inputs
(Level 2)
    Significant
Unobservable

Inputs
(Level 3)
 

Assets

                               

Available-for-sale securities

                               

Corporate debt securities

  $ 324.7     $     $ 324.7     $  

U.S. government and agency debt securities

    177.2             177.2        

Municipal bonds

    1.0             1.0        

Foreign government debt securities

    6.8             6.8        

Commercial paper

    74.5             74.5        

Certificates of deposit

    88.5             88.5        
   

 

 

   

 

 

   

 

 

   

 

 

 

Total available-for-sale securities

    672.7             672.7        

Derivatives, current and long-term

                               

Foreign currency forward contracts and options

    18.3             18.3        

Interest rate swaps

    27.8             27.8        
   

 

 

   

 

 

   

 

 

   

 

 

 
    $ 718.8     $     $ 718.8     $  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liabilities

                               

Derivatives, current and long-term

                               

Foreign currency forward contracts and options

  $ 25.2     $     $ 25.2     $  

Cross-currency interest rate swaps

    8.2             8.2        
   

 

 

   

 

 

   

 

 

   

 

 

 
    $ 33.4     $     $ 33.4     $  
   

 

 

   

 

 

   

 

 

   

 

 

 
XML 59 R49.htm IDEA: XBRL DOCUMENT v2.4.0.6
Commitments and Contingencies (Details Textual) (USD $)
In Millions, unless otherwise specified
3 Months Ended 6 Months Ended 24 Months Ended 54 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Jun. 30, 2012
Jun. 30, 2011
Dec. 31, 2010
Jun. 30, 2012
Jun. 10, 2011
Commitments and Contingencies (Textual) [Abstract]              
Certain Claims Selling General and Administrative Net           $ 388.2  
Selling General and Administrative expenses 0 1.9 0 3.0      
Certain claims   50.0   50.0      
Compensatory Damages Awarded         27.6    
Percentage of Fault Apportioned to Plaintiffs         30.00%    
Percentage of Fault Apportioned to Company         34.00%    
Percentage of Fault Apportioned to Unrelated Third Party         36.00%    
Verdict in full and entered judgment             $ 20.3
XML 60 R41.htm IDEA: XBRL DOCUMENT v2.4.0.6
Income Taxes (Details Textual)
3 Months Ended 6 Months Ended
Jun. 30, 2012
Jun. 30, 2012
Income Taxes (Textual) [Abstract]    
Effective tax rate 25.60% 25.60%
U.S. statutory income tax rate   35.00%
XML 61 R5.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONDENSED CONSOLIDATED BALANCE SHEETS (Parenthetical) (Unaudited) (USD $)
Jun. 30, 2012
Dec. 31, 2011
Condensed Consolidated Balance Sheets [Abstract]    
Common stock, par value $ 0.01 $ 0.01
Common stock, shares authorized 1,000,000,000 1,000,000,000
Common stock, shares issued 256,500,000 255,900,000
Treasury stock, shares 81,900,000 77,900,000
XML 62 R10.htm IDEA: XBRL DOCUMENT v2.4.0.6
Property, Plant and Equipment
6 Months Ended
Jun. 30, 2012
Property, Plant and Equipment [Abstract]  
Property, Plant and Equipment
4.

Property, Plant and Equipment

 

                 
    June 30,
2012
    December 31,
2011
 
    (in millions)  

Land

  $ 22.1     $ 22.3  

Buildings and equipment

    1,214.8       1,196.8  

Capitalized software costs

    217.4       208.4  

Instruments

    1,547.4       1,509.2  

Construction in progress

    83.2       76.4  
   

 

 

   

 

 

 
      3,084.9       3,013.1  

Accumulated depreciation

    (1,908.1     (1,805.8
   

 

 

   

 

 

 

Property, plant and equipment, net

  $ 1,176.8     $ 1,207.3  
   

 

 

   

 

 

 

 

XML 63 R27.htm IDEA: XBRL DOCUMENT v2.4.0.6
Derivative Instruments and Hedging Activities (Tables)
6 Months Ended
Jun. 30, 2012
Derivative Instruments and Hedging Activities [Abstract]  
Derivative instruments designated as fair value hedges
                                                                         
          Gain on Instrument     Loss on Hedged Item  
    Location on
Statement of Earnings
    Three Months
Ended
June 30,
    Six Months
Ended
June 30,
    Three Months
Ended
June 30,
    Six Months
Ended
June 30,
 

Derivative Instrument

        2012             2011             2012             2011             2012             2011             2012             2011      

Interest rate swaps

    Interest expense     $ 8.3     $ 7.1     $ 5.1     $ 4.0     $ (8.3   $ (7.1   $ (5.1   $ (4.0
Gross unrealized losses from derivative instruments
                                                                     
    Amount of
Gain / (Loss)
Recognized in OCI
   

Location on
Statement of Earnings

  Amount of
Gain / (Loss)
Reclassified from OCI
 
    Three Months
Ended
June 30,
    Six Months
Ended
June 30,
      Three Months
Ended
June 30,
    Six Months
Ended

June 30,
 

Derivative Instrument

  2012     2011     2012     2011       2012     2011     2012     2011  

Foreign exchange forward contracts

  $ 23.8     $ (16.0   $ 31.8     $ (74.1   Cost of products sold   $ (3.7   $ (12.2   $ (7.8   $ (17.4

Foreign exchange options

    (1.1     2.8       (1.1     3.7     Cost of products sold     (0.1           (0.1      

Cross-currency interest rate swaps

          (0.8           0.2     Interest expense           (0.5     0.2       (3.5
   

 

 

   

 

 

   

 

 

   

 

 

       

 

 

   

 

 

   

 

 

   

 

 

 
    $ 22.7     $ (14.0   $ 30.7     $ (70.2       $ (3.8   $ (12.7   $ (7.7   $ (20.9
   

 

 

   

 

 

   

 

 

   

 

 

       

 

 

   

 

 

   

 

 

   

 

 

 
Gains/(losses) from derivative instruments recognized in cost of products sold
                                     
   

Location on
Statement of Earnings

  Three Months Ended
June 30,
    Six Months Ended
June 30,
 

Derivative Instrument

        2012             2011             2012             2011      

Foreign exchange forward contracts

  Cost of products sold   $ 10.5     $ 1.3     $ 8.6     $ (13.7
Fair value of derivative instruments on gross basis
                         
   

June 30, 2012

   

December 31, 2011

 
   

Balance

Sheet

Location

  Fair
Value
   

Balance

Sheet

Location

  Fair
Value
 

Asset Derivatives

                       

Foreign exchange forward contracts

  Other current assets   $ 37.3     Other current assets   $ 24.9  

Foreign exchange options

  Other current assets     0.9     Other current assets     1.4  

Foreign exchange forward contracts

  Other assets     23.3     Other assets     14.5  

Foreign exchange options

  Other assets         Other assets     1.0  

Interest rate swaps

  Other assets     32.9     Other assets     27.8  
       

 

 

       

 

 

 

Total asset derivatives

      $ 94.4         $ 69.6  
       

 

 

       

 

 

 

Liability Derivatives

                       

Foreign exchange forward contracts

  Other current liabilities   $ 22.9     Other current liabilities   $ 35.6  

Cross-currency interest rate swaps

  Other current liabilities         Other current liabilities     8.2  

Foreign exchange forward contracts

  Other long-term liabilities     8.1     Other long-term liabilities     13.1  
       

 

 

       

 

 

 

Total liability derivatives

      $ 31.0         $ 56.9  
       

 

 

       

 

 

 
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Debt (Details Textual)
6 Months Ended
Jun. 30, 2012
USD ($)
Jun. 30, 2012
JPY (¥)
May 24, 2012
JPY (¥)
Jun. 30, 2012
Term Loan [Member]
USD ($)
Debt Instrument [Line Items]        
Estimated fair value of Senior Notes $ 1,742,600,000     $ 145,600,000
Interest rate on term loan 4.625% 4.625%   0.61%
Debt (Textual) [Abstract]        
Senior credit facility 1,350,000,000      
Senior credit facility, maturity date May 09, 2017 May 09, 2017    
Line of credit facility expiration date of previous credit facility Nov. 30, 2012 Nov. 30, 2012    
Borrowings outstanding under the previous credit facility converted to the Senior Credit Facility     11,700,000,000  
Term loan $ 145,400,000 ¥ 11,700,000,000    
Maturity date of term loan May 31, 2016 May 31, 2016    
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Significant Accounting Policies (Policies)
6 Months Ended
Jun. 30, 2012
Significant Accounting Policies [Abstract]  
Special Items

Special Items — We recognize expenses resulting directly from our business combinations, employee termination benefits, certain contract terminations, consulting and professional fees and asset impairment charges connected with global restructuring, quality excellence and transformation initiatives, and other items as “Special items” in our condensed consolidated statement of earnings.

In the first six months of 2012, we announced our plans to outsource our Warsaw, Indiana distribution center to a third party service provider at a national transportation hub, among other organizational changes. Approximately 160 employees were or will be affected by these actions.

In the first six months of 2011, we terminated employees as part of a reduction of management layers, expansion of management spans of control, and changes in our organizational structure. Approximately 500 employees from across the globe were affected by these actions.

 

As a result of these actions, we incurred expenses related to severance benefits, share-based compensation acceleration and other employee termination-related costs. The vast majority of these termination benefits were provided in accordance with our existing policies or local government regulations and are considered ongoing benefits. These costs were accrued when they became probable and estimable and were recorded as part of other current liabilities. The majority of these costs have been paid or will be paid in the year they were accrued.

In the second quarter of 2012, we approved a plan to replace certain software. As a result, the estimated economic useful life of the existing software was decreased to represent the period of time expected to implement replacement software. As a result, the amortization from the shortened life of this software is substantially higher than the previous amortization being recognized. We have recognized the incremental amortization caused by the shorter life in “Special items”.

Recent Accounting Pronouncements

Recent Accounting Pronouncements — In 2011, the Financial Accounting Standards Board issued an accounting standard update (ASU) requiring companies to present net income and other comprehensive income in either a single continuous statement or in two separate, but consecutive, statements of net income and of comprehensive income. This requirement became effective for us January 1, 2012. The ASU changes the presentation requirements of other comprehensive income only and does not change any accounting for other comprehensive income and therefore had no effect on our financial position, results of operations or cash flows.

There are no other recently issued accounting pronouncements that we have not yet adopted that are expected to have a material effect on our financial position, results of operations or cash flows.