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Fair Value Measurements (Tables)
9 Months Ended
Feb. 28, 2013
Fair Value Disclosures [Abstract]  
Schedule of assets and liabilities included in our Condensed Consolidated Balance Sheets that are recognized at fair value on a recurring basis, and indicates the fair value heirarchy utilized to determine such fair value

The following table presents assets and liabilities included in our Condensed Consolidated Balance Sheets that are recognized at fair value on a recurring basis, and indicate the fair value hierarchy utilized to determine such fair values.

    February 28, 2013
     Total  Level 1  Level 2  Level 3
 Assets            
 Foreign currency derivatives $ 4.0 $ 0.3 $ 3.7 $ -
 Commodity derivatives   3.7   -   3.7   -
 Freight derivatives   0.9   -   -   0.9
  Total assets at fair value $ 8.6 $ 0.3 $ 7.4 $ 0.9
               
 Liabilities            
 Foreign currency derivatives $ 44.2 $ 7.1 $ 37.1 $ -
 Commodity derivatives   9.9   -   9.9   -
 Freight derivatives   0.7   -   -   0.7
  Total liabilities at fair value $ 54.8 $ 7.1 $ 47.0 $ 0.7
Schedule of carrying amounts and estimated fair values of our financial instruments

The carrying amounts and estimated fair values of our financial instruments are as follows:

    February 28, 2013  May 31, 2012
    Carrying  Fair  Carrying  Fair
    Amount  Value  Amount  Value
 Cash and cash equivalents $ 3,322.7 $ 3,322.7 $ 3,811.0 $ 3,811.0
 Receivables, net   873.6   873.6   751.6   751.6
 Accounts payable trade   740.9   740.9   912.4   912.4
 Short-term debt   61.2   61.2   42.5   42.5
 Long-term debt, including current portion   1,011.4   1,119.4   1,010.5   1,116.9