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Commitments and Contingencies (Tables)
6 Months Ended
Jun. 30, 2016
Schedule of Asbestos Related Balances
The Company’s liability for asbestos-related matters and the asset for probable asbestos-related insurance recoveries were included in the following balance sheet accounts:
In millions
June 30,
2016
 
December 31,
2015
Accrued expenses and other current liabilities
$
67.0

 
$
65.7

Other noncurrent liabilities
608.3

 
648.0

Total asbestos-related liabilities
$
675.3

 
$
713.7

 
 
 
 
Other current assets
$
54.0

 
$
51.3

Other noncurrent assets
240.0

 
264.3

Total asset for probable asbestos-related insurance recoveries
$
294.0

 
$
315.6

Cost Income Asbestos Related Claims After Recoveries
The (costs) income associated with the settlement and defense of asbestos-related claims after insurance recoveries for the three and six months ended June 30 were as follows:
 
Three months ended
 
Six months ended
In millions
2016
 
2015
 
2016
 
2015
Continuing operations
$
0.2

 
$
16.4

 
$
2.1

 
$
17.7

Discontinued operations
(4.2
)
 
(4.4
)
 
19.8

 
(5.7
)
Total
$
(4.0
)
 
$
12.0

 
$
21.9

 
$
12.0

Schedule of Product Warranty Liability [Table Text Block]
The changes in the standard product warranty liability for the six months ended June 30 were as follows:
In millions
2016
 
2015
Balance at beginning of period
$
262.0

 
$
253.6

Reductions for payments
(68.7
)
 
(68.1
)
Accruals for warranties issued during the current period
63.0

 
65.9

Accruals for warranties assumed from acquisitions during the current period

 
9.7

Changes to accruals related to preexisting warranties
5.9

 
5.6

Translation
0.7

 
(3.1
)
Balance at end of period
$
262.9

 
$
263.6

Extended Warranty [Member]  
Schedule of Product Warranty Liability [Table Text Block]
The changes in the extended warranty liability for the six months ended June 30 were as follows:
In millions
2016
 
2015
Balance at beginning of period
$
311.6

 
$
330.1

Amortization of deferred revenue for the period
(53.8
)
 
(51.1
)
Additions for extended warranties issued during the period
38.4

 
42.6

Changes to accruals related to preexisting warranties
7.1

 
1.6

Translation
0.7

 
(1.3
)
Balance at end of period
$
304.0

 
$
321.9