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Fair Value Measurements (Assets And Liabilities Measured On A Recurring Basis) (Details) - USD ($)
$ in Millions
Sep. 30, 2019
Dec. 31, 2018
Assets, Fair Value Disclosure [Abstract]    
Derivative financial instrument assets $ 15.9 $ 8.1
Liabilities, Fair Value Disclosure [Abstract]    
Derivative financial instrument liabilities 197.9 77.4
Liabilities held for sale 21.0 16.2
Fair Value, Measurements, Recurring    
Assets, Fair Value Disclosure [Abstract]    
Equity securities [1] 50.7 40.4
Held-to-maturity debt securities 60.0 20.0
Assets held for sale 17.6 9.6
Total assets 284.4 186.1
Liabilities, Fair Value Disclosure [Abstract]    
Liabilities held for sale 21.0 16.2
Total liabilities 644.1 608.0
Fair Value, Measurements, Recurring | Long-term - Derivative financial instruments - Synthetic Bonds - Call Option Premium    
Assets, Fair Value Disclosure [Abstract]    
Derivative financial instrument assets 15.7 9.2
Fair Value, Measurements, Recurring | Foreign exchange contracts    
Assets, Fair Value Disclosure [Abstract]    
Derivative financial instrument assets 136.6 104.8
Liabilities, Fair Value Disclosure [Abstract]    
Derivative financial instrument liabilities 318.6 174.1
Fair Value, Measurements, Recurring | Long-term - Derivative financial instruments - Synthetic Bonds - Embedded Derivatives    
Liabilities, Fair Value Disclosure [Abstract]    
Derivative financial instrument liabilities 15.7 9.2
Fair Value, Measurements, Recurring | Level 1    
Assets, Fair Value Disclosure [Abstract]    
Equity securities [1] 50.7 40.4
Held-to-maturity debt securities 0.0 0.0
Assets held for sale 0.0 0.0
Total assets 50.7 40.4
Liabilities, Fair Value Disclosure [Abstract]    
Liabilities held for sale 0.0 0.0
Total liabilities 0.0 0.0
Fair Value, Measurements, Recurring | Level 1 | Long-term - Derivative financial instruments - Synthetic Bonds - Call Option Premium    
Assets, Fair Value Disclosure [Abstract]    
Derivative financial instrument assets 0.0 0.0
Fair Value, Measurements, Recurring | Level 1 | Foreign exchange contracts    
Assets, Fair Value Disclosure [Abstract]    
Derivative financial instrument assets 0.0 0.0
Liabilities, Fair Value Disclosure [Abstract]    
Derivative financial instrument liabilities 0.0 0.0
Fair Value, Measurements, Recurring | Level 1 | Long-term - Derivative financial instruments - Synthetic Bonds - Embedded Derivatives    
Liabilities, Fair Value Disclosure [Abstract]    
Derivative financial instrument liabilities 0.0 0.0
Fair Value, Measurements, Recurring | Level 2    
Assets, Fair Value Disclosure [Abstract]    
Equity securities [1] 0.0 0.0
Held-to-maturity debt securities 60.0 20.0
Assets held for sale 0.0 0.0
Total assets 213.9 135.6
Liabilities, Fair Value Disclosure [Abstract]    
Liabilities held for sale 0.0 0.0
Total liabilities 334.3 183.3
Fair Value, Measurements, Recurring | Level 2 | Long-term - Derivative financial instruments - Synthetic Bonds - Call Option Premium    
Assets, Fair Value Disclosure [Abstract]    
Derivative financial instrument assets 15.7 9.2
Fair Value, Measurements, Recurring | Level 2 | Foreign exchange contracts    
Assets, Fair Value Disclosure [Abstract]    
Derivative financial instrument assets 136.6 104.8
Liabilities, Fair Value Disclosure [Abstract]    
Derivative financial instrument liabilities 318.6 174.1
Fair Value, Measurements, Recurring | Level 2 | Long-term - Derivative financial instruments - Synthetic Bonds - Embedded Derivatives    
Liabilities, Fair Value Disclosure [Abstract]    
Derivative financial instrument liabilities 15.7 9.2
Fair Value, Measurements, Recurring | Level 3    
Assets, Fair Value Disclosure [Abstract]    
Equity securities [1] 0.0 0.0
Held-to-maturity debt securities 0.0 0.0
Assets held for sale 17.6 9.6
Total assets 17.6 9.6
Liabilities, Fair Value Disclosure [Abstract]    
Liabilities held for sale 21.0 16.2
Total liabilities 309.8 424.7
Fair Value, Measurements, Recurring | Level 3 | Long-term - Derivative financial instruments - Synthetic Bonds - Call Option Premium    
Assets, Fair Value Disclosure [Abstract]    
Derivative financial instrument assets 0.0 0.0
Fair Value, Measurements, Recurring | Level 3 | Foreign exchange contracts    
Assets, Fair Value Disclosure [Abstract]    
Derivative financial instrument assets 0.0 0.0
Liabilities, Fair Value Disclosure [Abstract]    
Derivative financial instrument liabilities 0.0 0.0
Fair Value, Measurements, Recurring | Level 3 | Long-term - Derivative financial instruments - Synthetic Bonds - Embedded Derivatives    
Liabilities, Fair Value Disclosure [Abstract]    
Derivative financial instrument liabilities 0.0 0.0
Redeemable financial liability | Fair Value, Measurements, Recurring    
Liabilities, Fair Value Disclosure [Abstract]    
Redeemable financial liability 288.8 408.5
Redeemable financial liability | Fair Value, Measurements, Recurring | Level 1    
Liabilities, Fair Value Disclosure [Abstract]    
Redeemable financial liability 0.0 0.0
Redeemable financial liability | Fair Value, Measurements, Recurring | Level 2    
Liabilities, Fair Value Disclosure [Abstract]    
Redeemable financial liability 0.0 0.0
Redeemable financial liability | Fair Value, Measurements, Recurring | Level 3    
Liabilities, Fair Value Disclosure [Abstract]    
Redeemable financial liability 288.8 408.5
Nonqualified Plan [Member] | Fair Value, Measurements, Recurring    
Assets, Fair Value Disclosure [Abstract]    
Money market fund 1.6 1.6
Stable Value Fund [2] 2.2 0.5
Nonqualified Plan [Member] | Fair Value, Measurements, Recurring | Level 1    
Assets, Fair Value Disclosure [Abstract]    
Money market fund 0.0 0.0
Stable Value Fund [2] 0.0 0.0
Nonqualified Plan [Member] | Fair Value, Measurements, Recurring | Level 2    
Assets, Fair Value Disclosure [Abstract]    
Money market fund 1.6 1.6
Stable Value Fund [2] 0.0 0.0
Nonqualified Plan [Member] | Fair Value, Measurements, Recurring | Level 3    
Assets, Fair Value Disclosure [Abstract]    
Money market fund 0.0 0.0
Stable Value Fund [2] $ 0.0 $ 0.0
[1]
Includes fixed income and other investments measured at fair value.
[2]
Certain investments that are measured at fair value using net asset value per share (or its equivalent) have not been classified in the fair value hierarchy.