XML 41 R31.htm IDEA: XBRL DOCUMENT v3.8.0.1
Fair Value Measurements (Tables)
9 Months Ended
Mar. 31, 2018
Fair Value Disclosures [Abstract]  
Schedule of fair value of assets and liabilities measured on a recurring basis
The following tables present the Company’s assets and liabilities that are measured at fair value on a recurring basis and are categorized using the fair value hierarchy:
 
March 31, 2018
 
Fair Value
Measurements Using
Input Type
($ in millions)
 
Level 2
Assets:
 
 

Marketable securities:
 
 

Municipal auction rate securities
 
$
3.5

Derivative financial instruments
 
34.6

Total assets
 
$
38.1

 
 
 

Liabilities:
 
 

Derivative financial instruments
 
$
3.9

 
June 30, 2017
 
Fair Value
Measurements Using
Input Type
($ in millions)
 
Level 2
Assets:
 
 

Marketable securities:
 
 

Municipal auction rate securities
 
$
3.4

Derivative financial instruments
 
14.5

Total assets
 
$
17.9

 
 
 

Liabilities:
 
 

Derivative financial instruments
 
$
19.1

Schedule of carrying amounts and estimated fair values of financial instruments not recorded at fair value in the financial statements
The carrying amounts and estimated fair values of the Company’s financial instruments not recorded at fair value in the financial statements were as follows:
 
 
 
March 31, 2018
 
June 30, 2017
($ in millions)
 
Carrying
Value
 
Fair
Value
 
Carrying
Value
 
Fair
Value
Long-term debt, including current portion
 
$
601.3

 
$
610.0

 
$
605.0

 
$
622.5

Company-owned life insurance
 
$
15.8

 
$
15.8

 
$
15.9

 
$
15.9