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Financing Arrangements (Tables)
9 Months Ended
Sep. 30, 2011
Financing Arrangements [Abstract] 
Long-term Debt
                 
    September 30,     December 31,  
    2011     2010  
    (Dollars in millions)  
Medium-term notes payable (interest rates from 6.8% to 8.7%)
  $ 398.9     $ 398.9  
6.29% senior notes, maturing in 2016
    294.4       295.0  
6.125% senior notes, maturing in 2019
    298.3       298.1  
4.875% senior notes, maturing in 2020
    299.4       299.4  
3.6% senior notes, maturing in 2021
    598.9       598.8  
6.80% senior notes, maturing in 2036
    234.3       233.7  
7.0% senior notes, maturing in 2038
    199.2       199.2  
Other debt, maturing through 2020 (interest rates from 0.2% to 2.6%)
    46.3       16.5  
 
           
 
    2,369.7       2,339.6  
Capital lease obligations
    22.0       13.2  
 
           
Total
  $ 2,391.7     $ 2,352.8