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Derivative Instruments (Table Text Block)
12 Months Ended
Mar. 31, 2013
Derivative Instrument Detail [Abstract]  
Derivatives
 
Original variable rate debt and lease amount
 
Agreement Date
 
Effective Date
 
Expiration Date
 
Designated cash flow hedge date
 
(In millions)
 
 
 
 
 
 
 
 
$
50.0
 
 
6/21/2006
 
7/10/2006
 
7/10/2013
 
6/9/2006
 
300.0
 
 
8/16/2006
 
8/18/2006
 
8/10/2018
 
8/4/2006
 
30.0
 
 
2/9/2007
 
2/12/2007
 
2/10/2014
 
2/9/2007
 
20.0
 
 
3/8/2007
 
3/12/2007
 
3/10/2014
 
3/8/2007
 
20.0
 
 
3/8/2007
 
3/12/2007
 
3/10/2014
 
3/8/2007
 
19.3
(a)
 
4/8/2008
 
8/15/2008
 
6/15/2015
 
3/31/2008
 
19.0
 
 
8/27/2008
 
8/29/2008
 
7/10/2015
 
4/10/2008
 
30.0
 
 
9/24/2008
 
9/30/2008
 
9/10/2015
 
9/24/2008
 
15.0
(a)
 
3/24/2009
 
3/30/2009
 
3/30/2016
 
3/25/2009
 
14.7
(a)
 
7/6/2010
 
8/15/2010
 
7/15/2017
 
7/6/2010
 
25.0
(a)
 
4/26/2011
 
6/1/2011
 
6/1/2018
 
7/1/2011
 
50.0
(a)
 
7/29/2011
 
8/15/2011
 
8/15/2018
 
7/29/2011
 
20.0
(a)
 
8/3/2011
 
9/12/2011
 
9/10/2018
 
8/3/2011
 
15.1
(b)
 
3/27/2012
 
3/28/2012
 
3/28/2019
 
3/26/2012
 
25.0
 
 
4/13/2012
 
4/16/2012
 
4/1/2019
 
4/12/2012
 
44.3
 
 
1/11/2013
 
1/15/2013
 
12/15/2019
 
7/25/2012
 
 
 
 
 
 
 
 
 
 
 
 
(a) forward swap
 
(b) operating lease
As of March 31, 2013, the total notional amount of our variable interest rate swaps on debt and an operating lease was $450.1 million and $13.7 million, respectively.