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Summary Of Significant Accounting Policies (Tables)
12 Months Ended
Sep. 30, 2011
Summary Of Significant Accounting Policies 
Schedule Of Inventories
   
September 30
 
   
2011
   
2010
 
             
Finished products
  $ 55.6     $ 64.2  
Work in process
    4.2       4.7  
Raw materials
    35.8       39.6  
Total
  $ 95.6     $ 108.5  
Schedule Of Ranges Of Estimated Useful Lives
 
Useful Life
Land improvements
625 years
Buildings and building equipment
2040 years
Machinery and equipment
310 years
Equipment leased to others
2-10 years
Schedule Of Major Components Of Property And Related Accumulated Depreciation
   
September 30
 
   
2011
   
2010
 
         
Accumulated
         
Accumulated
 
   
Cost
   
Depreciation
   
Cost
   
Depreciation
 
                         
Land and land improvements
  $ 12.2     $ 3.9     $ 12.5     $ 3.7  
Buildings and building equipment
    115.3       79.0       112.8       75.7  
Machinery and equipment
    269.0       205.3       257.1       192.2  
Equipment leased to others
    423.1       308.6       422.6       289.7  
Total
  $ 819.6     $ 596.8     $ 805.0     $ 561.3  
Schedule Of Intangible Assets And Related Accumulated Amortization And Impairment Losses
   
September 30
 
   
2011
   
2010
 
         
Amortization
         
Amortization
 
   
Cost
   
and Impairment
   
Cost
   
and Impairment
 
                         
Goodwill
  $ 560.0     $ 472.8     $ 553.9     $ 472.8  
Software
    154.7       106.2       150.5       91.7  
Other
    134.7       57.1       123.9       46.1  
Total
  $ 849.4     $ 636.1     $ 828.3     $ 610.6  
Schedule Of Expected Amortization Expense
   
Amount
 
2012
  $ 31.7  
2013
  $ 27.5  
2014
  $ 20.0  
2015
  $ 13.7  
2016
  $ 9.5  
2017 and beyond
  $ 4.7  
Schedule Of Reconciliation Of Changes In Warranty Reserve
   
2011
   
2010
   
2009
 
                   
Balance at October 1
  $ 15.8     $ 17.1     $ 16.9  
Provision for warranties during the period
    17.0       16.0       16.9  
Warranty reserves acquired
    -       -       3.6  
Warranty claims incurred during the period
    (15.0 )     (17.3 )     (20.3 )
Balance at September 30
  $ 17.8     $ 15.8     $ 17.1  
Schedule Of Composition Of Accumulated Other Comprehensive Income (Loss)
   
September 30
 
   
2011
   
2010
   
2009
 
                   
Available-for-sale securities and currency hedges, net of tax of
                 
 $0.4, $0.4 and $0.5, respectively
  $ (0.9 )   $ (0.7 )   $ (0.9 )
Foreign currency translation adjustment, net of tax of $1.7, $2.2
                       
 and $3.5, respectively
    (15.7 )     (11.9 )     (12.6 )
Items not yet recognized as a component of net periodic pension
                       
and postretirement healthcare costs, net of tax of $38.2, $29.3
                       
and $29.2, respectively
    (62.4 )     (49.2 )     (46.4 )
Total
  $ (79.0 )   $ (61.8 )   $ (59.9 )