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RETIREMENT AND POSTRETIREMENT BENEFIT PLANS (Tables)
12 Months Ended
Sep. 30, 2015
Master Defined Benefit Retirement Plan [Member]  
Defined Benefit Plans and Other Postretirement Benefit Plans Table Text Block [Line Items]  
Schedule of Components of Net Pension Expense
 
Years Ended September 30
 
2015
 
2014
   
2013
 
               
Service cost
$ 5.4     $ 5.0     $ 6.1  
Interest cost
    14.6       14.4       13.2  
Expected return on plan assets
    (16.7 )     (16.7 )     (15.9 )
Amortization of unrecognized prior service cost, net
    0.6       0.6       0.6  
Amortization of net loss
    5.2       3.2       7.8  
Net periodic benefit cost     9.1       6.5       11.8  
Settlement charge     9.6       -       -  
Special termination benefits     -       2.4       -  
Net pension expense   $ 18.7     $ 8.9     $ 11.8  
Schedule of Changes in Obligations, Assets and Funded Status
 
Years Ended September 30
 
2015
 
2014
 
       
Change in benefit obligation:
     
Benefit obligation at beginning of year
  $ 343.8     $ 297.9  
Service cost
    5.4       5.0  
Interest cost
    14.6       14.4  
Actuarial loss
    12.5       31.4
Benefits paid
    (54.0 )     (10.2 )
Acquisitions     -       4.3  
Special termination benefits     -       2.4  
Plan settlement     (4.4 )     -  
Exchange rate gain
    (2.4 )     (1.4 )
Benefit obligation at end of year
    315.5       343.8  
                 
Change in plan assets:
               
Fair value of plan assets at beginning of year
    276.1       254.4  
Actual return on plan assets
    (3.9 )     30.9  
Employer contributions
    0.9       1.0  
Benefits paid
    (54.0 )     (10.2 )
Fair value of plan assets at end of year
    219.1       276.1  
Funded status and net amounts recognized
  $ (96.4 )   $ (67.7 )
                 
Amounts recorded in the Consolidated Balance Sheets:
               
Accrued pension benefits, current portion
  $ (1.0 )   $ (1.0 )
Accrued pension benefits, long-term
    (95.4 )     (66.7 )
Net amount recognized
  $ (96.4 )   $ (67.7 )
Schedule of Accumulated Benefit Obligation
 
September 30
 
2015
 
2014
 
 
PBO
ABO
   
Plan Assets
   
PBO
   
ABO
   
Plan Assets
 
                               
Master plan
  $ 292.5     $ 275.3     $ 218.9     $ 319.1     $ 303.2     $ 275.8  
International plans
    17.9       16.3       0.2       20.3       18.5       0.3  
Supplemental executive plan
    5.1       5.1       -       4.4       4.2       -  
    $ 315.5     $ 296.7     $ 219.1     $ 343.8     $ 325.9     $ 276.1  
Schedule of Actuarial Assumptions
   
2015
   
2014
     
2013
 
Weighted average assumptions to determine benefit
                   
obligations at the measurement date:
                   
Discount rate for obligation
    4.4 %       4.5 %         5.0 %  
Rate of compensation increase
      3.0 %         3.0 %         3.3 %  
                                     
Weighted average assumptions to determine benefit
                                   
cost for the year:
                                   
Discount rate for expense
      4.5 %         5.0 %         4.1 %  
Expected rate of return on plan assets
      6.8 %         7.0 %         7.0 %  
Rate of compensation increase
      3.0 %         3.3 %         3.3 %  
Schedule of Allocation of Plan Assets
   
2015
 
2014
     
2015
     
2014
 
   
Target
 
Target
     
Actual
     
Actual
 
   
Allocation
   
Allocation
     
Allocation
     
Allocation
 
                             
Equity securities
      39 - 49%           40 - 60%           42 %         52 %  
Fixed income securities
      51 - 61%           40 - 60%           58 %         48 %  
Total
                              100 %         100 %  
Schedule of Fair Value Measurements of Plan Assets
   
Quoted Prices in
   
Significant
       
   
Active Markets
   
Other
   
Significant
 
   
for Identical
   
Observable
   
Unobservable
 
 
Balance at
Assets
   
Inputs
   
Inputs
 
   
September 30, 2015
   
(Level 1)
   
(Level 2)
   
(Level 3)
 
Cash
  $ 3.5     $ 3.5     $ -     $ -  
Equities
                               
U.S. companies
    47.1       -       47.1       -  
International companies
    44.8       -       44.8       -  
Fixed income securities
    123.7       -       123.7       -  
Total plan assets at fair value
  $ 219.1     $ 3.5     $ 215.6     $ -  
 
   
Quoted Prices in
   
Significant
       
   
Active Markets
   
Other
   
Significant
   
for Identical
   
Observable
   
Unobservable
 
 
Balance at
Assets
   
Inputs
   
Inputs
 
   
September 30, 2014
   
(Level 1)
   
(Level 2)
   
(Level 3)
 
Cash
  $ 2.1     $ 2.1     $ -     $ -  
Equities
                               
U.S. companies
    101.7       101.7       -       -  
International companies
    38.7       38.7       -       -  
Fixed income securities
    133.2       66.8       66.4       -  
Other
    0.4       0.4       -       -  
Total plan assets at fair value
  $ 276.1     $ 209.7     $ 66.4     $ -  
Schedule of Estimated Future Benefit Payments
   
Pension Benefits
2016
    $ 12.3  
2017
    $ 12.8  
2018
    $ 13.3
2019
    $ 14.0  
2020
    $ 14.8  
2021-2025     $ 86.5  
Postretirement Health Care Plan [Member]  
Defined Benefit Plans and Other Postretirement Benefit Plans Table Text Block [Line Items]  
Schedule of Changes in Obligations, Assets and Funded Status
 
Years Ended September 30
 
2015
 
2014
 
Change in benefit obligation:
       
Benefit obligation at beginning of year
$ 11.2     $ 9.8  
Service cost
    0.4       0.4  
Interest cost
    0.4       0.4  
Acquired obligation
    14.1       -  
Actuarial gain
    (0.9 )     (0.2 )
Benefits paid
    (0.2 )     (0.2 )
Retiree contributions     0.1       0.2  
Special termination benefits
    -       0.8  
Benefit obligation at end of year
  $ 25.1     $ 11.2  
                 
Amounts recorded in the Consolidated Balance Sheets:
               
Accrued benefits obligation, current portion
  $ 1.8     $ 1.1  
Accrued benefits obligation, long-term
    23.3       10.1  
Net amount recognized
  $ 25.1     $ 11.2