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Derivative Financial Instruments (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Sep. 30, 2011
Sep. 30, 2010
Dec. 31, 2010
Accumulated other comprehensive income, change in fair value of foreign currency forward exchange contracts under hedge designations     
Foreign currency gain (loss) reclassified into earnings over next twelve months$ 0.1 $ 0.1  
Designated as Hedging Instrument | Interest Rate Swap Agreements
     
Derivative Financial Instruments     
Floating rate obligation covered by interest rate swap agreement98.0 98.0 98.0
Fair value of derivative liability0.9 0.9  
Fair value of derivative asset    6.5
Designated as Hedging Instrument | Cross-Currency Interest Rate Swap Agreement
     
Derivative Financial Instruments     
Fair value of derivative liability    3.0
Designated as Hedging Instrument | Foreign Currency Forward Exchange Contracts
     
Derivative Financial Instruments     
Fair value of derivative liability2.4 2.4 2.6
Notional amount133.5 133.5 124.2
Gains (losses) excluded from assessment of hedge effectiveness and included in income as a component of interest expense0.9(0.6)0.8(0.4) 
Fair value of derivative asset2.0 2.0 2.3
Hedge of Euro investment in Hexcel SASU (France) | Cross-Currency Interest Rate Swap Agreement
     
Derivative Financial Instruments     
Payment on maturity cross-currency interest rate swap agreement  5.2  
Gains (losses) excluded from assessment of hedge effectiveness and included in income as a component of interest expense  0.20.2 
Gains (losses) recognized in income(0.2)(0.1)(0.6)(0.2) 
Gains (losses) in other comprehensive income, effective portion3.3(7.0)(10.1)3.6 
Cash flow hedges | Foreign Currency Forward Exchange Contracts
     
Derivative Financial Instruments     
Gains (losses) recognized in income1.7(1.4)2.9(5.5) 
Gains (losses) in other comprehensive income, effective portion(5.2)10.02.2(0.9) 
Interest Rate Swap Agreements
     
Derivative Financial Instruments     
Average fixed interest rate (as a percent)1.03% 1.03%  
Interest Rate Swap Agreements | U.S. dollars
     
Derivative Financial Instruments     
Variable interest rate  LIBOR  
Cross-Currency Interest Rate Swap Agreement | U.S. dollars
     
Derivative Financial Instruments     
Variable interest rate  three month LIBOR  
Cross-Currency Interest Rate Swap Agreement | Euro
     
Derivative Financial Instruments     
Variable interest rate  three month EURIBOR  
Foreign Currency Forward Exchange Contracts
     
Derivative Financial Instruments     
Net gains (losses) on derivative contracts not designated as hedges(6.5)9.31.21.6 
Accumulated other comprehensive income, change in fair value of foreign currency forward exchange contracts under hedge designations     
Unrealized gains (losses) gains at beginning of period, net of tax4.7(6.7)(0.2)(1.4) 
(Gains) losses reclassified to net sales(1.1)1.1(2.2)4.2 
Increase (decrease) in fair value4.37.61.7(0.8) 
Unrealized gains (losses) at end of period, net of tax$ (0.7)$ 2.0$ (0.7)$ 2.0