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Retirement and Other Postretirement Benefit Plans (Details 3) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Reconciliation of Level 3 Assets    
Actual allocations of Plan assets (as a percent) 100.00% 100.00%
Target allocations by asset class (as a percent) 100.00% 100.00%
Equity funds
   
Fair value of pension assets    
Fair value measurements 70.0 59.7
Reconciliation of Level 3 Assets    
Fair value of plan assets - end of year 70.0 59.7
U.K. Equity Fund
   
Reconciliation of Level 3 Assets    
Actual allocations of Plan assets (as a percent) 28.00% 27.80%
Target allocations by asset class (as a percent) 28.60% 31.00%
Total invested in equities (as a percent) 51.00%  
Overseas Equity Fund
   
Reconciliation of Level 3 Assets    
Actual allocations of Plan assets (as a percent) 26.60% 26.10%
Target allocations by asset class (as a percent) 28.60% 31.00%
Total invested in equities (as a percent) 49.00%  
Active Corporate Bond Funds
   
Fair value of pension assets    
Fair value measurements 52.1 45.6
Reconciliation of Level 3 Assets    
Fair value of plan assets - beginning of year 45.6  
Fair value of plan assets - end of year 52.1 45.6
Actual allocations of Plan assets (as a percent) 40.60% 41.10%
Target allocations by asset class (as a percent) 38.20% 32.90%
Diversified Investment Funds
   
Fair value of pension assets    
Fair value measurements 3.1  
Reconciliation of Level 3 Assets    
Fair value of plan assets - end of year 3.1  
Actual allocations of Plan assets (as a percent) 2.40% 2.60%
Target allocations by asset class (as a percent) 2.20% 2.50%
Insurance Contracts
   
Reconciliation of Level 3 Assets    
Actual allocations of Plan assets (as a percent) 2.40% 2.40%
Target allocations by asset class (as a percent) 2.40% 2.60%
Level 2
   
Fair value of pension assets    
Fair value measurements 122.4 105.7
Reconciliation of Level 3 Assets    
Fair value of plan assets - end of year 122.4 105.7
Level 2 | Equity funds
   
Fair value of pension assets    
Fair value measurements 70.0 59.7
Reconciliation of Level 3 Assets    
Fair value of plan assets - end of year 70.0 59.7
Level 2 | Active Corporate Bond Funds
   
Fair value of pension assets    
Fair value measurements 52.1 45.6
Reconciliation of Level 3 Assets    
Fair value of plan assets - end of year 52.1 45.6
Level 2 | Diversified Investment Funds
   
Fair value of pension assets    
Fair value measurements 0.3 0.4
Reconciliation of Level 3 Assets    
Fair value of plan assets - end of year 0.3 0.4
Level 3
   
Fair value of pension assets    
Fair value measurements 5.9 5.1
Reconciliation of Level 3 Assets    
Fair value of plan assets - beginning of year 5.1 5.5
Actual return on plan assets 0.4 0.1
Purchases, sales and settlements 0.3 (0.4)
Changes due to exchange rates (0.1) (0.1)
Fair value of plan assets - end of year 5.9 5.1
Level 3 | Diversified Investment Funds
   
Fair value of pension assets    
Fair value measurements 2.8 2.5
Reconciliation of Level 3 Assets    
Fair value of plan assets - beginning of year 2.5 2.8
Actual return on plan assets 0.2  
Purchases, sales and settlements 0.1 (0.3)
Fair value of plan assets - end of year 2.8 2.5
Level 3 | Insurance Contracts
   
Fair value of pension assets    
Fair value measurements 3.1 2.6
Reconciliation of Level 3 Assets    
Fair value of plan assets - beginning of year 2.6 2.7
Actual return on plan assets 0.2 0.1
Purchases, sales and settlements 0.2 (0.1)
Changes due to exchange rates 0.1 (0.1)
Fair value of plan assets - end of year 3.1 2.6