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Pensions And Other Benefit Programs (Schedule Of Net Funded Status) (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
U.S. Defined-Benefit Plans [Member]
     
Defined Benefit Plan Disclosure [Line Items]      
Benefit obligation as of beginning of period $ 2,092.9 $ 1,933.0  
Service cost 16.9 15.7 15.6
Interest cost 79.7 90.7 92.3
Actuarial (gain) loss (159.4) 194.0  
Benefits paid (162.0) (140.5)  
Benefit obligation as of end of period 1,868.1 2,092.9 1,933.0
Fair value of plan assets as of beginning of period 2,072.6 1,941.6  
Actual return on plan assets 63.9 267.5  
Employer contribution 3.9 4.0  
Fair value of plan assets as of end of period 1,978.4 2,072.6 1,941.6
Funded status of the plans 110.3 (20.3)  
U.S. Retiree Health And Life Insurance Plans [Member]
     
Defined Benefit Plan Disclosure [Line Items]      
Benefit obligation as of beginning of period 271.8 297.7  
Service cost 1.2 1.2 2.1
Interest cost 9.7 12.3 14.1
Plan participants' contributions 5.9 6.0  
Plan amendments (0.2)    
Effect of curtailments (0.1)   (8.4)
Actuarial (gain) loss (2.0) (17.4)  
Benefits paid (28.3) (28.9)  
Medicare subsidy receipts 0.2 0.9  
Benefit obligation as of end of period 258.2 271.8 297.7
Fair value of plan assets as of beginning of period        
Employer contribution 22.2 22.0  
Fair value of plan assets as of end of period         
Funded status of the plans (258.2) (271.8)  
Non-U.S. Defined-Benefit Pension Plans [Member]
     
Defined Benefit Plan Disclosure [Line Items]      
Benefit obligation as of beginning of period 405.2 355.9  
Service cost 3.1 2.1 3.6
Interest cost 13.4 15.7 17.9
Plan participants' contributions 0.2 0.2  
Foreign currency translation adjustment 8.7 12.3  
Plan amendments 0.5    
Effects of plan settlements and curtailments (5.7)    
Actuarial (gain) loss 0.1 42.8  
Benefits paid (21.4) (23.8)  
Benefit obligation as of end of period 404.1 405.2 355.9
Fair value of plan assets as of beginning of period 202.5 184.0  
Actual return on plan assets 14.9 16.7  
Employer contribution 21.8 17.9  
Foreign currency translation adjustment 2.4 7.5  
Fair value of plan assets as of end of period 220.4 202.5 184.0
Funded status of the plans $ (183.7) $ (202.7)