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Derivatives (Tables)
6 Months Ended
Jun. 30, 2011
Derivatives  
Schedule Of Derivative Instruments
          Assets           Liabilities  

Derivatives designated as hedging

instruments

   Balance Sheet Location   

June 30,

2011

    

December 31,

2010

     Balance Sheet Location   

June 30,

2011

    

December 31,

2010

 

Interest rate swaps

   Prepaid expenses and other    $ 6.5       $ 0       Other accrued liabilities    $ 0       $ 0   

Interest rate swaps

   Other noncurrent assets      35.0         42.3       Other noncurrent liabilities      0         0   

Foreign exchange contracts on inventory-related purchases

   Prepaid expenses and other      0.1         1.4       Other accrued liabilities      2.8         2.0   

Foreign exchange contracts on intercompany borrowings

  

Prepaid expenses and

other

     0.4         1.2       Other accrued liabilities      0.2         0   
                       

Total assets

      $ 42.0       $ 44.9       Total liabilities    $ 3.0       $ 2.0   
                       
Schedule Of Pretax Effects Of Derivative Instruments Designated As Fair Value Hedges
Derivatives in fair value relationships   

Location of gain (loss)

recognized in income

         Amount of gain (loss)    
    recognized in income    
 
     

Three Months Ended

June 30,

   

Six Months Ended

June 30,

 
      2011     2010     2011     2010  

Interest rate swaps

     Interest expense, net       $     7.8      $     21.2      $ (0.8   $ 35.6       
           

Fixed-rate debt

     Interest expense, net       $ (7.8   $ (21.2   $     0.8      $   (35.6)       
           
Schedule Of Cash Flow Hedges Reclassified From Accumulated Other Comprehensive Income
Derivatives in cash flow hedging relationships   

Location of gain (loss)

recognized in income

     Amount of gain
(loss)  reclassified
from AOCI into
income
 
     

Three Months Ended

June 30,

   

Six Months Ended

June 30,

 
      2011     2010     2011     2010  

Foreign exchange contracts on inventory-related purchases

     Cost of products sold       $ (3.2   $ (0.1   $ (4.7   $ (0.2)       

Foreign exchange contracts on intercompany borrowings

     Interest expense, net         (0.2     0.1        (0.3     0.2        
           
      $ (3.4   $ 0      $ (5.0   $ 0        
           
Schedule Of Cash Flow Hedges Recognized In Accumulated Other Comprehensive Income
Derivatives in cash flow hedging relationships   

Location of gain (loss)

recognized in income

     Amount of gain
(loss)  recognized
in AOCI
 
     

Three Months Ended

June 30,

    

Six Months Ended

June 30,

 
      2011     2010      2011     2010      

Foreign exchange contracts on inventory-related purchases

     Cost of products sold       $ (1.7   $ 2.6       $ (7.0   $ 2.0        

Foreign exchange contracts on intercompany borrowings

     Interest expense, net         (0.2     3.7         (2.1     6.1        
           
      $ (1.9   $ 6.3       $ (9.1   $ 8.1