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Fair Value (Tables)
9 Months Ended
Oct. 01, 2011
Fair Value [Abstract] 
Schedule Of Financial Assets And Liabilities At Fair Value
      October 1, 2011      January 1, 2011         

Assets:

        

Investments—Trading Securities

   $ —         $ 56.3         (Level 2

Prepaid Expenses and Other Current Assets:

        

Derivative Currency Contracts

     1.5         7.3         (Level 2

Derivative Commodity Contracts

     3.7         24.9         (Level 2

Other Noncurrent Assets:

        

Derivative Currency Contracts

     0.5         1.4         (Level 2

Derivative Commodity Contracts

     0.2         4.2         (Level 2

Liabilities:

        

Other Accrued Expenses:

        

Derivative Currency Contracts

     10.5         0.1         (Level 2

Derivative Commodity Contracts

     30.9         0.1         (Level 2

Hedging Obligations:

        

Interest Rate Swap

     44.5         39.1         (Level 2

Derivative Currency Contracts

     10.8         0.1         (Level 2

Derivative Commodity Contracts

     1.8         —           (Level 2

Other Noncurrent Liabilities:

        

Deferred Contingent Purchase Price

     25.9         11.0         (Level 3
Schedule Of Changes In Fair Market Value Of Other Noncurrent Liabilities
     Three Months Ended      Nine Months Ended  
     October 1, 2011      October 1, 2011  

Beginning Balance

   $ 25.9       $ 11.0   

Valuation adjustments

     —           (1.8

Acquisitions

     —           16.7   
  

 

 

    

 

 

 

Ending balance

   $ 25.9       $ 25.9