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Financing (Tables)
9 Months Ended
Sep. 06, 2014
Debt Disclosure [Abstract]  
Notes and debentures
Notes and debentures were composed of the following at September 6, 2014 and December 28, 2013 (in millions):
 
September 6, 2014
December 28, 2013
Commercial paper
$

$

Bank credit agreement, unsecured


Term credit agreement, unsecured

400.0

Mortgage notes payable, secured
4.9

46.8

5.625% Senior Notes due August 2014, unsecured

250.0

3.40% Senior Notes due 2016, unsecured (See Note N)
80.0

400.0

6.35% Senior Notes due 2017, unsecured (See Note N)
100.0

500.0

5.00% Senior Notes due 2019, unsecured (See Note N)
500.0

500.0

3.95% Senior Notes due 2020, unsecured
500.0

500.0

4.75% Senior Notes due 2021, unsecured
400.0

400.0

7.45% Senior Debentures due 2027, unsecured
150.0

150.0

7.25% Senior Debentures due 2031, unsecured
600.0

600.0

Other notes payable, unsecured
21.7

21.4

 
$
2,356.6

$
3,768.2

Less current maturities
(1.8
)
(252.9
)
Long-term portion
$
2,354.8

$
3,515.3