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Financing (Tables)
6 Months Ended
Jun. 18, 2011
Financing  
Notes And Debentures
     June 18,
2011
    January 1,
2011
 

Commercial paper

   $ 298.9      $ —     

Bank credit agreement

     40.8        —     

Other bank borrowings, unsecured

     2.2        2.4   

Mortgage notes payable, secured

     7.8        11.3   

6.50% Senior Notes due 2011, unsecured

     —          500.0   

5.80% Senior Notes due 2012, unsecured

     800.0        800.0   

3.00% Second Series Notes due 2014, unsecured

     306.1        —     

6.25% Senior Notes due 2014, unsecured

     500.0        500.0   

5.625% Senior Notes due 2014, unsecured

     250.0        250.0   

6.35% Senior Notes due 2017, unsecured

     500.0        500.0   

5.0% Senior Notes due 2019, unsecured

     500.0        500.0   

3.95% Senior Notes due 2020, unsecured

     500.0        500.0   

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

     24.4        24.1   

Interest rate swap fair value adjustment

     9.8        11.6   
                
     4,490.0        4,349.4   

Less current maturities

     (4.9     (505.6
                

Long-term portion

   $ 4,485.1      $ 3,843.8