XML 49 R28.htm IDEA: XBRL DOCUMENT v2.3.0.15
Corporate Investments And Funds Held For Clients (Tables)
3 Months Ended
Sep. 30, 2011
Corporate Investments And Funds Held For Clients [Abstract] 
Corporate Investments And Funds Held For Clients
                   
        September 30, 2011      
        Gross   Gross      
    Amortized   Unrealized Unrealized      
    Cost   Gains   Losses     Fair Value
Type of issue:                  
Money market securities and other cash                  
equivalents $ 3,390.7 $ - $ -     3,390.7
Available-for-sale securities:                  
U.S. Treasury and direct obligations of                  
U.S. government agencies   6,466.3   277.4   (1.0 )   6,742.7
Corporate bonds   6,297.3   276.5   (6.4 )   6,567.4
Asset-backed securities   375.1   22.8   -     397.9
Commercial mortgage-backed securities   421.5   12.0   -     433.5
Municipal bonds   486.9   30.1   (0.1 )   516.9
Canadian government obligations and                  
Canadian government agency obligations   972.1   33.2   -     1,005.3
Other securities   1,488.5   97.2   (0.3 )   1,585.4
 
Total available-for-sale securities   16,507.7   749.2   (7.8 )   17,249.1
 
Total corporate investments and funds                  
held for clients $ 19,898.4 $ 749.2 $ (7.8 ) $ 20,639.8
 
 
        June 30, 2011      
        Gross   Gross      
    Amortized   Unrealized Unrealized      
    Cost   Gains   Losses     Fair Value
Type of issue:                  
Money market securities and other cash                  
equivalents $ 9,731.8 $ - $ -   $ 9,731.8
Available-for-sale securities:                  
U.S. Treasury and direct obligations of                  
U.S. government agencies   6,558.2   213.0   (12.1 )   6,759.1
Corporate bonds   5,908.6   234.9   (16.9 )   6,126.6
Asset-backed securities   422.4   25.4   -     447.8
Commercial mortgage backed securities   476.6   15.9   -     492.5
Municipal bonds   493.7   23.1   (0.6 )   516.2
Canadian government obligations and                  
Canadian government agency obligations   1,082.0   20.8   (1.3 )   1,101.5
Other securities   1,415.1   72.4   (3.7 )   1,483.8
 
Total available-for-sale securities   16,356.6   605.5   (34.6 )   16,927.5
 
Total corporate investments and funds                  
held for clients $ 26,088.4 $ 605.5 $ (34.6 ) $ 26,659.3
Classification Of Corporate Investments On The Consolidated Balance Sheets
         
    September 30,   June 30,
    2011   2011
 
Corporate investments:        
Cash and cash equivalents $ 1,248.9 $ 1,389.4
Short-term marketable securities   19.1   36.3
Long-term marketable securities   99.7   98.0
Total corporate investments $ 1,367.7 $ 1,523.7
Schedule Of Investment Of Funds Held For Clients
         
    September 30,   June 30,
    2011   2011
 
Funds held for clients:        
Restricted cash and cash equivalents held        
to satisfy client funds obligations $ 2,141.8 $ 8,342.4
Restricted short-term marketable securities held        
to satisfy client funds obligations   2,824.5   3,059.9
Restricted long-term marketable securities held        
to satisfy client funds obligations   14,305.8   13,733.3
Total funds held for clients $ 19,272.1 $ 25,135.6
Available-For-Sale Securities That Have Been In An Unrealized Loss Position
Expected Maturities Of Available-For-Sale Securities
     
Due in one year or less $ 2,843.7
Due after one year to two years   3,157.0
Due after two years to three years   1,705.5
Due after three years to four years   3,790.7
Due after four years   5,752.2
 
Total available-for-sale securities $ 17,249.1