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Note 13 - Notes Payable (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Long-term Debt Instruments [Table Text Block]
   
Balance at
12/31/12
   
Interest Rate
Range (Low)
   
Interest Rate
Range (High)
 
Maturity
Date Range
 (Low)
 
Maturity
 Date Range
(High)
Senior Unsecured Notes (c)
  $ 965.9       4.70 %     6.88 %
Jan-2013
 
Oct-2019
Medium Term Notes
    1,144.6       4.30 %     5.78 %
Oct-2013
 
Feb-2018
Unsecured Term Loan
    400.0       1.26 %     1.26 %
Apr-2014
 
Apr-2014
Canadian Notes Payable
    352.4       5.18 %     5.99 %
Aug-2013
 
Apr-2018
Credit Facility (a)
    249.9       1.10 %     1.26 %
Oct-2015
 
Oct-2015
Mexican Term Loan
    76.9       8.58 %     8.58 %
Mar-2013
 
Mar-2013
Other Notes Payable (b)
    2.4       5.50 %     5.50 %
Jan-2013
 
Sept-2013
    $ 3,192.1                        
   
Balance at
12/31/11
   
Interest Rate
Range (Low)
   
Interest Rate
 Range (High)
 
Maturity
 Date Range
(Low)
 
Maturity
Date Range
 (High)
Senior Unsecured Notes
  $ 1,164.8       4.70 %     6.88 %
Nov-2012
 
Oct-2019
Medium Term Notes
    1,161.6       4.30 %     5.98 %
July-2012
 
Feb-2018
Canadian Notes Payable
    342.6       5.18 %     5.99 %
Aug-2013
 
Apr-2018
Credit Facilities (a)
    238.9       1.35 %     1.35 %
Oct-2015
 
Oct-2015
Mexican Term Loan
    71.5       8.58 %     8.58 %
Mar-2013
 
Mar-2013
Other Notes Payable (b)
    4.5       3.80 %     3.80 %
Sept-2012
 
Sept-2012
    $ 2,983.9                        
Schedule of Debt [Table Text Block]
Type
 
Date
 Issued
 
Amount
 Repaid
   
Interest Rate
   
Maturity
Date
 
Date
 Paid
MTN
 
July-02
  $ 17.0       5.98 %  
July-12
 
July-12
Senior Note
 
Nov-02
  $ 198.9       6.00 %  
Nov-12
 
Nov-12
MTN
 
Aug-04
  $ 88.0       4.82 %  
Aug-11
 
Aug-11