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Note 12 - Notes Payable (Tables)
12 Months Ended
Dec. 31, 2013
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments [Table Text Block]
   

Balance at 12/31/13

   

Interest Rate Range (Low)

   

Interest Rate Range (High)

 

Maturity Date Range (Low)

 

Maturity Date Range (High)

Senior Unsecured Notes

  $ 1,140.9       3.13%       6.88%  

Jun-2014

 

Jun-2023

Medium Term Notes

    1,044.6       4.30%       5.78%  

Jun-2014

 

Feb-2018

U.S. Term Loan (d)

    400.0    

(a)

   

(a)

 

Apr-2014

 

Apr-2014

Canadian Notes Payable

    329.5       3.86%       5.99%  

Apr-2018

 

Aug-2020

Credit Facility

    194.5    

(a)

   

(a)

 

Oct-2015

 

Oct-2015

Mexican Term Loan

    76.5    

(c)

   

(c)

 

Mar-2018

 

Mar-2018

    $ 3,186.0                        
   

Balance at 12/31/12

   

Interest Rate Range (Low)

   

Interest Rate Range (High)

 

Maturity Date Range (Low)

 

Maturity Date Range (High)

Senior Unsecured Notes

  $ 965.9       4.70%       6.88%    

Jan-2013

 

Oct-2019

Medium Term Notes

    1,144.6       4.30%       5.78%    

Oct-2013

 

Feb-2018

U.S. Term Loan     400.0     (a)     (a)   Apr-2014   Apr-2014

Canadian Notes Payable

    352.4       5.18%       5.99%    

Aug-2013

 

Apr-2018

Credit Facility     249.9     (a)     (a)   Oct-2015   Oct-2015

Mexican Term Loan

    76.9       8.58%       8.58%    

Mar-2013

 

Mar-2013

Other Notes Payable     2.4     (b)     (b)   Jan-2013   Sept-2013
    $ 3,192.1                          
Schedule of Debt [Table Text Block]

Type

 

Date Issued

  Amount Repaid    

Interest Rate

   

Maturity Date

 

Date Paid

MTN

 

Oct-03

  $ 100.0       5.19%    

Oct-13

 

Oct-13

Senior Note

 

Oct-06

  $ 75.0       4.70%    

Jun-13

 

Jun-13

Senior Note

 

Oct-06

  $ 100.0       6.125%    

Jan-13

 

Jan-13

Senior Note

 

Nov-02

  $ 198.9       6.00%    

Nov-12

 

Nov-12

MTN

 

July-02

  $ 17.0       5.98%    

July-12

 

July-12