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Long-Term Debt (Schedule Of 7.125% Senior Notes And Senior Floating Rate Notes) (Details) (North America [Member], USD $)
In Millions, unless otherwise specified
12 Months Ended 0 Months Ended 1 Months Ended 9 Months Ended 12 Months Ended 12 Months Ended 1 Months Ended
Dec. 31, 2012
5.75% Senior Notes due 2022 [Member]
Dec. 31, 2011
5.75% Senior Notes due 2022 [Member]
Sep. 25, 2012
5.75% Senior Notes due 2022 [Member]
Oct. 12, 2012
Senior Unsecured Notes [Member]
Mar. 21, 2007
Senior Unsecured Notes [Member]
Sep. 28, 2012
7.125% Senior Notes Due 2017 [Member]
Dec. 31, 2012
7.125% Senior Notes Due 2017 [Member]
Dec. 31, 2011
7.125% Senior Notes Due 2017 [Member]
Mar. 21, 2007
7.125% Senior Notes Due 2017 [Member]
Dec. 31, 2012
Senior Floating Rate Notes Due 2015 [Member]
Dec. 31, 2011
Senior Floating Rate Notes Due 2015 [Member]
Mar. 21, 2007
Senior Floating Rate Notes Due 2015 [Member]
Mar. 21, 2007
9.5% Senior Notes [Member]
Debt Instrument [Line Items]                          
Debt principal amount     $ 0   $ 325.0   $ 200.0   $ 200.0     $ 125.0  
Face value 600.0           0 200.0   125.0 125.0    
Fair value 619.5           0 198.5   122.7 117.5    
Interest rate 5.75% 5.75% 5.75%       0.00% 7.125%   2.70% 3.00%   9.50%
Extinguishment of debt       207.6                  
Interest payments Semi-Annual: Apr 1 & Oct 1 Semi-Annual: Apr 1 & Oct 1                      
Maturity date October 2022 October 2022       April 2017 April 2017 April 2017   July 2015 July 2015    
Call Option, Beginning Date, year one Oct. 01, 2017           Apr. 01, 2012       Apr. 01, 2009    
Call Option, Beginning Date, year two Oct. 01, 2018           Apr. 01, 2013       Apr. 01, 2010    
Call Option, Beginning Date, year three Oct. 01, 2019           Apr. 01, 2014       Apr. 01, 2011    
Call Option, Beginning Date, year four             Apr. 01, 2015            
Call Option, Percentage, year one 102.875%           103.563%       102.00%    
Call Option, Percentage, year two 101.917%           102.375%       101.00%    
Call Option, Percentage, year three 100.958%           101.188%       100.00%    
Call Option, Percentage, year four             100.00%            
Debt instrument, payment terms             Semi-annually: Apr 1 & Oct 1 Semi-annually: Apr 1 & Oct 1   3-month LIBOR rate plus 2.375% Quarterly: Jan 1, Apr 1, Jul 1 & Oct 1 3-month LIBOR rate plus 2.375% Quarterly: Jan 1, Apr 1, Jul 1 & Oct 1    
Description of variable rate basis                   LIBOR LIBOR    
Basis spread on variable rate                   2.375% 2.375%    
Notes originally issued amount         325.0                
Payment of issuance costs and expenses of related to notes         7.9                
Payments for senior notes                         285.0
Payment for accrued interest related to senior notes                         9.3
Payment for tender fees and the inducement premium related to senior notes                         20.5
Net cash proceeds from notes used for general corporate purposes         $ 2.3