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Long-Term Debt (Schedule Of Long-Term-Debt) (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2011
Dec. 31, 2010
Dec. 15, 2009
Total debt $ 1,048.9 $ 985.5  
Less current maturities 156.3 [1] 121.0 [1]  
Long-term debt 892.6 [1] 864.5 [1]  
Senior Floating Rate Notes [Member]
     
Interest rate 3.00% 2.70%  
Maturity date July 2015 July 2015  
Subordinated Convertible Notes Due 2029 [Member]
     
Total debt 429.5    
Maturity date November 2029 November 2029  
0.875% Convertible Notes Due 2013 [Member]
     
Total debt 355.0    
Interest rate 0.875%    
Maturity date November 2013    
1.00% Senior Convertible Notes Due 2012 [Member]
     
Total debt 10.6    
Interest rate 1.00%   1.00%
Maturity date October 2012 October 2012  
7.125% Senior Notes Due 2017 [Member]
     
Total debt 200.0 200.0  
Interest rate 7.125% 7.125%  
Maturity date April 2017 April 2017  
North America [Member] | Revolving Credit Facility [Member]
     
Credit facilities 34.9 0  
Interest rate 2.90% 0.00%  
Europe And Mediterranean [Member]
     
Credit facilities 27.4 38.1  
Maturity date Various Various  
Europe And Mediterranean [Member] | Other Debt [Member]
     
Credit facilities 11.5 15.3  
Europe And Mediterranean [Member] | Spanish Term Loan [Member]
     
Total debt 31.4 [2] 50.1 [2]  
Europe And Mediterranean [Member] | Credit Facilities [Member]
     
Credit facilities 27.4 38.1  
Europe And Mediterranean [Member] | Uncommitted Accounts Receivable Facilities [Member]
     
Credit facilities 2.1 0  
Maturity date Various Various  
ROW Credit Facilities [Member] | Credit Facilities [Member]
     
Credit facilities 118.0 79.1  
Parent Company [Member]
     
Total debt 823.6 802.9  
Less current maturities 10.1 0  
Long-term debt 813.5 802.9  
Parent Company [Member] | Subordinated Convertible Notes Due 2029 [Member]
     
Debt discount   (265.6)  
Parent Company [Member] | 0.875% Convertible Notes Due 2013 [Member]
     
Debt discount   (59.5)  
Parent Company [Member] | Other Debt [Member]
     
Total debt   9.0  
Parent Company [Member] | 1.00% Senior Convertible Notes Due 2012 [Member]
     
Debt discount   (1.1)  
Parent Company [Member] | North America [Member] | Senior Floating Rate Notes [Member]
     
Total debt 125.0 125.0  
Parent Company [Member] | North America [Member] | Subordinated Convertible Notes Due 2029 [Member]
     
Debt discount (264.4) (265.6)  
Total debt 429.5 429.5  
Parent Company [Member] | North America [Member] | 0.875% Convertible Notes Due 2013 [Member]
     
Debt discount (40.6) (59.5)  
Total debt 355.0 355.0  
Parent Company [Member] | North America [Member] | Other Debt [Member]
     
Total debt 9.0 9.0  
Parent Company [Member] | North America [Member] | 1.00% Senior Convertible Notes Due 2012 [Member]
     
Debt discount (0.5) (1.1)  
Total debt 10.6 10.6  
Parent Company [Member] | North America [Member] | 7.125% Senior Notes Due 2017 [Member]
     
Interest rate 7.125%    
Parent Company [Member] | North America [Member] | Revolving Credit Facility [Member]
     
Credit facilities $ 34.9 $ 0  
[1] See Note 22 - Restatement of Consolidated Financial Statements
[2] The terms of the Spanish Term Loans are as follows:(in millions) Original Amount Issuance Date Maturity Date Interest rate Loan and Interest payableInterest rate Swap (2)Term Loan 1 20.0 Euros Feb 2008 Feb 2013 Euribor +0.5% Semi-annual: Aug and Feb4.20%Term Loan 2 10.0 Euros Apr 2008 Apr 2013 Euribor +0.75% Semi-annual: Apr and Oct4.58%Term Loan 3 21.0 Euros Jun 2008 Jun 2013 Euribor +0.75% Quarterly: Mar, Jun, Sept and Dec4.48%Term Loan 4 15.0 Euros Sept 2009 Aug 2014 Euribor +2.0% Quarterly: Mar, Jun, Sept and DecPrincipal payments: Feb and Aug1.54%