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FAIR VALUE (Tables)
3 Months Ended
Mar. 31, 2019
Fair Value Disclosures [Abstract]  
Fair Value of Assets and Liabilities Measured on a Recurring Basis The following table presents the fair value hierarchy for those assets and liabilities measured at fair value on a recurring basis as of March 31, 2019:
 
Level 1
 
Level 2
 
Total
Assets:
 
 
 
 


Available-for-sale securities
$
3.9

 
$

 
$
3.9

Foreign exchange forward contracts
$

 
$
17.1

 
$
17.1

Total
$
3.9

 
$
17.1

 
$
21.0

Liabilities:


 
 
 
$

Foreign exchange forward contracts
$

 
$
1.9

 
$
1.9

Total
$

 
$
1.9


$
1.9

Summary of Carrying Value and Fair Value of Financial Instruments The net asset (liability) amounts recorded in the balance sheet (carrying amount) and the estimated fair values of our remaining financial instruments at March 31, 2019 and December 31, 2018, respectively, consisted of the following:
 
March 31, 2019
 
December 31, 2018
 
Carrying
Amount
 
Fair
Value
 
Carrying
Amount
 
Fair
Value
Available-for-sale securities
$
3.9

 
$
3.9

 
$
3.8

 
$
3.8

Debt maturing within one year(1)
(425.4
)
 
(433.4
)
 
(12.0
)
 
(12.0
)
Long-term debt(1)
(1,196.4
)
 
(1,207.1
)
 
(1,581.6
)
 
(1,460.2
)
Foreign exchange forward contracts
15.2

 
15.2

 
(5.1
)
 
(5.1
)

(1) The carrying value of debt maturing within one year and long-term debt is presented net of debt issuance costs and includes any related discount or premium and unamortized deferred gains on terminated interest-rate swap agreements, as applicable.