XML 48 R61.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurement (Tables)
12 Months Ended
Dec. 31, 2011
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis
 CarryingFair value
 value    
  TotalLevel 1Level 2Level 3
At December 31, 2011$'M$'M$'M$'M$'M
 _________________________________________________________
Financial assets:     
Available-for-sale securities(1)7.47.47.4- -
Contingent consideration receivable (2)37.837.8- - 37.8
Foreign exchange contracts3.43.4- 3.4-
      
Financial liabilities:     
Foreign exchange contracts0.40.4- 0.4-
 _________________________________________________________
      
   
      
  TotalLevel 1Level 2Level 3
At December 31, 2010$'M$'M$'M$'M$'M
 _________________________________________________________
Financial assets:     
Available-for-sale securities(1)83.983.983.9- -
Contingent consideration receivable (2)61.061.0- - 61.0
Foreign exchange contracts3.73.7- 3.7-
      
Financial liabilities:     
Foreign exchange contracts2.72.7- 2.7-
 _________________________________________________________
Assets Measured at Fair Value on a Recurring Basis Using Significant Unobervable Inputs (Level 3)
 Contingent consideration receivable
 2011
 $'M
 ____________
  
Balance at January 1,61.0
Loss recognized in the income statement due to change in fair value during the period(6.0)
Reclassification of amounts due from Noven to Other receivables within Other current assets (16.5)
Foreign exchange translation recorded to other comprehensive income(0.7)
  
Balance at December 31,37.8
Schedule of Fair Value, Assets and Liabilities Not Measured at Fair Value on Recurring Basis
  December 31, 2011 December 31, 2010
  Carrying  Carrying 
  amountFair value amountFair value
  $’M$’M $’M$’M
  ________________________ _______________________
       
Financial liabilities:      
Convertible bonds 1,100.01,309.7 1,100.01,139.8
Building financing obligation 8.29.7 8.48.2
  ________________________ _______________________