XML 76 R38.htm IDEA: XBRL DOCUMENT v2.4.0.6
Fair Value Measurement (Tables)
9 Months Ended
Sep. 30, 2012
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis
  CarryingFair value
  value    
   TotalLevel 1Level 2Level 3
At September 30, 2012 $'M$'M$'M$'M$'M
  _________________________________________________________
Financial assets:      
Available-for-sale securities(1) 22.422.422.4- -
Contingent consideration receivable (2) 41.041.0- - 41.0
Foreign exchange contracts 1.11.1- 1.1-
       
Financial liabilities:      
Foreign exchange contracts 0.80.8- 0.8-
Contingent consideration payable(3) 133.4133.4- - 133.4
  _________________________________________________________
       
   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 contracts 3.43.4- 3.4-
       
Financial liabilities:      
Foreign exchange contracts 0.40.4- 0.4-
  _________________________________________________________
Assets Measured at Fair Value on a Recurring Basis Using Significant Unobervable Inputs (Level 3)
Contingent consideration receivable 9 months to September 30,
 20122011
 $'M$'M
 ________________________
   
Balance at beginning of period 37.861.0
Gain/(loss) recognized in the income statement (within Gain/(loss) on sale of product rights) due to change in fair value during the period16.5(3.8)
Reclassification of amounts to Other receivables within Other current assets(13.7)(12.0)
Amounts recorded to other comprehensive income (within foreign currency translation adjustments) 0.40.6
   
Balance at end of period41.045.8
   
Liabilities Measured at Fair Value on a Recurring Basis Using Significant Unobervable Inputs (Level 3)
Contingent consideration payable 9 months to September 30,
 20122011
 $'M$'M
 ________________________
   
Balance at beginning of period 1- -
Initial recognition of contingent consideration payable127.8-
Loss recognized in the income statement (within Integration and acquisition costs) due to change in fair value during the period3.3-
Reclassification of amounts to Other current liabilities(6.7)-
Change in fair value during the period with corresponding adjustment to the associated intangible asset9.0-
   
Balance at end of period133.4-
   
Schedule of Fair Value Inputs Assets and Liabilities Quantitative Information
Financial assets:Fair Value at the Measurement Date
    
At September 30, 2012Fair value Valuation Technique Significant unobservable InputsRange
$'M   
_____________________________________________
Contingent consideration receivable ("CCR")41.0Income approach (probability weighted discounted cash flow)• Probability weightings applied to different sales scenarios • Future forecast royalties receivable at relevant contractual royalty rates • Assumed market participant discount rate • 5-45% •$5 million to $183 million • 5.6%
 ________________________________________________
     
Financial liabilities:Fair Value at the Measurement Date
     
At September 30, 2012Fair value Valuation Technique Significant unobservable InputsRange
$'M   
_____________________________________________
Contingent consideration payable133.4Income approach (probability weighted discounted cash flow)• Cumulative probability of milestones being achieved • Assumed market participant discount rate • Periods in which milestones are expected to be achieved • Forecast quarterly royalties payable on net sales of relevant products • 19 to 45% (Weighted average) •7.4 to 9.1% (Weighted average) • 2013 to 2028 •$2.9 to $4.4 million
 ________________________________________________
Schedule of Fair Value, Assets and Liabilities Not Measured at Fair Value on Recurring Basis
  September 30, 2012 December 31, 2011
  Carrying  Carrying 
  amountFair value amountFair value
  $’M$’M $’M$’M
  ________________________ _______________________
       
Financial liabilities:      
Convertible bonds (Level 1) 1,100.01,221.1 1,100.01,309.7
Building financing obligation (Level 3)  8.210.3 8.29.7
  ________________________ _______________________