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Fair Value Measurement (Assets and Liabilities Measured at Fair Value on a Recurring Basis Using Significant Unobservable Inputs) (Details) (USD $)
In Millions, unless otherwise specified
9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Change in the Fair Value of Contigent Consideration Receivable    
Balance at beginning of period $ 38.3 $ 37.8
Gain/(loss) recognized in the income statement (within Gain/(loss) on sale of product rights) due to change in fair value during the period 14.6 16.5
Reclassification of amounts due to Other receivables within Other current assets (13.9) (13.7)
Amounts recorded to other comprehensive income (within foreign currency translation adjustments) 0.6 0.4
Balance at end of period 39.6 41.0
Change in the Fair Value of Contigent Consideration Payable    
Balance at beginning of period 136.4 0
Initial recognition of contingent consideration payable 451.4 127.8
Change in fair value during the period with the corresponding adjustment recognized as a loss in the income statement (within Integration and acquisition costs) 28.4 3.3
Reclassification of amounts to Other current liabilities (11.1) (6.7)
Change in fair value during the period with corresponding adjustment to the associated intangible asset (7.3) 9.0
Balance at end of period $ 597.8 $ 133.4