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DEBT (Details) - USD ($)
$ in Millions
1 Months Ended 2 Months Ended 12 Months Ended
Sep. 30, 2012
Apr. 30, 2007
May. 31, 2003
May. 31, 2015
Jun. 30, 2015
Jun. 30, 2014
Aug. 14, 2015
Current and long-term debt and available financing              
Current and long-term debt         $ 1,637.3 $ 1,343.1  
Less current debt including current maturities         (29.8) (18.4)  
Long-term debt, excluding current maturities         1,607.5 1,324.7  
Available financing, committed         1,000.0    
Available financing, uncommitted         1,313.0    
4.375% Senior Notes, due June 15, 2045 ("2045 Senior Notes")              
Current and long-term debt and available financing              
Current and long-term debt         $ 294.0    
Interest rate, stated percentage         4.375%    
Debt issuance price (as a percent)         97.999%    
Yield or effective interest rate (as a percent)         4.497%    
Principal amount         $ 300.0    
Unamortized debt discount         (6.0)    
4.375% Senior Notes, due June 15, 2045 ("2045 Senior Notes") | Interest rate swap contracts              
Current and long-term debt and available financing              
Yield or effective interest rate (as a percent)       4.216%      
Notional amount       $ 300.0      
Weighted-average all-in rate (as a percent)       2.38%      
Gain (loss) on derivative instruments recognized in other comprehensive income       $ 17.5      
3.70% Senior Notes due August 15, 2042 ("2042 Senior Notes")              
Current and long-term debt and available financing              
Current and long-term debt         $ 249.0 249.0  
Interest rate, stated percentage         3.70%    
Debt issuance price (as a percent)         99.567%    
Yield or effective interest rate (as a percent)         3.724%    
Principal amount         $ 250.0    
Unamortized debt discount         (1.0)    
6.00% Senior Notes, due May 15, 2037 ("2037 Senior Notes")              
Current and long-term debt and available financing              
Current and long-term debt         $ 296.6 296.6  
Interest rate, stated percentage         6.00%    
Debt issuance price (as a percent)         98.722%    
Yield or effective interest rate (as a percent)         6.093%    
Principal amount         $ 300.0    
Unamortized debt discount         (3.4)    
6.00% Senior Notes, due May 15, 2037 ("2037 Senior Notes") | Interest rate swap contracts              
Current and long-term debt and available financing              
Yield or effective interest rate (as a percent)   6.181%          
Notional amount   $ 210.0          
Weighted-average all-in rate (as a percent)   5.45%          
Gain (loss) on derivative instruments recognized in other comprehensive income   $ (0.9)          
5.75% Senior Notes, due October 15, 2033 ("2033 Senior Notes")              
Current and long-term debt and available financing              
Current and long-term debt         $ 197.9 197.8  
Interest rate, stated percentage         5.75%    
Debt issuance price (as a percent)         98.645%    
Yield or effective interest rate (as a percent)         5.846%    
Principal amount         $ 200.0    
Unamortized debt discount         (2.1)    
5.75% Senior Notes, due October 15, 2033 ("2033 Senior Notes") | Treasury lock agreements              
Current and long-term debt and available financing              
Yield or effective interest rate (as a percent)     5.395%        
Notional amount     $ 195.0        
Weighted-average all-in rate (as a percent)     4.53%        
Cash received on settlement of derivative     $ 15.0        
2.35% Senior Notes due August 15, 2022 ("2022 Senior Notes")              
Current and long-term debt and available financing              
Current and long-term debt         $ 249.6 249.8  
Interest rate, stated percentage         2.35%    
Debt issuance price (as a percent)         99.911%    
Yield or effective interest rate (as a percent)         2.36%    
Principal amount         $ 250.0    
Unamortized debt discount         (0.2)    
Interest rate swap adjustments         (0.2)    
2.35% Senior Notes due August 15, 2022 ("2022 Senior Notes") | Interest rate swap contracts              
Current and long-term debt and available financing              
Notional amount         250.0    
5.55% Senior Notes, due May 15, 2017 ("2017 Senior Notes")              
Current and long-term debt and available financing              
Current and long-term debt         $ 313.9 321.1  
Interest rate, stated percentage         5.55%    
Debt issuance price (as a percent)         99.845%    
Yield or effective interest rate (as a percent)         5.57%    
Principal amount         $ 300.0    
Unamortized debt discount         (0.1)    
Interest rate swap adjustments         14.0    
7.75% Senior Notes, due November 1, 2013 ("2013 Senior Notes")              
Current and long-term debt and available financing              
Yield or effective interest rate (as a percent) 7.75%            
Repayment of debt $ 230.1            
Redemption price as a percentage of principal amount of debt 108.00%            
Pre-tax expense on the extinguishment of debt $ 19.1            
Call premium on extinguishment of debt 18.6            
Pro-rata write-off of issuance costs and debt discount on the extinguishment of debt $ 0.5            
Commercial paper              
Current and long-term debt and available financing              
Available financing, uncommitted         1,000.0    
Maximum borrowing capacity         1,000.0    
Commercial paper, outstanding amount         0.0   $ 220.0
Loan participation notes              
Current and long-term debt and available financing              
Available financing, uncommitted         150.0    
Other long-term borrowings              
Current and long-term debt and available financing              
Current and long-term debt         6.5 10.4  
Other current borrowings              
Current and long-term debt and available financing              
Current and long-term debt         29.8 18.4  
Available financing, uncommitted         163.0    
Monthly average amount outstanding         $ 15.4 $ 13.7  
Weighted-average interest rate (as a percent)         11.30% 9.20%  
Revolving credit facility              
Current and long-term debt and available financing              
Available financing, committed         $ 1,000.0    
Period of extension of term of revolving credit facility         1 year    
Period for option to extend the facility         1 year    
Revolving Credit Facility, due July 2020              
Current and long-term debt and available financing              
Maximum borrowing capacity         $ 1,000.0    
Amount of borrowings outstanding         0.0    
Maximum borrowing capacity for multi-currency loans         350.0    
Incurred costs to establish facility         1.0    
Annual fee         0.6    
Amount of financial obligation due, which if exceeded and which there is a failure to pay, would result in an event of default and acceleration of the maturity date         $ 150.0    
Revolving Credit Facility, due July 2020 | Federal funds rate              
Current and long-term debt and available financing              
Variable interest rate spread         0.50%