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Derivatives And Risk Management (Tables)
12 Months Ended
Dec. 31, 2013
Derivatives And Risk Management [Abstract]  
Schedule Of Net Outstanding Notional Amount Of Derivative Activity
Long (Short) Positions by Currency (in USD)
December 31, 2013
CAD/USD
$
18.5
MXN/USD
 
17.1
CNY/USD
 
(15.2
)
Other, net
 
0.6
Total
$
21.0
 
Long (Short) Positions by Currency (in USD)
December 31, 2012
EUR/USD
$
(76.5
)
CAD/USD
 
32.9
ZAR/USD
 
12.1
Other, net
 
(19.6
)
Total
$
(51.1
)
Schedule Of Net Derivative Assets (Liabilities) Recorded At Fair Value
 
Net Asset Position
 
Net (Liability) Position
Foreign Exchange Contracts
2013
2012
 
2013
2012
Gross liability position
$
(0.5
)$
(0.1
$
(0.4
)$
(0.8
)
Gross asset position
 
0.6
 
0.3
 
 
0.2
 
0.2
Net asset (liability) position (1)
 
0.1
 
0.2
 
 
(0.2
(0.6
)
Gross amounts not offset (2)
 
-
 
-
 
 
-
 
-
Net amounts
$
0.1
$
0.2
 
$
(0.2
)$
(0.6
)
 
(1) Amounts presented in the Consolidated Statements of Financial Position
(2) Amounts not offset in the Consolidated Statements of Financial Position
Schedule Of (Gains) And Losses Related To Derivative Instruments Qualifying And Designated As Hedging Instruments In Fair Value Hedges
 
Recorded in Cost of revenue*
 
Recorded in Other expense (income), net
Fair Value Hedging Relationships
2013
2012
2011
 
2013
2012
2011
Foreign Exchange Contracts
$
(2.8
)$
2.0
$
0.1
 
$
1.7
$
(3.6
)$
(1.5
)
Underlying
 
15.2
 
3.6
 
6.2
 
 
(1.3
1.5
 
(0.5
)
Total
$
12.4
$
5.6
$
6.3
 
$
0.4
$
(2.1
)$
(2.0
)
 
* Gains and losses recorded in Cost of revenue are included in Product on the Consolidated Statements of Earnings