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Financing Obligations (Tables)
12 Months Ended
Dec. 31, 2011
Debt Disclosure [Abstract]  
Schedule of Long-term Debt
Debt obligations consisted of the following:
(In millions)
2011
 
2010
2007 term loan facility due 2012
$

 
$
405.0

Fixed rate Senior Notes due 2021
396.1

 

Five year Credit Agreement expiring 2016
192.3

 

Belgium facility capital lease
20.5

 
22.3

Other
2.0

 
1.4

 
610.9

 
428.7

Less current portion
(195.7
)
 
(1.9
)
Long-term debt
$
415.2

 
$
426.8

Schedule of Short-term Debt
(Dollars in millions)
2011
 
2010
Total short-term borrowings at year-end
$
193.4

 
$

Weighted average interest rate at year-end
3.0
%
 
na

Average short-term borrowings during the year
$
166.1

 
$
125.2

Weighted average interest rate for the year
2.1
%
 
1.6
%
Maximum short-term borrowings during the year
$
425.2

 
$
188.6

Schedule of Maturities of Long-term Debt
Contractual maturities for long-term obligations at December 31, 2011 are summarized by year as follows (in millions):
Year ending:
Amount
December 29, 2012
$
195.7

December 28, 2013
2.1

December 27, 2014
2.1

December 26, 2015
2.0

December 31, 2016
2.1

Thereafter
406.9

Total
$
610.9

Schedule of Capital Lease Obligations
Following is a summary of capital lease obligations at December 31, 2011 and December 25, 2010:
(In millions)
December 31,
2011
 
December 25,
2010
Gross payments
$
25.6

 
$
28.6

Less imputed interest
5.1

 
6.3

Total capital lease obligation
20.5

 
22.3

Less current maturity
1.8

 
1.4

Capital lease obligation - long-term portion
$
18.7

 
$
20.9