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Employee Benefit Plans (Details 13) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Assets Category:    
Fair value $ 302.8 $ 276.8
NAV [Member]
   
Assets Category:    
Fair value 294.6 272.3
Commingled Pools / Collective Trusts [Member] | U.S. equity [Member]
   
Assets Category:    
Fair value 100.1 36.7 [1]
Redemption Frequency (if currently eligible) Daily [1] Daily [1]
Redemption Notice Period 5 days [1] 5 days [1]
Commingled Pools / Collective Trusts [Member] | International equity [Member]
   
Assets Category:    
Fair value 70.8 [2] 60.3 [2]
Redemption Frequency (if currently eligible) Daily [2] Daily [2]
Redemption Notice Period 5 days [2] 5 days [2]
Commingled Pools / Collective Trusts [Member] | Fixed income [Member]
   
Assets Category:    
Fair value 89.4 [3] 85.3 [3]
Redemption Frequency (if currently eligible) Daily [3] Daily [3]
Redemption Notice Period 5-15 days [3] 5-15 days [3]
Mutual Funds [Member] | U.S. equity [Member]
   
Assets Category:    
Fair value   47.3 [4]
Mutual Funds [Member] | International equity [Member]
   
Assets Category:    
Fair value   3.9 [4]
Mutual Funds [Member] | Fixed income [Member]
   
Assets Category:    
Fair value   7.8 [5]
Balanced pension trusts [Member] | U.S. equity [Member]
   
Assets Category:    
Fair value 2.5 [6] 2.4 [6]
Redemption Frequency (if currently eligible) Daily [6] Daily [6]
Redemption Notice Period 3-5 days [6] 3-5 days [6]
Balanced pension trusts [Member] | International equity [Member]
   
Assets Category:    
Fair value 8.3 [6] 7.9 [6]
Redemption Frequency (if currently eligible) Daily [6] Daily [6]
Redemption Notice Period 3-5 days [6] 3-5 days [6]
Balanced pension trusts [Member] | Fixed income [Member]
   
Assets Category:    
Fair value 7.2 [6] 6.6 [6]
Redemption Frequency (if currently eligible) Daily [6] Daily [6]
Redemption Notice Period 3-5 days [6] 3-5 days [6]
Pension fund [Member] | U.S. equity [Member]
   
Assets Category:    
Fair value 1.5 [7] 1.3 [7]
Redemption Frequency (if currently eligible) Daily [7] Daily [7]
Redemption Notice Period 7 days [7] 7 days [7]
Pension fund [Member] | International equity [Member]
   
Assets Category:    
Fair value 7.9 [7] 6.7 [7]
Redemption Frequency (if currently eligible) Daily [7] Daily [7]
Redemption Notice Period 7 days [7] 7 days [7]
Pension fund [Member] | Fixed income [Member]
   
Assets Category:    
Fair value $ 6.9 [8] $ 6.1 [8]
Redemption Frequency (if currently eligible) Daily [8] Daily [8]
Redemption Notice Period 7 days [8] 7 days [8]
[1] This category includes investments primarily in U.S. equity securities that include large, mid and small capitalization companies.
[2] This category includes investments primarily in non-U.S. equity securities that include large, mid and small capitalization companies in large developed markets as well as emerging markets equities.
[3] This category includes investments in U.S. investment grade and high yield fixed income securities, non-U.S. fixed income securities and emerging markets fixed income securities.
[4] These funds seek capital appreciation and generally invest in common stocks of U.S. and non-U.S. issuers. They may invest in growth stocks or value stocks.
[5] This fund seeks to provide inflation protection. It currently invests at least 80% of its assets in inflation-indexed bonds issued by the U.S. government. It may invest in bonds of any maturity, though the fund typically maintains a dollar-weighted average maturity of 7 to 20 years.
[6] The investment objectives of the fund are to provide long-term capital growth and income by investing primarily in a well-diversified, balanced portfolio of Canadian common stocks, bonds and money market securities. The fund also holds a portion of its assets in U.S. and non-U.S. equities.
[7] This category includes investments in U.S. and non-U.S. equity securities and aims to provide returns consistent with the markets in which it invests and provide broad exposure to countries around the world.
[8] This category includes investments in U.K. government index-linked securities (index-linked gilts) that have maturity periods of 5 years or longer and investment grade corporate bonds denominated in sterling.