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Derivatives (Tables)
3 Months Ended
Dec. 29, 2019
Derivative Instruments and Hedging Activities Disclosures [Line Items]  
Schedule Of Fair Value Of Outstanding Derivative Instruments

(in millions)

Line Item

December 29, 2019

September 30, 2019

Derivative Assets

Commodity swaps - designated as hedge

Other receivables

$

0.1 

$

Foreign exchange contracts - designated as hedge

Other receivables

1.1 

7.8 

Foreign exchange contracts - designated as hedge

Deferred charges and other

0.5 

Foreign exchange contracts - not designated as hedge

Other receivables

1.4 

1.2 

Total Derivative Assets

$

2.6 

$

9.5 

Derivative Liabilities

Commodity swaps - designated as hedge

Accounts payable

$

$

0.2 

Foreign exchange contracts - designated as hedge

Accounts payable

1.5 

0.2 

Foreign exchange contracts - designated as hedge

Other long term liabilities

0.5 

Foreign exchange contracts - not designated as hedge

Accounts payable

0.1 

1.9 

Total Derivative Liabilities

$

2.1 

$

2.3 

Cash Flow Hedging [Member]  
Derivative Instruments and Hedging Activities Disclosures [Line Items]  
Schedule Of Commodity Swap Contracts Outstanding

December 29, 2019

September 30, 2019

(in millions, except notional)

Notional

Contract Value

Notional

Contract Value

Brass swap contracts

0.9 Tons

$

4.2 

0.9 Tons

$

4.4 

Summary Of Impact Of Designated Hedges And Gain (Loss)

For the three month periods

Reclassified to

ended December 29, 2019

Gain (Loss)

Reclassified to Continuing Operations

Discontinued

(in millions)

in OCI

Line Item

Gain (Loss)

Operations

Commodity swaps

$

0.2 

Cost of goods sold

$

(0.1)

$

Foreign exchange contracts

0.1 

Net sales

Foreign exchange contracts

(6.5)

Cost of goods sold

2.7 

Total

$

(6.2)

$

2.6 

$

For the three month periods

Reclassified to

ended December 30, 2018

Gain (Loss)

Reclassified to Continuing Operations

Discontinued

(in millions)

in OCI

Line Item

Gain (Loss)

Operations

Interest rate swaps

$

(0.6)

Interest expense

$

$

2.2 

Commodity swaps

(1.1)

Cost of goods sold

(0.1)

(2.6)

Foreign exchange contracts

(0.1)

Net sales

Foreign exchange contracts

7.3 

Cost of goods sold

3.0 

0.5 

Total

$

5.5 

$

2.9 

$

0.1 

Net Investment Hedge [Member]  
Derivative Instruments and Hedging Activities Disclosures [Line Items]  
Summary Of Impact Of Designated Hedges And Gain (Loss)

Three Month Periods Ended

Gain (loss) in OCI (in millions)

December 29, 2019

December 30, 2018

Net investment hedge

$

(4.9)

$

8.9 

Foreign Exchange Contract [Member]  
Derivative Instruments and Hedging Activities Disclosures [Line Items]  
Summary Of Impact Of Derivative Instruments

Three Month Periods Ended

(in millions)

Line Item

December 29, 2019

December 30, 2018

Foreign exchange contracts

Other non-operating expense (income)

$

7.2 

$

(4.3)