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Fair Value Of Financial Instruments (Tables)
6 Months Ended
Mar. 29, 2020
Fair Value Of Financial Instruments [Abstract]  
Schedule Of Carrying Values And Fair Values For Financial Instruments

March 29, 2020

September 30, 2019

Carrying

Carrying

(in millions)

Level 1

Level 2

Level 3

Fair Value

Amount

Level 1

Level 2

Level 3

Fair Value

Amount

Investments

$

134.0 

$

$

$

134.0 

$

134.0 

$

230.8 

$

$

$

230.8 

$

230.8 

Derivative Assets

13.7 

13.7 

13.7 

9.5 

9.5 

9.5 

Derivative Liabilities

1.4 

1.4 

1.4 

2.3 

2.3 

2.3 

Debt - SBH

2,864.1 

2,864.1 

3,012.4 

2,468.8 

2,468.8 

2,351.3 

Debt - SB/RH

2,787.0 

2,787.0 

2,936.4 

2,391.8 

2,391.8 

2,276.0 

Summary Of Income Recognized From Equity Investments

Three month period ended

Six month period ended

(in millions)

March 29, 2020

March 31, 2019

March 29, 2020

March 31, 2019

Unrealized loss on equity investments held

$

(84.5)

$

(5.0)

$

(53.3)

$

(5.0)

Realized loss on equity investments sold

(22.3)

(15.0)

Loss on equity investments

(106.8)

(5.0)

(68.3)

(5.0)

Dividend income from equity investments

1.6 

1.6 

3.2 

1.6 

Loss from equity investments

$

(105.2)

$

(3.4)

$

(65.1)

$

(3.4)