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Supplemental Financial Statement Information (Tables)
3 Months Ended
Dec. 31, 2013
Balance Sheet Related Disclosures [Abstract]  
Supplemental Balance Sheet Information [Table Text Block]
 
December 31,
2013
September 30,
2013
Inventories
 
 
Raw materials and supplies
$
95.6

$
95.2

Work in process
122.2

150.2

Finished products
393.8

370.9

Total inventories
$
611.6

$
616.3

Other Current Assets
 
 
Miscellaneous receivables
$
100.9

$
56.7

Deferred income tax benefits
208.8

211.7

Prepaid expenses
108.1

87.5

Value added tax collectible from customers
64.1

57.6

Share option
0.8

7.7

Income taxes receivable
52.0

31.1

Other
26.6

20.9

Total other current assets
$
561.3

$
473.2

Property, Plant and Equipment
 
 
Land
$
45.2

$
39.1

Buildings
300.5

283.9

Machinery and equipment
1,858.9

1,799.2

Construction in progress
83.2

63.7

Total gross property
2,287.8

2,185.9

Accumulated depreciation
(1,440.2
)
(1,430.3
)
Total property, plant and equipment, net
$
847.6

$
755.6

Other Current Liabilities
 
 
Accrued advertising, sales promotion and allowances
$
110.6

$
100.3

Accrued trade allowances
102.7

93.1

Accrued salaries, vacations and incentive compensation
58.6

112.0

Returns reserve
19.8

49.8

2013 restructuring reserve
23.0

20.6

Other
196.9

198.2

Total other current liabilities
$
511.6

$
574.0

Other Liabilities
 
 
Pensions and other retirement benefits
$
332.4

$
315.9

Deferred compensation
174.7

167.8

Deferred income tax liabilities
571.3

541.7

Other non-current liabilities
87.5

86.2

Total other liabilities
$
1,165.9

$
1,111.6


See Note 2 for a summary of the preliminary valuation of assets acquired and liabilities assumed in the feminine care acquisition.