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Fair Value Measurements (Details 6) (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended
Mar. 31, 2013
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Mar. 31, 2012
Dec. 31, 2012
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Commercial Mortgage Loans of Consolidated VIEs
     
Fair Value Option, Quantitative Disclosures      
Fair value of assets for which fair value option was elected $ 77.2   $ 80.3
Contractual principal amounts of assets for which the fair value option was elected 73.8   76.4
Pre-tax gain (loss) due to change in fair value of assets and liabilities for which the fair value option was elected (0.5) (0.8)  
Pre-tax gain (loss) related to instrument-specific credit risk 0 0  
Number of loans which are more than 90 days past due or in nonaccrual status 0   0
Interest income 1.5 1.8  
Obligations of Consolidated VIEs
     
Fair Value Option, Quantitative Disclosures      
Fair value of liabilities for which the fair value option was elected 96.5   85.0
Aggregate unpaid principal amounts of obligations for which the fair value option was elected 184.2   186.8
Pre-tax gain (loss) due to change in fair value of assets and liabilities for which the fair value option was elected (14.2) (16.0)  
Credit risk portion of pre-tax gain (loss) due to change in fair value of liabilities for which the fair value option was elected (14.6) (16.5)  
Interest expense 1.0 1.4  
Equity Method Investment
     
Fair Value Option, Quantitative Disclosures      
Fair value of assets for which fair value option was elected 33.7   33.6
Pre-tax gain (loss) due to change in fair value of assets and liabilities for which the fair value option was elected $ (0.1)