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Derivative Instruments and Hedging Activities (Tables)
6 Months Ended
Jun. 30, 2011
Derivative Instruments and Hedging Activities [Abstract]  
Derivative instruments designated as fair value hedges
                                                                         
        Gain on Instrument   Loss on Hedged Item
        Three Months
  Six Months
  Three Months
  Six Months
        Ended
  Ended
  Ended
  Ended
    Location on
  June 30,   June 30,   June 30,   June 30,
Derivative Instrument   Statement of Earnings   2011   2010   2011   2010   2011   2010   2011   2010
 
Interest rate swaps
    Interest expense, net     $ 7.1     $     $ 4.0     $     $ (7.1 )   $     $ (4.0 )   $  
Gross unrealized losses from derivative instruments
                                                                     
    Amount of
        Amount of
 
    Gain/(Loss)
        Gain/(Loss)
 
    Recognized in OCI         Reclassified from OCI  
    Three Months
    Six Months
        Three Months
    Six Months
 
    Ended
    Ended
        Ended
    Ended
 
    June 30,     June 30,     Location on
  June 30,     June 30,  
Derivative Instrument   2011     2010     2011     2010     Statement of Earnings   2011     2010     2011     2010  
 
Foreign exchange forward contracts
  $ (16.0 )   $ 28.3     $ (74.1 )   $ 58.9     Cost of products sold   $ (12.2 )   $ 8.0     $ (17.4 )   $ 7.6  
Foreign exchange options
    2.8             3.7           Cost of products sold                        
Cross-currency interest rate swaps
    (0.8 )           0.2           Interest expense, net     (0.5 )           (3.5 )      
                                                                     
    $ (14.0 )   $ 28.3     $ (70.2 )   $ 58.9         $ (12.7 )   $ 8.0     $ (20.9 )   $ 7.6  
                                                                     
Gains/(losses) from derivative instruments recognized in cost of products sold
                                         
        Three Months Ended
  Six Months Ended
    Location on
  June 30,   June 30,
Derivative Instrument   Statement of Earnings   2011   2010   2011   2010
 
Foreign exchange forward contracts
    Cost of products sold     $ 1.3     $ 11.1     $ (13.7 )   $ 18.3  
Fair value of derivative instruments on gross basis
                     
    June 30, 2011     December 31, 2010
    Balance
        Balance
   
    Sheet
  Fair
    Sheet
  Fair
    Location   Value     Location   Value
 
Asset Derivatives
                   
Foreign exchange forward contracts
  Other current assets   $ 27.1     Other current assets   $32.2
Foreign exchange options
  Other current assets     1.8     Other current assets   0.4
Foreign exchange forward contracts
  Other assets     5.8     Other assets   11.6
Foreign exchange options
  Other assets     4.6     Other assets   2.3
Interest rate swaps
  Other assets     5.5     Other assets   1.5
                     
Total asset derivatives
      $ 44.8         $48.0
                     
Liability Derivatives
                   
Foreign exchange forward contracts
  Other current liabilities   $ 66.3     Other current liabilities   $37.6
Cross-currency interest rate swaps
  Other current liabilities     3.3     Other current liabilities  
Foreign exchange forward contracts
  Other long-term liabilities     28.1     Other long-term liabilities   14.4
                     
Total liability derivatives
      $ 97.7         $52.0