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Derivative Instruments and Hedging Activities (Tables)
12 Months Ended
Dec. 31, 2015
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Derivative Instruments Designated as Fair Value Hedges

Derivative instruments designated as fair value hedges had the following effects on our consolidated statements of earnings (in millions):

 

            Gain /(Loss) on Instrument     Gain /(Loss) on Hedged Item  

Derivative Instrument

  

Location on Statement of Earnings

     Year Ended December 31,     Year Ended December 31,  
      2015      2014     

2013

    2015     2014     2013  

Interest rate swaps

     Interest expense       $ 2.8       $ 14.7       $ (24.6   $ (2.8   $ (14.7   $ 24.6   
Gross Unrealized Losses from Derivative Instruments

Derivative instruments designated as cash flow hedges had the following effects, before taxes, on OCI and net earnings on our consolidated statements of earnings, consolidated statements of comprehensive income and consolidated balance sheets (in millions):

 

     Amount of Gain / (Loss)
Recognized in OCI
         Amount of Gain / (Loss)
Reclassified from OCI
 
     Year Ended December 31,          Year Ended December 31,  
Derivative Instrument    2015     2014     2013     Location on Statement of Earnings    2015     2014      2013  

Foreign exchange forward contracts

   $ 97.4      $ 119.8      $ 63.9      Cost of products sold    $ 122.3      $ 33.3       $ 8.0   

Foreign exchange options

                   (0.3   Cost of products sold                     (0.2

Forward starting interest rate swaps

     (38.3     (59.3          Interest expense      (1.3               

 

   

 

 

   

 

 

      

 

 

   

 

 

    

 

 

 
   $ 59.1      $ 60.5      $ 63.6         $ 121.0      $ 33.3       $ 7.8   

 

   

 

 

   

 

 

      

 

 

   

 

 

    

 

 

 

Derivative Instruments Not Designated as Hedging Instruments

The following gains from these derivative instruments were recognized on our consolidated statements of earnings (in millions):

 

Derivative Instrument

   Location on    Year Ended December 31,  
   Statement of Earnings    2015      2014      2013  

Foreign exchange forward contracts

   Other expense, net    $ 28.8       $ 15.3       $   

Fair Value of Derivative Instruments on Gross Basis

The fair value of derivative instruments on a gross basis is as follows (in millions):

 

    

As of December 31, 2015

    

As of December 31, 2014

 
      Balance Sheet Location   

Fair

Value

     Balance Sheet Location   

Fair

Value

 

Asset Derivatives

           

Foreign exchange forward contracts

   Other current assets    $ 100.5       Other current assets    $ 98.7   

Foreign exchange forward contracts

   Other assets      19.8       Other assets      53.1   

Interest rate swaps

   Other assets      26.8       Other assets      24.0   

 

  

 

 

       

 

 

 

Total asset derivatives

      $ 147.1          $ 175.8   

 

  

 

 

       

 

 

 

Liability Derivatives

           

Foreign exchange forward contracts

   Other current liabilities    $ 16.7       Other current liabilities    $ 16.4   

Forward starting interest rate swaps

   Other current liabilities            Other current liabilities      59.3   

Foreign exchange forward contracts

   Other long-term liabilities      8.3       Other long-term liabilities      11.6   

 

  

 

 

       

 

 

 

Total liability derivatives

      $ 25.0          $ 87.3   

 

  

 

 

       

 

 

 

Schedule of Effects of Master Netting Agreements on Consolidated Balance Sheets

The table below presents the effects of our master netting agreements on our consolidated balance sheets (in millions):

 

            As of December 31, 2015      As of December 31, 2014  
Description    Location      Gross
Amount
     Offset      Net Amount
in Balance
Sheet
     Gross
Amount
     Offset      Net Amount
in Balance
Sheet
 

Asset Derivatives

                    

Cash flow hedges

     Other current assets       $ 100.5       $ 16.3       $ 84.2       $ 98.7       $ 15.9       $ 82.8   

Cash flow hedges

     Other assets         19.8         7.1         12.7         53.1         10.4         42.7   

Liability Derivatives

                    

Cash flow hedges

     Other current liabilities         16.7         16.3         0.4         16.4         15.9         0.5   

Cash flow hedges

     Other long-term liabilities         8.3         7.1         1.2         11.6         10.4         1.2