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Fair Value Measurements (Tables)
3 Months Ended
Dec. 31, 2021
Fair Value Disclosures [Abstract]  
Schedule of Carrying Value and Fair Value of Financial Instruments
The carrying values and fair values of financial instruments were as follows:
31 December 202130 September 2021
Carrying ValueFair ValueCarrying ValueFair Value
Assets
Derivatives
Forward exchange contracts$47.4 $47.4 $49.3 $49.3 
Interest rate management contracts37.7 37.7 34.1 34.1 
Liabilities
Derivatives
Forward exchange contracts$71.8 $71.8 $88.8 $88.8 
Interest rate management contracts56.0 56.0 32.7 32.7 
Long-term debt, including current portion and related party7,265.1 7,421.1 7,634.8 7,812.2 
Schedule of Fair Value Assets and Liabilities Measured On Recurring Basis
The table below summarizes assets and liabilities on the consolidated balance sheets that are measured at fair value on a recurring basis:
31 December 202130 September 2021
TotalLevel 1Level 2Level 3TotalLevel 1Level 2Level 3
Assets at Fair Value
Derivatives
Forward exchange contracts$47.4 $— $47.4 $— $49.3 $— $49.3 $— 
Interest rate management contracts37.7 — 37.7 — 34.1 — 34.1 — 
Total Assets at Fair Value$85.1 $— $85.1 $— $83.4 $— $83.4 $— 
Liabilities at Fair Value
Derivatives
Forward exchange contracts$71.8 $— $71.8 $— $88.8 $— $88.8 $— 
Interest rate management contracts56.0 — 56.0 — 32.7 — 32.7 — 
Total Liabilities at Fair Value$127.8 $— $127.8 $— $121.5 $— $121.5 $—