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Fair Value Measurements (Tables)
6 Months Ended
Mar. 31, 2014
Fair Value Measurements [Abstract]  
Schedule of Carrying Value and Fair Values of Financial Instruments
   31 March 2014 30 September 2013  
   Carrying ValueFair Value Carrying ValueFair Value  
 Assets              
 Derivatives              
  Forward exchange contracts$ 68.0 $ 68.0  $ 90.5 $ 90.5  
  Interest rate management contracts  49.3   49.3    35.4   35.4  
 Available-for-sale securities              
   Airgas investment              
   Other investments               
 Liabilities              
 Derivatives               
  Forward exchange contracts$ 54.6 $ 54.6  $ 31.7 $ 31.7  
  Interest rate management contracts  7.8   7.8    9.6   9.6  
 Long-term debt, including current portion  5,105.6   5,302.8    5,563.7   5,804.1  
Schedule of Fair Value of Assets and Liabilities
The following table summarizes assets and liabilities measured at fair value on a recurring basis in the consolidated balance sheets:  
                            
   31 March 2014 30 September 2013  
   Total Level 1 Level 2 Level 3 Total Level 1 Level 2 Level 3  
 Assets at Fair Value                         
 Derivatives                         
  Forward exchange contracts$ 68.0 $ - $ 68.0 $ - $ 90.5 $ - $ 90.5 $ -  
  Interest rate management contracts  49.3   -   49.3   -   35.4   -   35.4   -  
 Total Assets at Fair Value$ 117.3 $ - $ 117.3 $ - $ 125.9 $ - $ 125.9 $ -  
 Liabilities at Fair Value                         
 Derivatives                          
  Forward exchange contracts$ 54.6 $ - $ 54.6 $ - $ 31.7 $ - $ 31.7 $ -  
  Interest rate management contracts  7.8   -   7.8   -   9.6   -   9.6   -  
 Total Liabilities at Fair Value$ 62.4 $ - $ 62.4 $ - $ 41.3 $ - $ 41.3 $ -