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Fair Value Measurements (Tables)
3 Months Ended
Dec. 31, 2015
Fair Value Measurements [Abstract]  
Schedule of Carrying Value and Fair Values of Financial Instruments
31 December 201530 September 2015
Carrying ValueFair ValueCarrying ValueFair Value
Assets
Derivatives
Forward exchange contracts$163.0$163.0$147.1$147.1
Interest rate management contracts189.6189.6171.8171.8
Liabilities
Derivatives
Forward exchange contracts$90.1$90.1$124.4$124.4
Interest rate management contracts--.8.8
Long-term debt, including current portion4,278.44,570.14,384.74,645.7
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 December 201530 September 2015
TotalLevel 1Level 2Level 3TotalLevel 1Level 2Level 3
Assets at Fair Value
Derivatives
Forward exchange contracts$163.0$ - $163.0$ - $147.1$ - $147.1$ -
Interest rate management contracts189.6 - 189.6 - 171.8 - 171.8 -
Total Assets at Fair Value$352.6$ - $352.6$ - $318.9$ - $318.9$ -
Liabilities at Fair Value
Derivatives
Forward exchange contracts$90.1$ - $90.1$ - $124.4$ - $124.4$ -
Interest rate management contracts- - - - .8 - .8 -
Total Liabilities at Fair Value$90.1$ - $90.1$ - $125.2$ - $125.2$ -