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Borrowings (Details) (USD $)
3 Months Ended 6 Months Ended
Jun. 30, 2013
Jun. 30, 2012
Jun. 30, 2013
Jun. 30, 2012
Dec. 31, 2012
Interest expense and interest income [Abstract]          
Interest expense $ 31,041,000 $ 31,473,000 $ 61,913,000 $ 63,111,000  
Interest income (761,000) (1,758,000) (1,389,000) (3,365,000)  
Interest expense, net 30,280,000 29,715,000 60,524,000 59,746,000  
Short-term borrowings [Abstract]          
Current installments 3,581,000   3,581,000   3,266,000
Commercial Paper 662,200,000   662,200,000   607,500,000
Debt, Current 665,781,000   665,781,000   610,766,000
Long-term borrowings [Abstract]          
Carrying amount of long-term debt 2,193,392,000   2,193,392,000   2,192,616,000
Long-term debt (noncurrent) 2,189,811,000   2,189,811,000   2,189,350,000
Line of Credit Facility [Abstract]          
Line of Credit Facility, Covenant Terms     Under the credit facility, the Company is required to maintain an interest coverage ratio of EBITDA to consolidated net interest expense of not less than 3.0 to 1.    
Line of Credit Facility, Covenant Compliance     The Company was in compliance with this covenant and its other long-term debt covenants at June 30, 2013, and it expects to remain in compliance with all of its debt covenants.    
Note due 2015 [Member]
         
Long-term borrowings [Abstract]          
Long-term debt 299,540,000   299,540,000   299,441,000
Debt instruments, maturity date     Oct. 15, 2015    
Debt instrument, stated interest rate (in hundredths) 4.875%   4.875%    
Term of debt instrument (in years)     10 years    
Note due 2018 [Member]
         
Long-term borrowings [Abstract]          
Long-term debt 348,433,000   348,433,000   348,268,000
Debt instruments, maturity date     Mar. 15, 2018    
Debt instrument, stated interest rate (in hundredths) 5.45%   5.45%    
Term of debt instrument (in years)     10 years    
Note due 2021 [Member]
         
Long-term borrowings [Abstract]          
Long-term debt 449,800,000   449,800,000   449,787,000
Debt instruments, maturity date     Mar. 01, 2021    
Debt instrument, stated interest rate (in hundredths) 4.30%   4.30%    
Term of debt instrument (in years)     10 years    
Note due 2038 [Member]
         
Long-term borrowings [Abstract]          
Long-term debt 247,815,000   247,815,000   247,771,000
Debt instruments, maturity date     Mar. 15, 2038    
Debt instrument, stated interest rate (in hundredths) 6.60%   6.60%    
Term of debt instrument (in years)     30 years    
Note due 2041 [Member]
         
Long-term borrowings [Abstract]          
Long-term debt 345,591,000   345,591,000   345,511,000
Debt instruments, maturity date     Mar. 01, 2041    
Debt instrument, stated interest rate (in hundredths) 5.375%   5.375%    
Term of debt instrument (in years)     30 years    
Debentures due 2028 [Member]
         
Long-term borrowings [Abstract]          
Long-term debt 199,466,000   199,466,000   199,448,000
Debt instruments, maturity date     Jun. 01, 2028    
Debt instrument, stated interest rate (in hundredths) 6.65%   6.65%    
Term of debt instrument (in years)     30 years    
Debenture due 2035 [Member]
         
Long-term borrowings [Abstract]          
Long-term debt 296,446,000   296,446,000   296,367,000
Debt instruments, maturity date     Oct. 15, 2035    
Debt instrument, stated interest rate (in hundredths) 5.375%   5.375%    
Term of debt instrument (in years)     30 years    
Other long term debt instruments [Member]
         
Long-term borrowings [Abstract]          
Long-term debt 6,301,000   6,301,000   6,023,000
Credit Agreement [Member]
         
Line of Credit Facility [Abstract]          
Line of Credit Facility, Expiration Date     Nov. 10, 2016    
Unsecured revolving credit facility, maximum borrowing capacity $ 1,000,000,000   $ 1,000,000,000