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Fair Value - Recurring Fair Value Measures (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
Sep. 30, 2013
Dec. 31, 2013
Investments [Abstract]          
Cash Equivalents $ 3.7 [1]   $ 3.7 [1]   $ 34.2 [1]
Recurring Fair Value Measurements [Member]
         
Investments [Abstract]          
Available-for-sale - Equity Securities 8.3 [2]   8.3 [2]   7.9 [2]
Available-for-sale - Corporate Debt Securities 10.7 [2]   10.7 [2]   9.8 [2]
Cash Equivalents 3.7 [2]   3.7 [2]   34.2 [2]
Total Fair Value of Assets 22.7   22.7   51.9
Liabilities [Abstract]          
Deferred Compensation 16.2 [3]   16.2 [3]   16.8 [3]
Derivatives - Interest Rate Swap 0.4 [4]   0.4 [4]   0.6 [5]
Total Fair Value of Liabilities 16.6   16.6   17.4
Total Net Fair Value of Assets (Liabilities) 6.1   6.1   34.5
Fair Value Hierarchy Transfers, All Levels 0 0 0 0  
Recurring Fair Value Measurements [Member] | Level 1 [Member]
         
Investments [Abstract]          
Available-for-sale - Equity Securities 8.3 [2]   8.3 [2]   7.9 [2]
Available-for-sale - Corporate Debt Securities 0 [2]   0 [2]   0 [2]
Cash Equivalents 3.7 [2]   3.7 [2]   34.2 [2]
Total Fair Value of Assets 12.0   12.0   42.1
Liabilities [Abstract]          
Deferred Compensation 0 [3]   0 [3]   0 [3]
Derivatives - Interest Rate Swap 0 [4]   0 [4]   0 [5]
Total Fair Value of Liabilities 0   0   0
Total Net Fair Value of Assets (Liabilities) 12.0   12.0   42.1
Recurring Fair Value Measurements [Member] | Level 2 [Member]
         
Investments [Abstract]          
Available-for-sale - Equity Securities 0 [2]   0 [2]   0 [2]
Available-for-sale - Corporate Debt Securities 10.7 [2]   10.7 [2]   9.8 [2]
Cash Equivalents 0 [2]   0 [2]   0 [2]
Total Fair Value of Assets 10.7   10.7   9.8
Liabilities [Abstract]          
Deferred Compensation 16.2 [3]   16.2 [3]   16.8 [3]
Derivatives - Interest Rate Swap 0.4 [4]   0.4 [4]   0.6 [5]
Total Fair Value of Liabilities 16.6   16.6   17.4
Total Net Fair Value of Assets (Liabilities) (5.9)   (5.9)   (7.6)
Recurring Fair Value Measurements [Member] | Level 3 [Member]
         
Investments [Abstract]          
Available-for-sale - Equity Securities 0 [2]   0 [2]   0 [2]
Available-for-sale - Corporate Debt Securities 0 [2]   0 [2]   0 [2]
Cash Equivalents 0 [2]   0 [2]   0 [2]
Total Fair Value of Assets 0   0   0
Liabilities [Abstract]          
Deferred Compensation 0 [3]   0 [3]   0 [3]
Derivatives - Interest Rate Swap 0 [4]   0 [4]   0 [5]
Total Fair Value of Liabilities 0   0   0
Total Net Fair Value of Assets (Liabilities) 0   0   0
Fair Value Activity in Level 3 $ 0 $ 0 $ 0 $ 0  
[1] During the first quarter of 2014, cash included in Other Investments was transferred to Cash and Cash Equivalents.
[2] Included in Other Investments on the Consolidated Balance Sheet.
[3] Included in Other Non-Current Liabilities on the Consolidated Balance Sheet.
[4] Included in Current Liabilities - Other on the Consolidated Balance Sheet.
[5] Included in Current Liabilities - Other and Other Non-Current Liabilities on the Consolidated Balance Sheet.