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Supplemental Guarantor Information HY (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2009
Condensed Consolidating Statements of Operations [Abstract]                        
Revenue, Net $ 374.7 $ 368.2 $ 368.2 $ 362.8 $ 365.3 $ 368.8 $ 367.5 $ 360.8 $ 1,473.9 $ 1,462.4 $ 1,377.0  
Operating costs and expenses                 1,203.8 1,202.9 1,077.7  
Operating income (loss) (57.9) (66.0) (65.2) (81.0) (9.2) (86.3) (77.6) (86.4) (270.1) (259.5) (299.3)  
Interest expense, net                 218.9 215.0 185.2  
Other expense (income), net                 1.7 0.9 0.4  
Income before income taxes                 35.9 43.6 67.2  
Income tax expense (benefit)                 24.7 25.0 38.9  
Net income (9.8) 3.9 4.5 12.6 (30.4) 17.6 13.5 17.9 11.2 18.6 28.3  
Other comprehensive loss                 (0.8) (48.9) (23.9)  
Total comprehensive income/(loss)                 10.4 (30.3) 4.4  
Preferred stock dividends                 10.4 10.4 10.4  
Net income applicable to common shareowners                 0.8 8.2 17.9  
Condensed Consolidating Balance Sheets [Abstract]                        
Cash and cash equivalents 23.6       73.7       23.6 73.7 77.3  
Other current assets 11.6       2.7       11.6 2.7    
Total current assets 303.5       321.0       303.5 321.0    
Property, plant and equipment, net 1,587.4       1,400.5       1,587.4 1,400.5    
Other noncurrent assets 86.3       62.2       86.3 62.2    
Total assets 2,872.4       2,714.7       2,872.4 2,714.7 2,653.6  
Current portion of long-term debt 13.4       13.0       13.4 13.0    
Accounts payable 135.6       133.4       135.6 133.4    
Other current liabilities 40.2       48.1       40.2 48.1    
Total current liabilities 355.4       356.4       355.4 356.4    
Long-term debt, less current portion 2,676.0       2,520.6       2,676.0 2,520.6    
Other noncurrent liabilities 176.5       163.0       176.5 163.0    
Total liabilities 3,570.6       3,429.9       3,570.6 3,429.9    
Total shareowners' deficit (698.2)       (715.2)       (698.2) (715.2) (667.8) (654.6)
Total liabilities and shareowners' deficit 2,872.4       2,714.7       2,872.4 2,714.7    
Statement of Cash Flows [Abstract]                        
Net cash provided by operating activities                 212.7 289.9 300.0  
Capital expenditures                 (367.2) (255.5) (149.7)  
Acquisitions of businesses, net of cash acquired                 0 0 (526.7)  
Proceeds from sale of assets                 1.6 11.5 0  
Other investing activities                 0 (0.7) 0.9  
Net cash used in investing activities                 (371.8) (244.7) (675.5)  
Proceeds from issuance of long-term debt                 525.0 0 2,134.3  
Increase (decrease) in corporate credit and receivables facilities                 52.0 0.4 (85.9)  
Repayment of debt                 (442.4) (11.5) (1,554.5)  
Common stock repurchase                 (0.3) (10.4) (10.0)  
Other financing activites, net                 (2.8) (16.5) (1.6)  
Net cash (used in) provided by financing activities                 109.0 (48.8) 429.8  
Net (decrease) increase in cash and cash equivalents                 (50.1) (3.6) 54.3  
Cash and cash equivalents at beginning of year       73.7       77.3 73.7 77.3 23.0  
Cash and cash equivalents at end of year 23.6       73.7       23.6 73.7 77.3  
Notes guaranteed by subsidiaries [Member]
                       
Condensed Consolidating Statements of Operations [Abstract]                        
Revenue, Net                 1,473.9 1,462.4 1,377.0  
Operating costs and expenses                 1,203.8 1,202.9 1,077.7  
Operating income (loss)                 (270.1) (259.5) (299.3)  
Interest expense, net                 218.9 215.0 185.2  
Other expense (income), net                 15.3 0.9 46.9  
Income before income taxes                 35.9 43.6 67.2  
Income tax expense (benefit)                 24.7 25.0 38.9  
Equity in earnings of subsidiaries net of tax                 0 0 0  
Net income                 11.2 18.6 28.3  
Other comprehensive loss                 (0.8) (48.9) (23.9)  
Total comprehensive income/(loss)                 10.4 (30.3) 4.4  
Preferred stock dividends                 10.4 10.4 10.4  
Net income applicable to common shareowners                 0.8 8.2 17.9  
Condensed Consolidating Balance Sheets [Abstract]                        
Cash and cash equivalents 23.6       73.7       23.6 73.7 77.3  
Receivables, net 199.0       179.4       199.0 179.4    
Other current assets 80.9       67.9       80.9 67.9    
Total current assets 303.5       321.0       303.5 321.0    
Property, plant and equipment, net 1,587.4       1,400.5       1,587.4 1,400.5    
Goodwill and intangibles net 487.4       507.5       487.4 507.5    
Investments in and advances to subsidiaries 0       0       0 0    
Other noncurrent assets 494.1       485.7       494.1 485.7    
Total assets 2,872.4       2,714.7       2,872.4 2,714.7    
Current portion of long-term debt 13.4       13.0       13.4 13.0    
Accounts payable 135.6       133.4       135.6 133.4    
Other current liabilities 206.4       210.0       206.4 210.0    
Total current liabilities 355.4       356.4       355.4 356.4    
Intercompany payables 0       0       0 0    
Long-term debt, less current portion 2,676.0       2,520.6       2,676.0 2,520.6    
Other noncurrent liabilities 539.2       552.9       539.2 552.9    
Total liabilities 3,570.6       3,429.9       3,570.6 3,429.9    
Total shareowners' deficit (698.2)       (715.2)       (698.2) (715.2)    
Total liabilities and shareowners' deficit 2,872.4       2,714.7       2,872.4 2,714.7    
Statement of Cash Flows [Abstract]                        
Net cash provided by operating activities                 212.7 289.9 300.0  
Capital expenditures                 (367.2) (255.5) (149.7)  
Acquisitions of businesses, net of cash acquired                     (526.7)  
Proceeds from sale of assets                 1.6 11.5    
Other investing activities                 (6.2) (0.7) 0.9  
Net cash used in investing activities                 (371.8) (244.7) (675.5)  
Funding between Parent and subsidiaries net                 0 0 0  
Proceeds from issuance of long-term debt                 525.0   2,091.7  
Increase (decrease) in corporate credit and receivables facilities                 52.0 0.4 (85.9)  
Repayment of debt                 (442.4) (11.5) (1,554.5)  
Common stock repurchase                 (0.3) (10.4) (10.0)  
Other financing activites, net                 (10.8) (27.3) (11.5)  
Net cash (used in) provided by financing activities                 109.0 (48.8) 429.8  
Net (decrease) increase in cash and cash equivalents                 (50.1) (3.6) 54.3  
Cash and cash equivalents at beginning of year       73.7       77.3 73.7 77.3 23.0  
Cash and cash equivalents at end of year 23.6       73.7       23.6 73.7 77.3  
Notes guaranteed by subsidiaries [Member] | Guarantor Subsidiaries [Member]
                       
Condensed Consolidating Statements of Operations [Abstract]                        
Revenue, Net                 713.4 741.6 707.2  
Operating costs and expenses                 646.5 714.0 634.0  
Operating income (loss)                 (66.9) (27.6) (73.2)  
Interest expense, net                 7.8 9.7 16.6  
Other expense (income), net                 9.1 9.7 8.7  
Income before income taxes                 50.0 8.2 47.9  
Income tax expense (benefit)                 19.2 2.6 11.7  
Equity in earnings of subsidiaries net of tax                 (11.8) 11.1 15.3  
Net income                 19.0 16.7 51.5  
Other comprehensive loss                 0 0 0  
Total comprehensive income/(loss)                 19.0 16.7 51.5  
Preferred stock dividends                 0 0 0  
Net income applicable to common shareowners                 19.0 16.7 51.5  
Condensed Consolidating Balance Sheets [Abstract]                        
Cash and cash equivalents 0.3       0.7       0.3 0.7 0.8  
Receivables, net 1.2       1.2       1.2 1.2    
Other current assets 27.7       22.7       27.7 22.7    
Total current assets 29.2       24.6       29.2 24.6    
Property, plant and equipment, net 220.9       226.6       220.9 226.6    
Goodwill and intangibles net 106.4       108.8       106.4 108.8    
Investments in and advances to subsidiaries 506.4       348.2       506.4 348.2    
Other noncurrent assets 218.5       218.7       218.5 218.7    
Total assets 1,081.4       926.9       1,081.4 926.9    
Current portion of long-term debt 3.9       2.4       3.9 2.4    
Accounts payable 90.2       93.2       90.2 93.2    
Other current liabilities 33.6       45.5       33.6 45.5    
Total current liabilities 127.7       141.1       127.7 141.1    
Intercompany payables 160.0       38.8       160.0 38.8    
Long-term debt, less current portion 88.4       86.9       88.4 86.9    
Other noncurrent liabilities 90.6       66.7       90.6 66.7    
Total liabilities 466.7       333.5       466.7 333.5    
Total shareowners' deficit 614.7       593.4       614.7 593.4    
Total liabilities and shareowners' deficit 1,081.4       926.9       1,081.4 926.9    
Statement of Cash Flows [Abstract]                        
Net cash provided by operating activities                 51.3 120.0 186.9  
Capital expenditures                 (30.2) (31.2) (31.9)  
Acquisitions of businesses, net of cash acquired                     (0.3)  
Proceeds from sale of assets                 0 0    
Other investing activities                 0 0 0.6  
Net cash used in investing activities                 (30.2) (31.2) (31.6)  
Funding between Parent and subsidiaries net                 (16.9) (86.6) (154.2)  
Proceeds from issuance of long-term debt                 0   1.6  
Increase (decrease) in corporate credit and receivables facilities                 0 0 0  
Repayment of debt                 (4.6) (2.3) (2.7)  
Common stock repurchase                 0 0 0  
Other financing activites, net                 0 0 0  
Net cash (used in) provided by financing activities                 (21.5) (88.9) (155.3)  
Net (decrease) increase in cash and cash equivalents                 (0.4) (0.1) 0  
Cash and cash equivalents at beginning of year       0.7       0.8 0.7 0.8 0.8  
Cash and cash equivalents at end of year 0.3       0.7       0.3 0.7 0.8  
Notes guaranteed by subsidiaries [Member] | Non-Guarantor Subsidiaries [Member]
                       
Condensed Consolidating Statements of Operations [Abstract]                        
Revenue, Net                 822.7 774.8 722.1  
Operating costs and expenses                 585.6 522.7 467.0  
Operating income (loss)                 (237.1) (252.1) (255.1)  
Interest expense, net                 46.3 43.5 30.7  
Other expense (income), net                 (5.3) (7.9) (7.0)  
Income before income taxes                 196.1 216.5 231.4  
Income tax expense (benefit)                 73.8 78.8 88.5  
Equity in earnings of subsidiaries net of tax                 0 0 0  
Net income                 122.3 137.7 142.9  
Other comprehensive loss                 0 (0.1) 0  
Total comprehensive income/(loss)                 122.3 137.6 142.9  
Preferred stock dividends                 0 0 0  
Net income applicable to common shareowners                 122.3 137.7 142.9  
Condensed Consolidating Balance Sheets [Abstract]                        
Cash and cash equivalents 19.5       3.4       19.5 3.4 6.7  
Receivables, net 196.8       176.2       196.8 176.2    
Other current assets 50.5       40.8       50.5 40.8    
Total current assets 266.8       220.4       266.8 220.4    
Property, plant and equipment, net 1,366.4       1,173.8       1,366.4 1,173.8    
Goodwill and intangibles net 381.0       398.7       381.0 398.7    
Investments in and advances to subsidiaries 192.5       202.5       192.5 202.5    
Other noncurrent assets 54.1       22.9       54.1 22.9    
Total assets 2,260.8       2,018.3       2,260.8 2,018.3    
Current portion of long-term debt 9.5       10.6       9.5 10.6    
Accounts payable 44.2       39.2       44.2 39.2    
Other current liabilities 86.3       71.3       86.3 71.3    
Total current liabilities 140.0       121.1       140.0 121.1    
Intercompany payables 102.6       580.5       102.6 580.5    
Long-term debt, less current portion 745.9       251.7       745.9 251.7    
Other noncurrent liabilities 229.7       227.1       229.7 227.1    
Total liabilities 1,218.2       1,180.4       1,218.2 1,180.4    
Total shareowners' deficit 1,042.6       837.9       1,042.6 837.9    
Total liabilities and shareowners' deficit 2,260.8       2,018.3       2,260.8 2,018.3    
Statement of Cash Flows [Abstract]                        
Net cash provided by operating activities                 306.2 309.5 167.7  
Capital expenditures                 (337.0) (224.3) (117.8)  
Acquisitions of businesses, net of cash acquired                     (526.4)  
Proceeds from sale of assets                 1.6 0    
Other investing activities                 (6.2) 0 0.3  
Net cash used in investing activities                 (341.6) (224.3) (643.9)  
Funding between Parent and subsidiaries net                 (416.7) (63.7) 578.0  
Proceeds from issuance of long-term debt                 525.0   0  
Increase (decrease) in corporate credit and receivables facilities                 52.0 0.4 (85.9)  
Repayment of debt                 (85.8) (9.2) (11.3)  
Common stock repurchase                 0 0 0  
Other financing activites, net                 0 (16.0) 0  
Net cash (used in) provided by financing activities                 51.5 (88.5) 480.8  
Net (decrease) increase in cash and cash equivalents                 16.1 (3.3) 4.6  
Cash and cash equivalents at beginning of year       3.4       6.7 3.4 6.7 2.1  
Cash and cash equivalents at end of year 19.5       3.4       19.5 3.4 6.7  
Notes guaranteed by subsidiaries [Member] | Consolidation, Eliminations [Member]
                       
Condensed Consolidating Statements of Operations [Abstract]                        
Revenue, Net                 (62.2) (57.4) (57.8)  
Operating costs and expenses                 (62.2) (57.4) (57.8)  
Operating income (loss)                 0 0 0  
Interest expense, net                 0 0 0  
Other expense (income), net                 0 0 0  
Income before income taxes                 0 0 0  
Income tax expense (benefit)                 0 0 0  
Equity in earnings of subsidiaries net of tax                 (141.3) (154.4) (194.4)  
Net income                 (141.3) (154.4) (194.4)  
Other comprehensive loss                 0 0 0  
Total comprehensive income/(loss)                 (141.3) (154.4) (194.4)  
Preferred stock dividends                 0 0 0  
Net income applicable to common shareowners                 (141.3) (154.4) (194.4)  
Condensed Consolidating Balance Sheets [Abstract]                        
Cash and cash equivalents 0       0       0 0 0  
Receivables, net 0       0       0 0    
Other current assets (0.4)       (1.4)       (0.4) (1.4)    
Total current assets (0.4)       (1.4)       (0.4) (1.4)    
Property, plant and equipment, net 0       0       0 0    
Goodwill and intangibles net 0       0       0 0    
Investments in and advances to subsidiaries (2,148.8)       (2,282.1)       (2,148.8) (2,282.1)    
Other noncurrent assets (163.1)       (143.8)       (163.1) (143.8)    
Total assets (2,312.3)       (2,427.3)       (2,312.3) (2,427.3)    
Current portion of long-term debt 0       0       0 0    
Accounts payable 0       0       0 0    
Other current liabilities 0.9       0       0.9 0    
Total current liabilities 0.9       0       0.9 0    
Intercompany payables (491.5)       (850.8)       (491.5) (850.8)    
Long-term debt, less current portion 0       0       0 0    
Other noncurrent liabilities (164.4)       (145.2)       (164.4) (145.2)    
Total liabilities (655.0)       (996.0)       (655.0) (996.0)    
Total shareowners' deficit (1,657.3)       (1,431.3)       (1,657.3) (1,431.3)    
Total liabilities and shareowners' deficit (2,312.3)       (2,427.3)       (2,312.3) (2,427.3)    
Statement of Cash Flows [Abstract]                        
Net cash provided by operating activities                 0 0 0  
Capital expenditures                 0 0 0  
Acquisitions of businesses, net of cash acquired                     0  
Proceeds from sale of assets                 0 0    
Other investing activities                 0 0 0  
Net cash used in investing activities                 0 0 0  
Funding between Parent and subsidiaries net                 0 0 0  
Proceeds from issuance of long-term debt                 0   0  
Increase (decrease) in corporate credit and receivables facilities                 0 0 0  
Repayment of debt                 0 0 0  
Common stock repurchase                 0 0 0  
Other financing activites, net                 0 0 0  
Net cash (used in) provided by financing activities                 0 0 0  
Net (decrease) increase in cash and cash equivalents                 0 0 0  
Cash and cash equivalents at beginning of year       0       0 0 0 0  
Cash and cash equivalents at end of year 0       0       0 0 0  
Notes guaranteed by subsidiaries [Member] | Parent Company [Member]
                       
Condensed Consolidating Statements of Operations [Abstract]                        
Revenue, Net                 0 3.4 5.5  
Operating costs and expenses                 33.9 23.6 34.5  
Operating income (loss)                 33.9 20.2 29.0  
Interest expense, net                 164.8 161.8 137.9  
Other expense (income), net                 11.5 (0.9) 45.2  
Income before income taxes                 (210.2) (181.1) (212.1)  
Income tax expense (benefit)                 (68.3) (56.4) (61.3)  
Equity in earnings of subsidiaries net of tax                 153.1 143.3 179.1  
Net income                 11.2 18.6 28.3  
Other comprehensive loss                 (0.8) (48.8) (23.9)  
Total comprehensive income/(loss)                 10.4 (30.2) 4.4  
Preferred stock dividends                 10.4 10.4 10.4  
Net income applicable to common shareowners                 0.8 8.2 17.9  
Condensed Consolidating Balance Sheets [Abstract]                        
Cash and cash equivalents 3.8       69.6       3.8 69.6 69.8  
Receivables, net 1.0       2.0       1.0 2.0    
Other current assets 3.1       5.8       3.1 5.8    
Total current assets 7.9       77.4       7.9 77.4    
Property, plant and equipment, net 0.1       0.1       0.1 0.1    
Goodwill and intangibles net 0       0       0 0    
Investments in and advances to subsidiaries 1,449.9       1,731.4       1,449.9 1,731.4    
Other noncurrent assets 384.6       387.9       384.6 387.9    
Total assets 1,842.5       2,196.8       1,842.5 2,196.8    
Current portion of long-term debt 0       0       0 0    
Accounts payable 1.2       1.0       1.2 1.0    
Other current liabilities 85.6       93.2       85.6 93.2    
Total current liabilities 86.8       94.2       86.8 94.2    
Intercompany payables 228.9       231.5       228.9 231.5    
Long-term debt, less current portion 1,841.7       2,182.0       1,841.7 2,182.0    
Other noncurrent liabilities 383.3       404.3       383.3 404.3    
Total liabilities 2,540.7       2,912.0       2,540.7 2,912.0    
Total shareowners' deficit (698.2)       (715.2)       (698.2) (715.2)    
Total liabilities and shareowners' deficit 1,842.5       2,196.8       1,842.5 2,196.8    
Statement of Cash Flows [Abstract]                        
Net cash provided by operating activities                 (144.8) (139.6) (54.6)  
Capital expenditures                 0 0 0  
Acquisitions of businesses, net of cash acquired                     0  
Proceeds from sale of assets                 0 11.5    
Other investing activities                 0 (0.7) 0  
Net cash used in investing activities                 0 10.8 0  
Funding between Parent and subsidiaries net                 433.6 150.3 (423.8)  
Proceeds from issuance of long-term debt                 0   2,090.1  
Increase (decrease) in corporate credit and receivables facilities                 0 0 0  
Repayment of debt                 (352.0) 0 (1,540.5)  
Common stock repurchase                 (0.3) (10.4) (10.0)  
Other financing activites, net                 (10.8) (11.3) (11.5)  
Net cash (used in) provided by financing activities                 79.0 128.6 104.3  
Net (decrease) increase in cash and cash equivalents                 (65.8) (0.2) 49.7  
Cash and cash equivalents at beginning of year       69.6       69.8 69.6 69.8 20.1  
Cash and cash equivalents at end of year 3.8       69.6       3.8 69.6 69.8  
Notes guaranteed by parent [Member]
                       
Condensed Consolidating Statements of Operations [Abstract]                        
Revenue, Net                 1,473.9 1,462.4 1,377.0  
Operating costs and expenses                 1,203.8 1,202.9 1,077.7  
Operating income (loss)                 (270.1) (259.5) (299.3)  
Interest expense, net                 218.9 215.0 185.2  
Other expense (income), net                 15.3 0.9 46.9  
Income before income taxes                 35.9 43.6 67.2  
Income tax expense (benefit)                 24.7 25.0 38.9  
Equity in earnings of subsidiaries net of tax                 0 0 0  
Net income                 11.2 18.6 28.3  
Other comprehensive loss                 (0.8) (48.9) (23.9)  
Total comprehensive income/(loss)                 10.4 (30.3) 4.4  
Preferred stock dividends                 10.4 10.4 10.4  
Net income applicable to common shareowners                 0.8 8.2 17.9  
Condensed Consolidating Balance Sheets [Abstract]                        
Cash and cash equivalents 23.6       73.7       23.6 73.7 77.3  
Receivables, net 199.0       179.4       199.0 179.4    
Other current assets 80.9       67.9       80.9 67.9    
Total current assets 303.5       321.0       303.5 321.0    
Property, plant and equipment, net 1,587.4       1,400.5       1,587.4 1,400.5    
Goodwill and intangibles net 487.4       507.5       487.4 507.5    
Investments in and advances to subsidiaries 0       0       0 0    
Other noncurrent assets 494.1       485.7       494.1 485.7    
Total assets 2,872.4       2,714.7       2,872.4 2,714.7    
Current portion of long-term debt 13.4       13.0       13.4 13.0    
Accounts payable 135.6       133.4       135.6 133.4    
Other current liabilities 206.4       210.0       206.4 210.0    
Total current liabilities 355.4       356.4       355.4 356.4    
Intercompany payables 0       0       0 0    
Long-term debt, less current portion 2,676.0       2,520.6       2,676.0 2,520.6    
Other noncurrent liabilities 539.2       552.9       539.2 552.9    
Total liabilities 3,570.6       3,429.9       3,570.6 3,429.9    
Total shareowners' deficit (698.2)       (715.2)       (698.2) (715.2)    
Total liabilities and shareowners' deficit 2,872.4       2,714.7       2,872.4 2,714.7    
Statement of Cash Flows [Abstract]                        
Net cash provided by operating activities                 212.7 289.9 300.0  
Capital expenditures                 (367.2) (255.5) (149.7)  
Acquisitions of businesses, net of cash acquired                     (526.7)  
Proceeds from sale of assets                 1.6 11.5    
Other investing activities                 (6.2) (0.7) 0.9  
Net cash used in investing activities                 (371.8) (244.7) (675.5)  
Funding between Parent and subsidiaries net                 0 0 0  
Proceeds from issuance of long-term debt                 525.0   2,091.7  
Increase (decrease) in corporate credit and receivables facilities                 52.0 0.4 (85.9)  
Repayment of debt                 (442.4) (11.5) (1,554.5)  
Common stock repurchase                 (0.3) (10.4) (10.0)  
Other financing activites, net                 (10.8) (27.3) (11.5)  
Net cash (used in) provided by financing activities                 109.0 (48.8) 429.8  
Net (decrease) increase in cash and cash equivalents                 (50.1) (3.6) 54.3  
Cash and cash equivalents at beginning of year       73.7       77.3 73.7 77.3 23.0  
Cash and cash equivalents at end of year 23.6       73.7       23.6 73.7 77.3  
Notes guaranteed by parent [Member] | Non-Guarantor Subsidiaries [Member]
                       
Condensed Consolidating Statements of Operations [Abstract]                        
Revenue, Net                 893.3 860.6 761.2  
Operating costs and expenses                 795.8 801.1 666.0  
Operating income (loss)                 (97.5) (59.5) (95.2)  
Interest expense, net                 55.6 49.8 37.5  
Other expense (income), net                 (2.1) (5.7) (5.9)  
Income before income taxes                 44.0 15.4 63.6  
Income tax expense (benefit)                 19.2 5.4 18.0  
Equity in earnings of subsidiaries net of tax                 0 0 0  
Net income                 24.8 10.0 45.6  
Other comprehensive loss                 0 (0.1) 0  
Total comprehensive income/(loss)                 24.8 9.9 45.6  
Preferred stock dividends                 0 0 0  
Net income applicable to common shareowners                 24.8 10.0 45.6  
Condensed Consolidating Balance Sheets [Abstract]                        
Cash and cash equivalents 17.9       2.7       17.9 2.7 5.7  
Receivables, net 198.0       177.4       198.0 177.4    
Other current assets 43.8       31.7       43.8 31.7    
Total current assets 259.7       211.8       259.7 211.8    
Property, plant and equipment, net 940.6       757.9       940.6 757.9    
Goodwill and intangibles net 485.1       505.1       485.1 505.1    
Investments in and advances to subsidiaries 0       0       0 0    
Other noncurrent assets 266.3       234.0       266.3 234.0    
Total assets 1,951.7       1,708.8       1,951.7 1,708.8    
Current portion of long-term debt 10.4       9.9       10.4 9.9    
Accounts payable 72.7       78.7       72.7 78.7    
Other current liabilities 69.7       61.5       69.7 61.5    
Total current liabilities 152.8       150.1       152.8 150.1    
Intercompany payables 276.4       595.8       276.4 595.8    
Long-term debt, less current portion 693.0       122.3       693.0 122.3    
Other noncurrent liabilities 181.7       171.0       181.7 171.0    
Total liabilities 1,303.9       1,039.2       1,303.9 1,039.2    
Total shareowners' deficit 647.8       669.6       647.8 669.6    
Total liabilities and shareowners' deficit 1,951.7       1,708.8       1,951.7 1,708.8    
Statement of Cash Flows [Abstract]                        
Net cash provided by operating activities                 107.1 164.8 129.7  
Capital expenditures                 (258.4) (149.2) (61.0)  
Acquisitions of businesses, net of cash acquired                     (526.7)  
Proceeds from sale of assets                 0.2 0    
Other investing activities                 (6.2) 0 0.6  
Net cash used in investing activities                 (264.4) (149.2) (587.1)  
Funding between Parent and subsidiaries net                 (367.6) 6.2 560.8  
Proceeds from issuance of long-term debt                 525.0   0  
Increase (decrease) in corporate credit and receivables facilities                 52.0 0.4 (85.9)  
Repayment of debt                 (13.9) (9.2) (12.6)  
Common stock repurchase                 0 0 0  
Other financing activites, net                 0 (16.0) 0  
Net cash (used in) provided by financing activities                 172.5 (18.6) 462.3  
Net (decrease) increase in cash and cash equivalents                 15.2 (3.0) 4.9  
Cash and cash equivalents at beginning of year       2.7       5.7 2.7 5.7 0.8  
Cash and cash equivalents at end of year 17.9       2.7       17.9 2.7 5.7  
Notes guaranteed by parent [Member] | Consolidation, Eliminations [Member]
                       
Condensed Consolidating Statements of Operations [Abstract]                        
Revenue, Net                 (62.2) (57.4) (57.8)  
Operating costs and expenses                 (62.2) (57.4) (57.8)  
Operating income (loss)                 0 0 0  
Interest expense, net                 0 0 0  
Other expense (income), net                 0 0 0  
Income before income taxes                 0 0 0  
Income tax expense (benefit)                 0 0 0  
Equity in earnings of subsidiaries net of tax                 (153.1) (143.3) (179.1)  
Net income                 (153.1) (143.3) (179.1)  
Other comprehensive loss                 0 0 0  
Total comprehensive income/(loss)                 (153.1) (143.3) (179.1)  
Preferred stock dividends                 0 0 0  
Net income applicable to common shareowners                 (153.1) (143.3) (179.1)  
Condensed Consolidating Balance Sheets [Abstract]                        
Cash and cash equivalents 0       0       0 0 0  
Receivables, net 0       0       0 0    
Other current assets (0.4)       (1.4)       (0.4) (1.4)    
Total current assets (0.4)       (1.4)       (0.4) (1.4)    
Property, plant and equipment, net 0       0       0 0    
Goodwill and intangibles net 0       0       0 0    
Investments in and advances to subsidiaries (1,678.1)       (1,968.7)       (1,678.1) (1,968.7)    
Other noncurrent assets (163.1)       (143.8)       (163.1) (143.8)    
Total assets (1,841.6)       (2,113.9)       (1,841.6) (2,113.9)    
Current portion of long-term debt 0       0       0 0    
Accounts payable 0       0       0 0    
Other current liabilities 0.9       0       0.9 0    
Total current liabilities 0.9       0       0.9 0    
Intercompany payables (505.3)       (827.3)       (505.3) (827.3)    
Long-term debt, less current portion 0       0       0 0    
Other noncurrent liabilities (164.4)       (145.2)       (164.4) (145.2)    
Total liabilities (668.8)       (972.5)       (668.8) (972.5)    
Total shareowners' deficit (1,172.8)       (1,141.4)       (1,172.8) (1,141.4)    
Total liabilities and shareowners' deficit (1,841.6)       (2,113.9)       (1,841.6) (2,113.9)    
Statement of Cash Flows [Abstract]                        
Net cash provided by operating activities                 0 0 0  
Capital expenditures                 0 0 0  
Acquisitions of businesses, net of cash acquired                     0  
Proceeds from sale of assets                 0 0    
Other investing activities                 0 0 0  
Net cash used in investing activities                 0 0 0  
Funding between Parent and subsidiaries net                 0 0 0  
Proceeds from issuance of long-term debt                 0   0  
Increase (decrease) in corporate credit and receivables facilities                 0 0 0  
Repayment of debt                 0 0 0  
Common stock repurchase                 0 0 0  
Other financing activites, net                 0 0 0  
Net cash (used in) provided by financing activities                 0 0 0  
Net (decrease) increase in cash and cash equivalents                 0 0 0  
Cash and cash equivalents at beginning of year       0       0 0 0 0  
Cash and cash equivalents at end of year 0       0       0 0 0  
Notes guaranteed by parent [Member] | Parent Company [Member]
                       
Condensed Consolidating Statements of Operations [Abstract]                        
Revenue, Net                 0 3.4 5.5  
Operating costs and expenses                 33.9 23.6 34.5  
Operating income (loss)                 33.9 20.2 29.0  
Interest expense, net                 164.8 161.8 137.9  
Other expense (income), net                 11.5 (0.9) 45.2  
Income before income taxes                 (210.2) (181.1) (212.1)  
Income tax expense (benefit)                 (68.3) (56.4) (61.3)  
Equity in earnings of subsidiaries net of tax                 153.1 143.3 179.1  
Net income                 11.2 18.6 28.3  
Other comprehensive loss                 (0.8) (48.8) (23.9)  
Total comprehensive income/(loss)                 10.4 (30.2) 4.4  
Preferred stock dividends                 10.4 10.4 10.4  
Net income applicable to common shareowners                 0.8 8.2 17.9  
Condensed Consolidating Balance Sheets [Abstract]                        
Cash and cash equivalents 3.8       69.6       3.8 69.6 69.8  
Receivables, net 1.0       2.0       1.0 2.0    
Other current assets 3.1       5.8       3.1 5.8    
Total current assets 7.9       77.4       7.9 77.4    
Property, plant and equipment, net 0.1       0.1       0.1 0.1    
Goodwill and intangibles net 0       0       0 0    
Investments in and advances to subsidiaries 1,449.9       1,731.4       1,449.9 1,731.4    
Other noncurrent assets 384.6       387.9       384.6 387.9    
Total assets 1,842.5       2,196.8       1,842.5 2,196.8    
Current portion of long-term debt 0       0       0 0    
Accounts payable 1.2       1.0       1.2 1.0    
Other current liabilities 85.6       93.2       85.6 93.2    
Total current liabilities 86.8       94.2       86.8 94.2    
Intercompany payables 228.9       231.5       228.9 231.5    
Long-term debt, less current portion 1,841.7       2,182.0       1,841.7 2,182.0    
Other noncurrent liabilities 383.3       404.3       383.3 404.3    
Total liabilities 2,540.7       2,912.0       2,540.7 2,912.0    
Total shareowners' deficit (698.2)       (715.2)       (698.2) (715.2)    
Total liabilities and shareowners' deficit 1,842.5       2,196.8       1,842.5 2,196.8    
Statement of Cash Flows [Abstract]                        
Net cash provided by operating activities                 (144.8) (139.6) (54.6)  
Capital expenditures                 0 0 0  
Acquisitions of businesses, net of cash acquired                     0  
Proceeds from sale of assets                 0 11.5    
Other investing activities                 0 (0.7) 0  
Net cash used in investing activities                 0 10.8 0  
Funding between Parent and subsidiaries net                 433.6 150.3 (423.8)  
Proceeds from issuance of long-term debt                 0   2,090.1  
Increase (decrease) in corporate credit and receivables facilities                 0 0 0  
Repayment of debt                 (352.0) 0 (1,540.5)  
Common stock repurchase                 (0.3) (10.4) (10.0)  
Other financing activites, net                 (10.8) (11.3) (11.5)  
Net cash (used in) provided by financing activities                 79.0 128.6 104.3  
Net (decrease) increase in cash and cash equivalents                 (65.8) (0.2) 49.7  
Cash and cash equivalents at beginning of year       69.6       69.8 69.6 69.8 20.1  
Cash and cash equivalents at end of year $ 3.8       $ 69.6       $ 3.8 $ 69.6 $ 69.8