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Accumulated Other Comprehensive Income (Loss) (Details of Changes In Accumulated Other Comprehensive Income (Loss)) (Details) - USD ($)
$ in Millions
3 Months Ended 9 Months Ended
Sep. 30, 2022
Jun. 30, 2022
Mar. 31, 2022
Sep. 30, 2021
Jun. 30, 2021
Mar. 31, 2021
Sep. 30, 2022
Sep. 30, 2021
PRE-TAX                
Net Change $ (316.1)     $ (90.9)     $ (2,230.1) $ (393.0)
TAX                
Net Change 41.7     10.2     480.7 79.0
AFTER TAX                
Net Change (274.4) $ (603.6) $ (871.4) (80.7) $ 128.8 $ (362.1) (1,749.4) (314.0)
Unrealized Gains (Losses) on Available for Sale Debt Securities                
PRE-TAX                
Unrealized Gains (Losses) on Available for Sale Debt Securities (385.6)     (107.0)     (2,288.3) (453.6)
Net Change (364.3)     (119.7)     (2,252.3) (481.9)
TAX                
Unrealized Gains (Losses) on Available for Sale Debt Securities 97.5     26.9     587.4 116.4
Net Change 92.1     30.1     578.3 123.5
AFTER TAX                
Unrealized Gains (Losses) on Available for Sale Debt Securities (288.1)     (80.1)     (1,700.9) (337.2)
Net Change (272.2)     (89.6)     (1,674.0) (358.4)
Interest Income on Debt Securities                
PRE-TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income 21.0     (12.7)     35.7 (28.3)
TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income (5.3)     3.2     (9.0) 7.1
AFTER TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income 15.7     (9.5)     26.7 (21.2)
Net Losses on Debt Securities                
PRE-TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income 0.3     0.0     0.3 0.0
TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income (0.1)     0.0     (0.1) 0.0
AFTER TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income 0.2     0.0     0.2 0.0
Unrealized Gains (Losses) on Cash Flow Hedges                
PRE-TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income 0.6     0.7     3.8 (4.0)
Net Change 2.8     6.2     6.8 3.2
TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income (0.1)     (0.2)     (0.9) 1.0
Net Change (0.7)     (1.6)     (1.7) (0.8)
AFTER TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income 0.5     0.5     2.9 (3.0)
Net Change 2.1     4.6     5.1 2.4
Foreign Currency Adjustments                
PRE-TAX                
Net Change 78.3     22.1     126.2 45.7
TAX                
Net Change (58.1)     (18.3)     (123.6) (34.8)
AFTER TAX                
Net Change 20.2     3.8     2.6 10.9
Foreign Currency Translation Adjustments                
PRE-TAX                
Net Change (168.1)     (64.5)     (382.1) (111.7)
TAX                
Net Change 3.9     3.5     4.5 4.8
AFTER TAX                
Net Change (164.2)     (61.0)     (377.6) (106.9)
Long-Term Intra-Entity Foreign Currency Transaction Gains (Losses)                
PRE-TAX                
Net Change (2.0)     (0.1)     (3.8) 0.1
TAX                
Net Change 0.5     0.0     1.0 (0.1)
AFTER TAX                
Net Change (1.5)     (0.1)     (2.8) 0.0
Net Investment Hedge Gains (Losses)                
PRE-TAX                
Net Change 248.4     86.7     512.1 157.3
TAX                
Net Change (62.5)     (21.8)     (129.1) (39.5)
AFTER TAX                
Net Change 185.9     64.9     383.0 117.8
Pension and Other Postretirement Benefit Adjustments                
PRE-TAX                
Unrealized Gains (Losses) on Available for Sale Debt Securities (51.6)     (15.5)     (165.2) (17.2)
Net Change (32.9)     0.5     (110.8) 40.0
TAX                
Unrealized Gains (Losses) on Available for Sale Debt Securities 13.0     3.9     41.2 5.1
Net Change 8.4     0.0     27.7 (8.9)
AFTER TAX                
Unrealized Gains (Losses) on Available for Sale Debt Securities (38.6)     (11.6)     (124.0) (12.1)
Net Change (24.5)     0.5     (83.1) 31.1
Amortization of Net Actuarial Loss                
PRE-TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income 1.9     9.5     17.1 32.8
TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income (0.4)     (2.5)     (4.2) (8.1)
AFTER TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income 1.5     7.0     12.9 24.7
Amortization of Prior Service Cost (Credit)                
PRE-TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income (0.2)     (0.2)     (0.7) (0.8)
TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income 0.1     0.1     0.2 0.2
AFTER TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income (0.1)     (0.1)     (0.5) (0.6)
Settlement Loss                
PRE-TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income 17.0     6.7     38.0 25.2
TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income (4.3)     (1.5)     (9.5) (6.1)
AFTER TAX                
Reclassification Adjustment for (Gains) Losses Included in Net Income 12.7     5.2     28.5 19.1
Foreign Exchange Contracts | Unrealized Gains (Losses) on Cash Flow Hedges                
PRE-TAX                
Unrealized Gains (Losses) on Available for Sale Debt Securities 2.2     5.5     3.0 7.2
TAX                
Unrealized Gains (Losses) on Available for Sale Debt Securities (0.6)     (1.4)     (0.8) (1.8)
AFTER TAX                
Unrealized Gains (Losses) on Available for Sale Debt Securities $ 1.6     $ 4.1     $ 2.2 $ 5.4