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Borrowings (Tables)
12 Months Ended
Dec. 31, 2013
Borrowings  
Schedule of the Company's borrowings

 

In millions
  2013   2012  

3.75% notes due 2022, net of unamortized discount of ($1.0) and ($1.1), respectively

  $ 349.0   $ 348.9  

5.125% notes due 2020, net of unamortized discount of ($0.8) and ($0.9), respectively

    249.2     249.1  

6.125% notes due 2016, net of unamortized discount of ($0.3) and ($0.4) respectively

    149.7     149.6  

Revolving credit facility

         

Industrial development and revenue bonds through 2018

    3.0     4.5  

Other, including capital lease obligations

    0.1     0.2  
           

Total long-term debt

    751.0     752.3  

Less current portion

         
           

Total long-term debt, net of current portion

  $ 751.0   $ 752.3