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Fair Value (Tables)
6 Months Ended
Jul. 02, 2011
Fair Value  
Schedule Of Financial Assets And Liabilities At Fair Value
                         
    July 2, 2011     January 1, 2011          
Assets:
                       
Investments — Trading Securities
  $     $ 56.3     (Level 2)
Prepaid Expenses and Other Current Assets:
                       
Derivative Currency Contracts
    9.4       7.3     (Level 2)
Derivative Commodity Contracts
    14.7       24.9     (Level 2)
Other Noncurrent Assets:
                       
Derivative Currency Contracts
    2.6       1.4     (Level 2)
Derivative Commodity Contracts
    0.2       4.2     (Level 2)
Liabilities:
                       
Other Accrued Expenses:
                       
Derivative Currency Contracts
    0.7       0.1     (Level 2)
Derivative Commodity Contracts
    0.1       0.1     (Level 2)
Hedging Obligations:
                       
Interest Rate Swap
    38.4       39.1     (Level 2)
Derivative Currency Contracts
          0.1     (Level 2)
Other Noncurrent Liabilites:
                       
Deferred Contingent Purchase Price
    25.9       11.0     (Level 3)
Schedule Of Changes In Fair Market Value Of Other Noncurrent Liabilities
                 
    Three Months Ended     Six Months Ended  
    July 2, 2011     July 2, 2011  
Beginning Balance
  $ 9.2     $ 11.0  
Valuation adjustments
          (1.8 )
Acquisitions
    16.7       16.7  
 
           
Ending balance
  $ 25.9     $ 25.9