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INDEBTEDNESS (Details 2) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 30, 2013
Credit Facilities  
Threshold amount of cash and cash equivalents above which amounts are netted against consolidated net debt for calculation of debt compliance $ 50.0
Senior credit facility
 
Credit Facilities  
Maximum borrowing capacity under financing arrangement 2,275.0
Number of trailing fiscal quarters used in calculating the Consolidated Interest Coverage Ratio under senior credit facilities' covenants (in number of quarters) 4
Number of trailing fiscal quarters used in calculating the Consolidated Leverage Coverage Ratio under senior credit facilities' covenants (in number of quarters) 4
Maximum amount of capital stock repurchases and dividend declarations allowable (before adjustment) under senior credit facilities' covenants in any fiscal year if Consolidated Leverage Ratio is greater than or equal to 2.50 to 1.00 100.0
Consolidated leverage ratio greater than 2.50 to 1.00 - capital stock repurchases and dividend declarations used in calculation 300.0
Percentage of cumulative consolidated net income during the most recent fiscal quarter preceding stock repurchase or dividend declaration 50.00%
Percentage of consolidated net deficit removed from calculation of amounts available for stock repurchases and dividends (100.00%)
Weighted-average interest rate of senior credit facilities (as a percent) 2.36%
Consolidated Leverage Ratio under senior credit facilities' covenants after certain permitted acquisitions 3.50
Senior credit facility | Minimum
 
Credit Facilities  
Consolidated Interest Coverage Ratio under senior credit facilities' covenants 3.50
Consolidated Leverage Ratio restricting amount of capital stock repurchases and dividend payments under senior credit facilities' covenants 2.50
Senior credit facility | Maximum
 
Credit Facilities  
Consolidated Leverage Ratio under senior credit facilities' covenants 3.25
Maximum consolidated Leverage Ratio necessary for unlimited amount of capital stock repurchases and dividend payments under senior credit facilities' covenants 2.50
Domestic revolving credit facility
 
Credit Facilities  
Maximum borrowing capacity under financing arrangement 300.0
Letters of credit issued, amount outstanding 66.2
Global revolving credit facility
 
Credit Facilities  
Maximum borrowing capacity under financing arrangement 300.0
Foreign credit instrument facility
 
Credit Facilities  
Letters of credit issued, amount outstanding 732.2
Participation foreign credit instrument facility
 
Credit Facilities  
Maximum borrowing capacity under financing arrangement 1,000.0
Letters of credit under separate arrangements in China, South Africa, and India
 
Credit Facilities  
Letters of credit issued, amount outstanding 3.8
Term loan
 
Credit Facilities  
Maximum borrowing capacity under financing arrangement 475.0
Percentage of initial principal amount which the entity will repay in 2014 15.00%
Percentage of initial principal amount which the entity will repay in 2015 20.00%
Percentage of initial principal amount which the entity will repay at the end of the first fiscal quarter of 2016 5.00%
Debt repayable in quarterly installments 475.0
Bilateral foreign credit instrument facility
 
Credit Facilities  
Maximum borrowing capacity under financing arrangement $ 200.0