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Fair Value Measurements - Schedule of Fair Values of Financial Assets and Liabilities (Details) (USD $)
In Millions, unless otherwise specified
Dec. 31, 2013
Dec. 31, 2012
Level 1
   
Assets:    
FX Contracts $ 0 [1] $ 0 [1]
2013 Interest Rate Swap 0 [2]  
Total assets at fair value 0 0
Liabilities:    
FX Contracts 0 [1] 0 [1]
Total liabilities at fair value 0 0
Level 2
   
Assets:    
FX Contracts 1.0 [1] 0.1 [1]
2013 Interest Rate Swap 2.5 [2]  
Total assets at fair value 3.5 0.1
Liabilities:    
FX Contracts 0.2 [1] 0.4 [1]
Total liabilities at fair value 0.2 0.4
Level 3
   
Assets:    
FX Contracts 0 [1] 0 [1]
2013 Interest Rate Swap 0 [2]  
Total assets at fair value 0 0
Liabilities:    
FX Contracts 0 [1] 0 [1]
Total liabilities at fair value 0 0
Total
   
Assets:    
FX Contracts 1.0 [1] 0.1 [1]
2013 Interest Rate Swap 2.5 [2]  
Total assets at fair value 3.5 0.1
Liabilities:    
FX Contracts 0.2 [1] 0.4 [1]
Total liabilities at fair value $ 0.2 $ 0.4
[1] The fair value of the Company’s FX Contracts was measured based on observable market transactions of spot and forward rates on the respective dates. See Note 13, “Financial Instruments.”
[2] The fair value of the Company's 2013 Interest Rate Swap was measured based on the implied forward rates from the U.S. Dollar three-month LIBOR yield curve as of December 31, 2013. See Note 13, “Financial Instruments.”