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Condensed Consolidated Statements Of Changes In Equity (USD $)
In Millions
Total
As Adjusted [Member]
Common Shares [Member]
Common Shares [Member]
As Adjusted [Member]
Additional Paid-In-Capital [Member]
Additional Paid-In-Capital [Member]
As Adjusted [Member]
Treasury Stock [Member]
Treasury Stock [Member]
As Adjusted [Member]
Retained Earnings [Member]
Retained Earnings [Member]
As Adjusted [Member]
Retained Earnings Appropriated For Investors In Consolidated Investment Products [Member]
Retained Earnings Appropriated For Investors In Consolidated Investment Products [Member]
As Adjusted [Member]
Accumulated Other Comprehensive Income [Member]
Accumulated Other Comprehensive Income [Member]
As Adjusted [Member]
Total Equity Attributable To Common Shareholders [Member]
Total Equity Attributable To Common Shareholders [Member]
As Adjusted [Member]
Noncontrolling Interests In Consolidated Entities [Member]
Noncontrolling Interests In Consolidated Entities [Member]
As Adjusted [Member]
Beginning balance, value at Dec. 31, 2008                  
Adoption of FASB Statement No. 167        $ 5.2 $ 274.3 $ (5.2) $ 274.3   
Ending Balance, value at Dec. 31, 20097,620.87,895.191.991.95,688.45,688.4(892.4)(892.4)1,631.41,636.60274.3393.6388.46,912.97,187.2707.9707.9
Adoption of FASB Statement No. 167274.3                 
Net income480.1       290.5     290.5 189.6 
Other comprehensive income:                  
Currency translation differences on investments in overseas subsidiaries(3.4)           12.8 12.8 (16.2) 
Change in accumulated OCI related to employee benefit plans4.3           4.3 4.3   
Change in net unrealized gains on available-for-sale investments14.6           14.6 14.6   
Tax impacts of changes in accumulated other comprehensive income balances(2.9)           (2.9) (2.9)   
Total comprehensive income492.7             319.3 173.4 
Net income (loss) reclassified to appropriated retained earnings          139.4   139.4 (139.4) 
Currency translation differences on investments in overseas subsidiaries reclassified to appropriated retained earnings          (16.2)   (16.2) 16.2 
Change in noncontrolling interests in consolidated entities, net(62.0)               (62.0) 
Business Combination718.6 2.3 566.9     149.4   718.6   
Dividends(146.3)       (146.3)     (146.3)   
Employee share plans:                  
Share-based compensation87.0   87.0         87.0   
Vested shares    (65.9) 65.9       0   
Exercise of options10.8   (18.6) 29.4       10.8   
Tax impact of share-based payment14.2   14.2         14.2   
Purchase of shares(163.9)     (163.9)       (163.9)   
Ending Balance, value at Sep. 30, 20108,846.2 94.2 6,272.0 (961.0) 1,780.8 546.9 417.2 8,150.1 696.1 
Beginning balance, value at Dec. 31, 20109,360.9 98.1 6,262.6 (991.5) 1,904.4 495.5 495.5 8,264.6 1,096.3 
Net income312.1       527.4     527.4 (215.3) 
Other comprehensive income:                  
Currency translation differences on investments in overseas subsidiaries(91.1)           (112.2) (112.2) 21.1 
Change in accumulated OCI related to employee benefit plans11.9           11.9 11.9   
Change in accumulated OCI of equity method investments(6.1)           (6.1) (6.1)   
Change in net unrealized gains on available-for-sale investments(14.9)           (14.9) (14.9)   
Tax impacts of changes in accumulated other comprehensive income balances(1.8)           (1.8) (1.8)   
Total comprehensive income210.1             404.3 (194.2) 
Net income (loss) reclassified to appropriated retained earnings          (277.8)   (277.8) 277.8 
Currency translation differences on investments in overseas subsidiaries reclassified to appropriated retained earnings          15.1   15.1 (15.1) 
Change in noncontrolling interests in consolidated entities, net(146.4)               (146.4) 
Dividends(165.0)       (165.0)     (165.0)   
Employee share plans:                  
Share-based compensation86.0   86.0         86.0   
Vested shares    (181.4) 181.4           
Exercise of options11.0   (7.1) 18.1       11.0   
Tax impact of share-based payment15.8   15.8         15.8   
Purchase of shares(404.9)     (404.9)       (404.9)   
Ending Balance, value at Sep. 30, 2011$ 8,967.5 $ 98.1 $ 6,175.9 $ (1,196.9) $ 2,266.8 $ 232.8 $ 372.4 $ 7,949.1 $ 1,018.4