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Long Term Debt (Parenthetical) (Detail)
9 Months Ended
Sep. 30, 2014
Dec. 31, 2013
Sep. 30, 2013
6.6% Senior Notes, Due 2018
     
Debt Instrument      
Maturity date 2018    
Interest rate on notes 6.60%    
7% Debentures, Due 2025
     
Debt Instrument      
Maturity date 2025    
Interest rate on notes 7.00%    
6.25% Senior Notes, Due 2037
     
Debt Instrument      
Maturity date 2037    
Interest rate on notes 6.25%    
4.25% Senior Notes, Due 2024
     
Debt Instrument      
Maturity date 2024    
Interest rate on notes 4.25%    
Floating Rate Notes, Due 2017
     
Debt Instrument      
Maturity date 2017    
Interest rate 1.34%    
Term Loan Facility, Due 2018
     
Debt Instrument      
Maturity date 2018    
Interest rate 1.65% 1.67% 2.20%
Trade Receivable Credit Facility
     
Debt Instrument      
Credit Facility interest rate 0.76% 0.77% 0.79%
Revolving Facility
     
Debt Instrument      
Credit Facility interest rate     1.89%