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Supplemental Cash Flow Information
12 Months Ended
Dec. 31, 2014
Supplemental Cash Flow Information [Abstract]  
Supplemental Cash Flow Information [Text Block]

Note 13. Supplemental Cash Flow Information

(In millions)201420132012
Cash Paid (Refunded) For:
Interest$ 435.9 $ 215.1 $ 230.0
Income Taxes - Continuing Operations$ 586.3 $ 230.0 $ 331.1
Income Taxes - Discontinued Operations$ (0.6)$ (3.7)$ (44.0)
Non-cash Activities
Fair value of assets of acquired businesses$ 19,623.9 $$ 1,172.0
Cash paid for acquired businesses (13,534.6) (1,086.6)
Liabilities assumed of acquired businesses$ 6,089.3 $$ 85.4
Fair value of available-for-sale investments contributed to defined
benefit plans$$ 27.1 $
Declared but unpaid dividends$ 61.9 $ 55.8 $ 54.7
Issuance of stock upon vesting of restricted stock units$ 110.0 $ 64.2 $ 29.3