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Financing Arrangements (Tables)
6 Months Ended
Jun. 30, 2011
Financing Arrangements (Tables) [Abstract]  
Short-term debt
                 
    June 30,     December 31,  
    2011     2010  
 
Variable-rate lines of credit for certain of the Company’s foreign subsidiaries with various banks with interest rates ranging from 2.44% to 6.72% and 2.40% to 5.10% at June 30, 2011 and December 31, 2010, respectively
  $ 22.9     $ 22.4  
 
Short-term debt
  $ 22.9     $ 22.4  
 
Long-term debt
                 
    June 30,     December 31,  
    2011     2010  
 
Fixed-rate Medium-Term Notes, Series A, due at various dates through May 2028, with interest rates ranging from 6.74% to 7.76%
  $ 175.0     $ 175.0  
Fixed-rate Senior Unsecured Notes, due September 15, 2014, with an interest rate of 6.0%
    249.8       249.7  
Variable-rate State of Ohio Water Development Revenue Refunding Bonds, maturing on November 1, 2025 (0.18% at June 30, 2011)
    12.2       12.2  
Variable-rate State of Ohio Air Quality Development Revenue Refunding Bonds, maturing on November 1, 2025 (0.47% at June 30, 2011)
    9.5       9.5  
Variable-rate State of Ohio Pollution Control Revenue Refunding Bonds, maturing on June 1, 2033 (0.47% at June 30, 2011)
    17.0       17.0  
Variable-rate credit facility with US Bank for Advanced Green Components, LLC, maturing on July 17, 2011 (1.35% at June 30, 2011)
    6.1       8.3  
Other
    28.4       19.6  
 
 
    498.0       491.3  
Less current maturities
    7.4       9.6  
 
Long-term debt
  $ 490.6     $ 481.7