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Financial Instruments (Schedule of Effect of Risk Management) (Details) - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2023
Mar. 31, 2022
Cash flow hedges:    
Total $ (61.9) $ 6.3
Hedged Fixed Rate Debt    
Cash flow hedges:    
Effective portion of risk-management instruments that was recognized in other comprehensive income (loss) (131.8) 54.4
Cross-currency interest rate swaps    
Cash flow hedges:    
Effective portion of risk-management instruments that was recognized in other comprehensive income (loss) (11.8) 10.8
Effective portion of risk-management instruments that was recognized in other comprehensive income (loss) (7.8) 17.1
Foreign Exchange Contract    
Cash flow hedges:    
Effective portion of risk-management instruments that was recognized in other comprehensive income (loss) (46.1) 0.0
Forward-starting interest rate swaps    
Cash flow hedges:    
Effective portion of risk-management instruments that was recognized in other comprehensive income (loss) 23.8 122.5
Designated as Hedging Instrument | Hedged Fixed Rate Debt    
Fair value hedges:    
Effect from hedged fixed-rate debt 35.3 (94.6)
Designated as Hedging Instrument | Interest Rate Contracts    
Fair value hedges:    
Effect from interest rate contracts (35.3) 94.6
Cash flow hedges:    
Effective portion of losses on interest rate contracts reclassified from accumulated other comprehensive loss 3.8 4.1
Designated as Hedging Instrument | Cross-currency interest rate swaps    
Cash flow hedges:    
Effective portion of losses on interest rate contracts reclassified from accumulated other comprehensive loss (12.9) 8.3
Not Designated as Hedging Instrument | Foreign Exchange Contract    
Cash flow hedges:    
Net gains on foreign currency exchange contracts not designated as hedging instruments $ (52.8) $ (6.1)