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Condensed Consolidating Financial Statements (Details) (USD $)
In Millions, unless otherwise specified
1 Months Ended
Sep. 30, 2014
Dec. 31, 2013
Sep. 30, 2013
Dec. 31, 2012
Apr. 30, 2013
Senior Unsecured Notes - Publicly Traded
Nov. 30, 2006
Senior Unsecured Notes - Publicly Traded
Sep. 30, 2014
Reportable legal entities
Parent
Dec. 31, 2013
Reportable legal entities
Parent
Sep. 30, 2013
Reportable legal entities
Parent
Dec. 31, 2012
Reportable legal entities
Parent
Sep. 30, 2014
Reportable legal entities
Guarantor Subsidiaries
Dec. 31, 2013
Reportable legal entities
Guarantor Subsidiaries
Sep. 30, 2013
Reportable legal entities
Guarantor Subsidiaries
Dec. 31, 2012
Reportable legal entities
Guarantor Subsidiaries
Sep. 30, 2014
Reportable legal entities
Non-Guarantor Subsidiaries
Dec. 31, 2013
Reportable legal entities
Non-Guarantor Subsidiaries
Sep. 30, 2013
Reportable legal entities
Non-Guarantor Subsidiaries
Dec. 31, 2012
Reportable legal entities
Non-Guarantor Subsidiaries
Sep. 30, 2014
Consolidating Adjustments
Dec. 31, 2013
Consolidating Adjustments
Condensed Consolidating Balance Sheet                                        
Aggregate principal amount         $ 1,100.0 $ 1,100.0                            
Ownership interest in domestic subsidiaries (as a percent) 100.00%       100.00% 100.00%                            
Assets                                        
Cash and cash equivalents 100.7 83.6 104.9 97.6     30.4 19.7 39.5 28.1 (1.9) (0.8) (3.8) 13.1 72.2 64.7 69.2 56.4    
Accounts receivable, less allowance for doubtful accounts 1,253.2 983.5         82.7 64.4     1,022.5 1,170.9     169.5 101.3     (21.5) (353.1)
Inventories 1,944.4 1,540.0         69.4 52.6     1,642.5 1,344.8     232.5 142.6        
Income taxes receivable   33.9         47.1 34.4                     (47.1) (0.5)
Other current assets 96.1 97.9         115.3 124.8     40.9 40.8     15.1 8.9     (75.2) (76.6)
Total current assets 3,394.4 2,738.9         344.9 295.9     2,704.0 2,555.7     489.3 317.5     (143.8) (430.2)
Investments in subsidiaries             4,797.7 4,647.7     201.7 312.4             (4,999.4) (4,960.1)
Property, plant and equipment, net 1,624.9 1,603.9         103.1 100.8     1,318.1 1,298.7     203.7 204.4        
Goodwill 1,707.5 1,691.6         23.8 23.8     1,555.1 1,555.7     128.6 112.1        
Intangible assets, net 1,222.3 1,213.8         31.7 17.4     1,044.8 1,077.8     145.8 118.6        
Intercompany receivables             1,471.2 1,219.4     84.5 22.4     10.1 394.3     (1,565.8) (1,636.1)
Other assets 85.6 92.8         22.3 20.8     57.9 66.6     5.4 5.4        
Total assets 8,034.7 7,341.0         6,794.7 6,325.8     6,966.1 6,889.3     982.9 1,152.3     (6,709.0) (7,026.4)
Liabilities & Equity                                        
Accounts payable 475.2 280.3         41.7 29.1     397.9 185.8     57.1 418.5     (21.5) (353.1)
Accrued compensation and retirement costs 124.7 119.5         17.6 21.1     92.9 85.9     14.2 12.5        
Other current liabilities 186.6 137.1         93.0 53.5     60.8 63.1     79.9 22.4     (47.1) (1.9)
Deferred income taxes                     75.2 75.2             (75.2) (75.2)
Current maturities of long-term debt and short-term borrowings 91.7 36.5         37.5 25.3             54.2 11.2        
Total current liabilities 878.2 573.4         189.8 129.0     626.8 410.0     205.4 464.6     (143.8) (430.2)
Long-term debt 2,230.3 2,072.5         2,175.2 2,019.2     5.7 5.7     49.4 47.6        
Intercompany borrowings                     1,337.9 1,550.6     227.9 85.5     (1,565.8) (1,636.1)
Other long-term liabilities 806.6 810.7         320.4 303.0     442.4 466.5     43.8 41.2        
Total Reliance shareholders' equity 4,109.3 3,874.6         4,109.3 3,874.6     4,546.6 4,450.1     452.8 510.0     (4,999.4) (4,960.1)
Noncontrolling interests 10.3 9.8                 6.7 6.4     3.6 3.4        
Total equity 4,119.6 3,884.4         4,109.3 3,874.6     4,553.3 4,456.5     456.4 513.4     (4,999.4) (4,960.1)
Total liabilities and equity $ 8,034.7 $ 7,341.0         $ 6,794.7 $ 6,325.8     $ 6,966.1 $ 6,889.3     $ 982.9 $ 1,152.3     $ (6,709.0) $ (7,026.4)