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Fair Value Measurements (Details 4) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2013
Dec. 31, 2012
NAV of investments at fair value    
Fair Value $ 200.7 $ 187.8
Unfunded Commitments 73.3 75.4
Fair market value of senior notes 358.9 351.8
Fair market value of 2008 senior convertible notes 572.1 510.6
Fair market value of junior convertible trust preferred securities 810.9 719.9
Private equity fund-of-funds
   
NAV of investments at fair value    
Fair Value 121.9 118.9
Unfunded Commitments 73.3 75.4
Liquidation of underlying assets over the life of the funds 15 years  
Other funds
   
NAV of investments at fair value    
Fair Value $ 78.8 $ 68.9