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Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2012
Fair Value  
Schedule of Financial Instruments Recorded at Fair Value
Fair Value Measurements
(in millions)
December 31, 2012
December 31, 2011
Level 1
Level 2
Level 3
Total
Level 1
Level 2
Level 3
Total
Assets:
Cash equivalents (a)
- $ 292.2 - $ 292.2 - $ 37.4 - $ 37.4
Deferred compensation asset (b)
- 2.7 - 2.7 - 2.3 - 2.3
Liabilities:
Deferred compensation obligation (b)
- 2.7 - 2.7 - 2.6 - 2.6
Schedule of Fair Value of Debt
December 31, 2012
December 31, 2011
Carrying Value
Fair Value
Carrying Value
Fair Value
Credit facility term loan, due May 31, 2013
$ 83.2 $ 93.5 $ - $ -
Credit facility term loan, due May 31, 2012
- - 85.0 72.8
    Convertible preferred stock and accrued dividends payable-in-kind
100.5 100.5 88.6 88.6
3.0% convertible senior notes, due October 1, 2014
530.0 198.2 530.0 246.1