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Fair Value Measurements (Tables)
3 Months Ended
Mar. 31, 2013
Fair Value  
Schedule of Financial Instruments Recorded at Fair Value
Fair Value Measurements
(in millions)
March 31, 2013
December 31, 2012
Level 1
Level 2
Level 3
Total
Level 1
Level 2
Level 3
Total
Assets:
Cash equivalents (a)
- $ 71.7 - $ 71.7 - $ 292.2 - $ 292.2
Deferred compensation asset (b)
- 3.0 - 3.0 - 2.7 - 2.7
Liabilities:
Deferred compensation obligation (b)
- 2.8 - 2.8 - 2.7 - 2.7
Schedule of Fair Value of Debt
March 31, 2013
December 31, 2012
Carrying Value
Fair Value
Carrying Value
Fair Value
Credit facility term loan
$ - $ - $ 83.2 $ 93.5
Convertible preferred stock and accrued dividends payable-in-kind
103.7 103.7 100.5 100.5
3.0% convertible senior notes, due October 1, 2014
530.0 182.9 530.0 198.2