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Fair Value (Tables)
6 Months Ended
Jun. 30, 2021
Fair Value Disclosures [Abstract]  
Recurring Fair Value Measures [Table Text Block]
 Fair Value as of June 30, 2021
Recurring Fair Value MeasuresLevel 1Level 2Level 3Total
Millions    
Assets    
Investments (a)
Available-for-sale – Equity Securities$9.1 — — $9.1 
Available-for-sale – Corporate and Governmental Debt Securities (b)
— $8.5 — 8.5 
Cash Equivalents1.9 — — 1.9 
Total Fair Value of Assets$11.0 $8.5 — $19.5 
Liabilities    
Deferred Compensation (c)
— $22.1 — $22.1 
Total Fair Value of Liabilities— $22.1 — $22.1 
Total Net Fair Value of Assets (Liabilities)$11.0 $(13.6)— $(2.6)
 Fair Value as of December 31, 2020
Recurring Fair Value MeasuresLevel 1Level 2Level 3Total
Millions
Assets
Investments (a)
Available-for-sale – Equity Securities$7.2 — — $7.2 
Available-for-sale – Corporate and Governmental Debt Securities— $10.4 — 10.4 
Cash Equivalents5.5 — — 5.5 
Total Fair Value of Assets$12.7 $10.4 — $23.1 
Liabilities
Deferred Compensation (c)
— $21.0 — $21.0 
Total Fair Value of Liabilities— $21.0 — $21.0 
Total Net Fair Value of Assets (Liabilities)$12.7 $(10.6)— $2.1 
(a)Included in Other Non-Current Assets on the Consolidated Balance Sheet.
(b)As of June 30, 2021, the aggregate amount of available-for-sale corporate and governmental debt securities maturing in one year or less was $2.0 million, in one year to less than three years was $2.6 million, in three years to less than five years was $3.6 million and in five or more years was $0.3 million.
(c)Included in Other Non-Current Liabilities on the Consolidated Balance Sheet.
Fair Value, by Balance Sheet Grouping [Table Text Block]
Financial InstrumentsCarrying AmountFair Value
Millions  
Short-Term and Long-Term Debt (a)
  
June 30, 2021$2,036.1$2,271.7
December 31, 2020$1,806.4$2,122.0
(a)Excludes unamortized debt issuance costs.