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Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2015
Fair Value Disclosures [Abstract]  
Carrying Amount and Fair Values of the Company's Assets and Liabilities Measured on a Recurring Basis

The following table presents the carrying amount and fair values of the Company’s assets and liabilities measured on a recurring basis:

 

     September 30, 2015      December 31, 2014  

(in millions)

   Carrying
Amount
     Fair
Value
     Carrying
Amount
     Fair
Value
 

Assets

           

Non-derivatives:

           

Cash and cash equivalents

   $ 127.7       $ 127.7       $ 41.6       $ 41.6   

Short-term investments

     5.1         5.1         4.7         4.7   

Derivatives (Level 1 measurement):

           

Other non-current assets:

           

Foreign currency forward exchange contracts

     0.2         0.2         0.0         0.0   

Liabilities

           

Non-derivatives:

           

Bank overdraft

   $ 7.6       $ 7.6       $ 0.0       $ 0.0   

Long-term debt (including current portion)

     127.0         127.0         139.4         139.4   

Finance leases (including current portion)

     3.1         3.1         2.2         2.2   

Derivatives (Level 1 measurement):

           

Other non-current liabilities:

           

Foreign currency forward exchange contracts

     0.0         0.0         1.8         1.8   

Non-financial liabilities (Level 3 measurement):

           

Acquisition-related contingent consideration (including current portion)

     63.6         63.6         95.2         95.2   

Stock equivalent units

     6.2         6.2         7.2         7.2