Annual report pursuant to Section 13 and 15(d)

Commitments and Contingencies (Details)

v3.3.1.900
Commitments and Contingencies (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2015
Dec. 31, 2014
Dec. 31, 2013
Commitments and Contingencies Disclosure [Abstract]      
Potential cash payments to third parties recourse, single year obligation $ 30.7 $ 30.9  
Potential cash payments to third parties recourse, maximum obligation 36.8 35.8  
Amount of accrual for potential losses related to recourse obligations 1.1 1.2  
Amounts of accounts receivable under sale arrangements, current portion 22.5 23.7  
Amounts of accounts receivable under sale arrangements, long-term portion 23.7 19.6  
Potential cash payments to third parties to repurchase collateral, single year obligation 57.9 56.8  
Potential cash payments to third parties to repurchase collateral, maximum obligation 57.9 56.8  
Amount of accrual for potential losses related to repurchase exposure 1.1 1.2  
Letters of credit outstanding 6.1    
Amount of outstanding surety bonds 14.2    
Amount of restricted cash collateral against workers comp obligations 12.7 15.6  
Reductions in (transfers to) restricted cash 2.9 (9.1) $ 6.5
Activity related to product warranty liabilities [Roll Forward]      
Balance at beginning of period 110.6 119.6  
Payments made (59.1) (56.5)  
Provisions/additions for contracts issued/sold 67.8 68.6  
Aggregate changes for preexisting warranties (9.6) (18.5)  
Standard Product Warranty Accrual, Currency Translation, Increase (Decrease) (3.4) (2.6)  
Balance at end of period 106.3 110.6 119.6
Amount of deferred revenue related to extended warranty 78.3 72.6  
Estimated cost of environmental remediation and clean up projects, minimum 40.0    
Estimated cost of environmental remediation and clean up projects, maximum 64.2    
Amount of reserves for environmental liabilities 40.0 39.9  
Amount of environmental provisions $ 1.4 $ 1.0 $ 0.5