Annual report pursuant to Section 13 and 15(d)

Funds Held for Clients and Corporate Investments (Tables)

 v2.3.0.11
Funds Held for Clients and Corporate Investments (Tables)
12 Months Ended
May 31, 2011
Funds Held for Clients and Corporate Investments (Tables) [Abstract]  
Funds held for clients and corporate investments
 
                                 
    May 31, 2011  
          Gross
    Gross
       
    Amortized
    unrealized
    unrealized
    Fair
 
In millions   cost     gains     losses     value  
 
Type of issue:
                               
Money market securities and other cash equivalents
  $ 1,372.9     $     $     $ 1,372.9  
Available-for-sale securities:
                               
General obligation municipal bonds
    1,017.5       33.1       (0.1 )     1,050.5  
Pre-refunded municipal bonds(1)
    470.5       14.2             484.7  
Revenue municipal bonds
    361.6       12.1             373.7  
Variable rate demand notes
    828.3                   828.3  
                                 
Total available-for-sale securities
    2,677.9       59.4       (0.1 )     2,737.2  
Other
    8.3       0.6             8.9  
                                 
Total funds held for clients and corporate investments
  $ 4,059.1     $ 60.0     $ (0.1 )   $ 4,119.0  
                                 
 
                                 
    May 31, 2010  
          Gross
    Gross
       
    Amortized
    unrealized
    unrealized
    Fair
 
In millions   cost     gains     losses     value  
 
Type of issue:
                               
Money market securities and other cash equivalents
  $ 1,754.5     $     $     $ 1,754.5  
Available-for-sale securities:
                               
General obligation municipal bonds
    951.1       33.7       (0.3 )     984.5  
Pre-refunded municipal bonds(1)
    539.8       19.5             559.3  
Revenue municipal bonds
    368.0       13.8       (0.1 )     381.7  
Variable rate demand notes
    226.3                   226.3  
                                 
Total available-for-sale securities
    2,085.2       67.0       (0.4 )     2,151.8  
Other
    7.5             (0.2 )     7.3  
                                 
Total funds held for clients and corporate investments
  $ 3,847.2     $ 67.0     $ (0.6 )   $ 3,913.6  
                                 
 
 
(1) Pre-refunded municipal bonds are secured by an escrow fund of U.S. government obligations.
Classification of investments on the Consolidated Balance Sheets
 
                 
    May 31,  
In millions   2011     2010  
 
Funds held for clients
  $ 3,566.7     $ 3,541.0  
Corporate investments
    345.0       82.5  
Long-term corporate investments
    207.3       290.1  
                 
Total funds held for clients and corporate investments
  $ 4,119.0     $ 3,913.6  
                 
Securities in unrealized loss position
 
                                                 
    May 31, 2011  
    Less than
    More than
       
    twelve months     twelve months     Total  
    Gross
          Gross
          Gross
       
    unrealized
    Fair
    unrealized
    Fair
    unrealized
    Fair
 
In millions   losses     value     losses     value     losses     value  
 
Type of issue:
                                               
General obligation municipal bonds
  $ (0.1 )   $ 37.3     $     $     $ (0.1 )   $ 37.3  
Pre-refunded municipal bonds
                                   
Revenue municipal bonds
          14.4                         14.4  
                                                 
Total
  $ (0.1 )   $ 51.7     $     $     $ (0.1 )   $ 51.7  
                                                 
 
                                                 
    May 31, 2010  
    Less than
    More than
       
    twelve months     twelve months     Total  
    Gross
          Gross
          Gross
       
    unrealized
    Fair
    unrealized
    Fair
    unrealized
    Fair
 
In millions   losses     value     losses     value     losses     value  
 
Type of issue:
                                               
General obligation municipal bonds
  $ (0.3 )   $ 44.0     $     $     $ (0.3 )   $ 44.0  
Pre-refunded municipal bonds
          4.1                         4.1  
Revenue municipal bonds
    (0.1 )     25.5                   (0.1 )     25.5  
                                                 
Total
  $ (0.4 )   $ 73.6     $     $     $ (0.4 )   $ 73.6  
                                                 
Realized gains and losses on the sales of available-for-sale securities
 
                         
    Year ended May 31,  
In millions   2011     2010     2009  
 
Gross realized gains
  $ 1.3     $ 3.2     $ 1.2  
Gross realized losses
                (0.1 )
                         
Net realized gains
  $ 1.3     $ 3.2     $ 1.1  
                         
 
Amortized cost and fair value of available-for-sale securities having contractual maturity
 
                 
    May 31, 2011  
    Amortized
    Fair
 
In millions   cost     value  
 
Maturity date:
               
Due in one year or less
  $ 408.7     $ 412.3  
Due after one year through three years
    603.0       626.9  
Due after three years through five years
    570.8       592.7  
Due after five years
    1,095.4       1,105.3  
                 
Total
  $ 2,677.9     $ 2,737.2