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Notes to Consolidated Financial Statements
Jarden Corporation Annual Report 2010 (Dollars in millions, except per share data and unless otherwise indicated)
The composition of domestic pension plan assets at December 31, 2010 and 2009 is as follows:
The composition of foreign pension plan assets at December 31, 2010 and 2009 is as follows:
Fair Value Measurements of Plan Assets – Domestic Plans
(In millions) December 31, 2010
Asset Category Level 1 Level 2 Level 3 Total
Equity securities and funds:
Domestic $ 46.0 $ — $ — $ 46.0
International 16.7 17.3 34.0
Fixed income securities and funds:
Investment-grade 35.9 6.5 42.4
High-yield 0.2 11.7 11.9
Alternative Investments 21.0 34.6 13.6 69.2
Cash and other 16.7 1.4 18.1
Total $ 136.5 $ 70.1 $ 15.0 $ 221.6
Fair Value Measurements of Plan Assets – Domestic Plans
(In millions) December 31, 2009
Asset Category Level 1 Level 2 Level 3 Total
Equity securities and funds:
Domestic $ 34.0 $ — $ — $ 34.0
International 15.3 11.3 26.6
Fixed income securities and funds:
Investment-grade 40.5 25.9 66.4
High-yield 7.7 7.7
Alternative Investments 27.4 6.5 33.9
Cash and other 34.4 1.3 35.7
Total $ 124.2 $ 72.3 $ 7.8 $ 204.3
Fair Value Measurements of Plan Assets – Foreign Plans
(In millions) December 31, 2010
Asset Category Level 1 Level 2 Level 3 Total
Equity securities and funds $ 5.6 $ — $ — $ 5.6
Fixed income securities and funds 7.6 7.6
Cash and other 0.8 15.3 16.1
Total $ 14.0 $ — $ 15.3 $ 29.3
Fair Value Measurements of Plan Assets – Foreign Plans
(In millions) December 31, 2009
Asset Category Level 1 Level 2 Level 3 Total
Equity securities and funds $ 5.1 $ — $ — $ 5.1
Fixed income securities and funds 6.6 7.7 14.3
Cash and other 0.8 0.8
Total $ 12.5 $ — $ 7.7 $ 20.2
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