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Quarterly report pursuant to Section 13 or 15(d)

Statements Of Condensed Consolidated Financial Position

v2.4.0.6
Statements Of Condensed Consolidated Financial Position (USD $)
In Millions, unless otherwise specified
Mar. 31, 2012
Dec. 31, 2011
CURRENT ASSETS Ìý Ìý
Cash and cash equivalents $ 122.3 $ 521.6
Accounts receivable 247.2 304.2
Inventories 695.9 475.7
Supplies and other inventories 228.8 216.9
Deferred and refundable taxes 21.8 21.9
Derivative assets 78.8 82.1
Other current assets 192.5 168.3
TOTAL CURRENT ASSETS 1,587.3 1,790.7
PROPERTY, PLANT AND EQUIPMENT, NET 10,766.7 10,524.6
OTHER ASSETS Ìý Ìý
Investments in ventures 530.9 526.6
Goodwill 1,166.9 1,152.1 [1]
Intangible assets, net 143.0 147.0
Deferred income taxes 511.7 209.5
Other non-current assets 186.8 191.2
TOTAL OTHER ASSETS 2,539.3 2,226.4
TOTAL ASSETS 14,893.3 14,541.7
CURRENT LIABILITIES Ìý Ìý
Accounts payable 394.5 380.3
Accrued expenses 380.6 386.3
Taxes payable 238.0 324.5
Current portion of term loan 87.2 74.8
Deferred revenue 108.6 126.6
Other current liabilities 175.7 200.8
TOTAL CURRENT LIABILITIES 1,384.6 1,493.3
POSTEMPLOYMENT BENEFIT LIABILITIES 635.6 665.8
ENVIRONMENTAL AND MINE CLOSURE OBLIGATIONS 227.0 222.0
DEFERRED INCOME TAXES 1,143.9 1,062.4
LONG-TERM DEBT 3,583.8 3,608.7
BELOW-MARKET SALES CONTRACTS 113.2 111.8
OTHER LIABILITIES 371.3 338.0
TOTAL LIABILITIES 7,459.4 7,502.0
COMMITMENTS AND CONTINGENCIES ÌýÌý ÌýÌý
CLIFFS SHAREHOLDERS' EQUITY Ìý Ìý
Common Shares - par value $0.125 per share, Authorized - 400,000,000 shares (2011 - 400,000,000); Issued - 149,195,469 shares (2011 - 149,195,469 shares); Outstanding - 142,487,477 shares (2011 - 142,021,718 shares) 18.5 18.5
Capital in excess of par value of shares 1,755.1 1,770.8
Retained earnings 4,760.3 4,424.3
Cost of 6,707,992 common shares in treasury (2011 - 7,173,751 shares) (323.0) (336.0)
Accumulated other comprehensive loss (70.9) (92.6)
TOTAL CLIFFS SHAREHOLDERS' EQUITY 6,140.0 5,785.0
NONCONTROLLING INTEREST 1,293.9 1,254.7
TOTAL EQUITY 7,433.9 7,039.7
TOTAL LIABILITIES AND EQUITY $ 14,893.3 $ 14,541.7
[1] Represents a 12-Month rollforward of our goodwill by reportable unit at December 31, 2011.