Quarterly report pursuant to Section 13 or 15(d)

Statements Of Condensed Consolidated Financial Position

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Statements Of Condensed Consolidated Financial Position (USD $)
In Millions, unless otherwise specified
Mar. 31, 2014
Dec. 31, 2013
CURRENT ASSETS    
Cash and cash equivalents $ 364.0 $ 335.5
Accounts receivable, net 130.6 270.0
Inventories 609.8 391.4
Supplies and other inventories 204.9 216.0
Other current assets 363.0 347.1
TOTAL CURRENT ASSETS 1,672.3 1,560.0
PROPERTY, PLANT AND EQUIPMENT, NET 11,086.0 11,153.4
OTHER ASSETS    
Other non-current assets 444.5 408.5
TOTAL OTHER ASSETS 444.5 408.5
TOTAL ASSETS 13,202.8 13,121.9
CURRENT LIABILITIES    
Accounts payable 329.2 345.5
Accrued expenses 363.5 392.7
Short-term and current portion of long-term debt 96.9 20.9
Other current liabilities 253.5 326.4
TOTAL CURRENT LIABILITIES 1,043.1 1,085.5
PENSION AND POSTEMPLOYMENT BENEFIT LIABILITIES 285.0 294.0
ENVIRONMENTAL AND MINE CLOSURE OBLIGATIONS 300.7 309.7
DEFERRED INCOME TAXES 1,195.7 1,146.5
LONG-TERM DEBT 3,194.8 3,022.6
OTHER LIABILITIES 347.9 379.3
TOTAL LIABILITIES 6,367.2 6,237.6
COMMITMENTS AND CONTINGENCIES (SEE NOTE 18)      
CLIFFS SHAREHOLDERS' EQUITY    
Preferred Stock - no par value, Class A - 3,000,000 shares authorized, 7 % Series A Mandatory Convertible, Class A, no par value and $1,000 per share liquidation preference (See Note 14), Issued and Outstanding - 731,233 shares (2013 - 731,250) 731.3 731.3
Common Shares - par value $0.125 per share, Authorized - 400,000,000 shares (2013- 400,000,000 shares); Issued - 159,546,224 shares (2013 - 159,546,224 shares); Outstanding - 153,181,056 shares (2013 - 153,126,291 shares) 19.8 19.8
Capital in excess of par value of shares 2,321.1 2,329.5
Retained earnings 3,300.9 3,407.3
Cost of 6,365,168 common shares in treasury (2013 - 6,419,933 shares) (298.5) (305.5)
Accumulated other comprehensive loss (55.1) (112.9)
TOTAL CLIFFS SHAREHOLDERS' EQUITY 6,019.5 6,069.5
NONCONTROLLING INTEREST 816.1 814.8
TOTAL EQUITY 6,835.6 6,884.3
TOTAL LIABILITIES AND EQUITY $ 13,202.8 $ 13,121.9