NORTHERN TRUST CORP | 2013 | FY | 3


Note 15 – Accumulated Other Comprehensive Income (Loss)

The following tables summarize the components of accumulated other comprehensive income (loss) at December 31, 2013, 2012, and 2011, and changes during the years then ended.

(In Millions) BALANCE AT
DECEMBER 31,
2013
NET
CHANGE
BALANCE AT
DECEMBER 31,
2012
NET
CHANGE
BALANCE AT
DECEMBER 31,
2011
NET
CHANGE
BALANCE AT
DECEMBER 31,
2010

Net Unrealized Gains (Losses) on Securities Available for Sale

$ 6.0 $ (95.0 ) $ 101.0 $ 61.2 $ 39.8 $ 53.3 $ (13.5 )

Net Unrealized Gains (Losses) on Cash Flow Hedges

2.9 4.3 (1.4 ) 5.6 (7.0 ) (18.4 ) 11.4

Net Foreign Currency Adjustments

7.1 (3.4 ) 10.5 20.0 (9.5 ) (2.5 ) (7.0 )

Net Pension and Other Postretirement Benefit Adjustments

(260.3 ) 132.8 (393.1 ) (24.2 ) (368.9 ) (72.7 ) (296.2 )

Total

$ (244.3 ) $ 38.7 $ (283.0 ) $ 62.6 $ (345.6 ) $ (40.3 ) $ (305.3 )

YEAR ENDED DECEMBER 31,
2013 2012 2011
(In Millions) BEFORE
TAX
TAX
EFFECT
AFTER
TAX

BEFORE

TAX

TAX

EFFECT

AFTER

TAX

BEFORE
TAX

TAX

EFFECT

AFTER

TAX

Unrealized Gains (Losses) on Securities Available for Sale

Noncredit-Related Unrealized Losses on Securities OTTI

$ 3.0 $ (1.1 ) $ 1.9 $ 15.7 $ (5.9 ) $ 9.8 $ 10.2 $ (3.6 ) $ 6.6

Other Unrealized Gains (Losses) on Securities Available for Sale

(156.8 ) 59.0 (97.8 ) 96.2 (36.1 ) 60.1 61.6 (23.4 ) 38.2

Reclassification Adjustment for (Gains) Losses Included in Net Income

1.6 (0.7 ) 0.9 (13.9 ) 5.2 (8.7 ) 13.5 (5.0 ) 8.5

Net Change

$ (152.2 ) $ 57.2 $ (95.0 ) $ 98.0 $ (36.8 ) $ 61.2 $ 85.3 $ (32.0 ) $ 53.3

Unrealized Gains (Losses) on Cash Flow Hedges

Unrealized Gains (Losses) on Cash Flow Hedges

$ 2.1 $ (0.7 ) $ 1.4 $ 3.2 $ (0.6 ) $ 2.6 $ (23.6 ) $ 8.8 $ (14.8 )

Reclassification Adjustment for (Gains) Losses Included in Net Income

4.7 (1.8 ) 2.9 4.8 (1.8 ) 3.0 (5.6 ) 2.0 (3.6 )

Net Change

$ 6.8 $ (2.5 ) $ 4.3 $ 8.0 $ (2.4 ) $ 5.6 $ (29.2 ) $ 10.8 $ (18.4 )

Foreign Currency Adjustments

Foreign Currency Translation Adjustments

$ 91.9 $ (29.7 ) $ 62.2 $ 37.9 $ 3.1 $ 41.0 $ (7.0 ) $ $ (7.0 )

Net Investment Hedge Gain (Losses)

(107.3 ) 41.7 (65.6 ) (33.7 ) 12.7 (21.0 ) 25.7 (21.2 ) 4.5

Net Change

$ (15.4 ) $ 12.0 $ (3.4 ) $ 4.2 $ 15.8 $ 20.0 $ 18.7 $ (21.2 ) $ (2.5 )

Pension and Other Postretirement Benefit Adjustments

Net Actuarial Gain (Loss)

$ 157.7 $ (54.9 ) $ 102.8 $ (62.8 ) $ 15.8 $ (47.0 ) $ (158.2 ) $ 61.3 $ (96.9 )

Prior Service Benefit

7.7 (2.9 ) 4.8

Reclassification Adjustment for Losses Included in Net Income

46.1 (16.1 ) 30.0 33.9 (11.1 ) 22.8 30.2 (10.8 ) 19.4

Net Change

$ 203.8 $ (71.0 ) $ 132.8 $ (28.9 ) $ 4.7 $ (24.2 ) $ (120.3 ) $ 47.6 $ (72.7 )

The following table provides the location and before-tax amounts of reclassifications out of accumulated other comprehensive income (loss) during the years ended December 31, 2013, 2012 and 2011.

(In Millions)

LOCATION OF
RECLASSIFICATION ADJUSTMENTS

RECOGNIZED IN INCOME

AMOUNT OF RECLASSIFICATION

ADJUSTMENTS RECOGNIZED

IN INCOME

YEAR ENDED DECEMBER 31,

2013 2012 2011

Securities Available for Sale

Realized (Gains) Losses on Securities Available for Sale

Investment Security Gains (Losses), net $ 1.6 $ (13.9 ) $ 13.5

Realized (Gains) Losses on Cash Flow Hedges

Foreign Exchange Contracts

Other Operating Income/ Expense 4.7 4.8 (5.6 )

Pension and Other Postretirement Benefit Adjustments

Amortization of Net Actuarial (Gain) Loss

Employee Benefits 49.0 38.8 33.4

Amortization of Prior Service Cost

Employee Benefits (2.9 ) (4.9 ) (3.2 )

Gross Reclassification Adjustment

$ 46.1 $ 33.9 $ 30.2

 


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