0001047469-13-002047.txt : 20130301 0001047469-13-002047.hdr.sgml : 20130301 20130301141016 ACCESSION NUMBER: 0001047469-13-002047 CONFORMED SUBMISSION TYPE: 10-K PUBLIC DOCUMENT COUNT: 20 CONFORMED PERIOD OF REPORT: 20121231 FILED AS OF DATE: 20130301 DATE AS OF CHANGE: 20130301 FILER: COMPANY DATA: COMPANY CONFORMED NAME: KNOLL INC CENTRAL INDEX KEY: 0001011570 STANDARD INDUSTRIAL CLASSIFICATION: MISCELLANEOUS FURNITURE & FIXTURES [2590] IRS NUMBER: 133873847 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-12907 FILM NUMBER: 13656373 BUSINESS ADDRESS: STREET 1: 1235 WATER ST CITY: EAST GREENVILLE STATE: PA ZIP: 18041 BUSINESS PHONE: 2156797991 MAIL ADDRESS: STREET 1: 1235 WATER STREET CITY: EAST GREENVILLE STATE: PA ZIP: 18041 10-K 1 a2213207z10-k.htm 10-K

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Table of Contents

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM 10-K

ý   ANNUAL REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the fiscal year ended December 31, 2012

OR

o

 

TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the transition period from                to              

Commission File No. 001-12907

KNOLL, INC.
(Exact name of registrant as specified in its charter)

Delaware
(State or other jurisdiction of
incorporation or organization)
  13-3873847
(I.R.S. Employer
Identification Number)

1235 Water Street
East Greenville, PA 18041
(215) 679-7991

(Address, including zip code, and telephone number including area code of principal executive offices)

         SECURITIES REGISTERED PURSUANT TO SECTION 12(b) OF THE ACT:

Title of each class   Name of exchange on which registered
Common Stock, par value $0.01 per share   New York Stock Exchange

         SECURITIES REGISTERED PURSUANT TO SECTION 12(g) OF THE ACT: NONE

         Indicate by check mark if the issuer is a well-known seasoned issuer (as defined in Rule 405 of the Securities Act.) Yes ý    No o

         Indicate by check mark if the registrant is not required to file reports pursuant to Section 13 or Section 15(d) of the Exchange Act. Yes o    No ý

         Indicate by check mark whether the Registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the Registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days. Yes ý    No o

         Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Website, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files). Yes ý    No o

         Indicate by check mark if disclosure of delinquent filers pursuant to Item 405 of Regulation S-K is not contained herein, and will not be contained, to the best of registrant's knowledge, in definitive proxy or information statements incorporated by reference in Part III of this Form 10-K or any amendment to this Form 10-K. ý

         Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer or a smaller reporting company. See the definitions of "large accelerated filer," "accelerated filer" and "smaller reporting company" in Rule 12b-2 of the Exchange Act.

Large accelerated filer ý   Accelerated filer o   Non-accelerated filer o
(Do not check if a
smaller reporting company)
  Smaller reporting company o

         Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act.) Yes o    No ý

         As of June 30, 2012, the aggregate market value of the registrant's common stock held by non-affiliates of the registrant was approximately $611,711,000 based on the closing sale price as reported on the New York Stock Exchange.

         As of February 22, 2013 there were 48,183,615 shares (including 1,301,415 shares of non-voting restricted shares) of the Registrant's common stock, par value $0.01 per share, outstanding.

DOCUMENTS INCORPORATED BY REFERENCE

         Portions of the Registrant's definitive Proxy Statement for its 2013 Annual Meeting of Stockholders are incorporated by reference into Part III of this report on Form 10-K to the extent stated therein.

   


Table of Contents


TABLE OF CONTENTS

Item
   
  Page  

 

PART I

       

1.

 

Business

   
1
 

1A.

 

Risk Factors

    14  

1B.

 

Unresolved Staff Comments

    24  

2.

 

Properties

    24  

3.

 

Legal Proceedings

    24  

4.

 

Mine Safety Disclosures

    24  

 

PART II

       

5.

 

Market For Registrant's Common Equity, Related Stockholder Matters and Issuer Purchases of Equity Securities

   
25
 

6.

 

Selected Financial Data

    28  

7.

 

Management's Discussion and Analysis of Financial Condition and Results of Operations

    29  

7A.

 

Quantitative and Qualitative Disclosures about Market Risk

    44  

8.

 

Financial Statements and Supplementary Data

    46  

9.

 

Changes in and Disagreements with Accountants on Accounting and Financial Disclosures

    83  

9A.

 

Controls and Procedures

    83  

9B.

 

Other Information

    85  

 

PART III

       

10.

 

Directors, Executive Officers and Corporate Governance

   
85
 

11.

 

Executive Compensation

    85  

12.

 

Security Ownership of Certain Beneficial Owners and Management and Related Stockholder Matters

    85  

13.

 

Certain Relationships and Related Transactions, and Director Independence

    86  

14.

 

Principal Accounting Fees and Services

    86  

 

PART IV

       

15.

 

Exhibits and Financial Statement Schedules

   
87
 

Signatures

   
91
 

Table of Contents


PART I

ITEM 1.    BUSINESS

General

        We are a leading designer and manufacturer of workplace furnishings, textiles and fine leathers. For over a decade now we have been building a diversified design-driven product portfolio and flexible business model that can perform in various business cycles. Our commitment to innovation and modern design has yielded a comprehensive portfolio of products designed to provide enduring value and help clients shape their workplaces and homes with imagination and vision. Our products are recognized for high quality and a sophisticated image and are targeted at the middle to upper end of the market. We sell our products primarily in North America through a direct sales force and a broad network of independent dealers.

        Since our founding in 1938, we have been recognized worldwide as a design leader within our industry. Our products are exhibited in major art museums worldwide, including more than 50 pieces in the permanent Design Collection of The Museum of Modern Art in New York. This legacy continues to flourish today and is embodied in an ambitious series of new products that reflect forward thinking ideas about design and workplace performance, among them: the Generation by Knoll® family of innovative task and multipurpose seating; Reff® Profiles, furnishings for the contemporary private office; and Antenna® Workspaces, a new approach for individual and group work spaces. In 2011, we were honored to receive the Smithsonian Museum's Cooper-Hewitt National Design Award for Corporate and Institutional Achievement, celebrating our design legacy.

        Our design excellence is complemented by a management philosophy that fosters a strong collaborative culture, client-driven processes and a lean, agile operating structure. Our employees are performance-driven and motivated by a variable incentive compensation system and broad-based equity ownership in the company. Together, these core attributes have enabled us to achieve strong financial performance.

        Our management evaluates the company as three reporting segments: (i) Office; (ii) Studio; (iii) and Coverings. The Office segment includes systems, seating, storage, tables, desks and KnollExtra® ergonomic accessories as well as the international sales of our North American Office products. The Studio segment includes our KnollStudio® division, the Company's European subsidiaries which primarily sell KnollStudio products, and Richard Schultz® Design. The KnollStudio portfolio includes a range of lounge seating, side, café and dining chairs, barstools, and conference, dining and occasional tables. Richard Schultz® Design was acquired in 2012 and provides high quality outdoor furniture. The Coverings segment includes KnollTextiles®, Spinneybeck® (including Filzfelt TM), and Edelman® Leather. These businesses serve a wide range of customers offering high quality textiles, felt, and leather. When we refer to our "specialty" products or businesses in this report, we are referring to our Studio and Coverings segments. See below for a further discussion of the individual businesses within each segment.

        For further information regarding our segments, see Note 18 in the accompanying financial statements.

        All trademarks used in this annual report on Form 10-K that are not owned by us or our affiliates are the property of their respective owners.

Products

        We offer a comprehensive and expanding portfolio of high quality office furniture, textiles and leathers across five product categories: (i) office systems, which are typically modular and moveable workspaces with functionally integrated panels or table desks, worksurfaces, pedestals and other storage

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units, power and data systems and lighting; (ii) office seating; (iii) files and storage; (iv) desks, casegoods and tables; and (v) specialty products, including high image side chairs, sofas, desks and tables for the office and home, textiles, accessories, leathers and related products;. Historically, we have derived most of our revenues from office systems and from specialty products including our KnollStudio collection of signature design classics furnishings, KnollTextiles fabrics, Spinneybeck leathers, and Edelman leathers. However, in recent years, we have significantly expanded our product offerings in seating, files and storage, casegoods and tables and have reduced our dependence on office systems by further growing our specialty businesses.

Office Segment:

Systems Furniture

        We believe that office systems purchases are divided primarily between (i) architect and designer-oriented products and (ii) entry-level products with technology, ergonomic and functional support. Our office systems furniture reflects the breadth of these sectors with a variety of planning models and a corresponding depth of product features. Our systems furniture can define or adapt to virtually any office environment, from collaborative spaces for team interaction to private executive offices.

        Systems furniture consists principally of functionally integrated panels or table desks, worksurfaces, pedestal and other storage units, power and data systems and lighting. These components are combined to create flexible, space-efficient work environments that can be moved, re-configured and re-used. Clients, often working with architects and designers, have the opportunity to select from a wide selection of laminates, paints, veneers and textiles to design workspaces appropriate to their organization's personality. Our systems furniture product development strategy aims to insure that product line enhancements can be added to clients' existing installations and integrate with other Knoll product lines, maximizing the value of the clients' investments in Knoll systems products over the long-term.

        Our systems furniture product lines include the following panel and desk-based planning models:

    Antenna® Workspaces

        Introduced in 2010, Antenna Workspaces by Masamichi Udagawa and Sigi Moeslinger, principals of Antenna Design, is a new approach to workplace design that reflects the freedom and mobility people seek in today's office. Antenna Workspaces considers the growing variety of settings where work takes place and blends desks, tables, storage units and screens to create intuitive solutions for individuals and groups. In the process, Antenna Workspaces suggests connections and boundaries between diverse work areas and establishes a new way to shape space, simplifying transitions between individual and group work. Antenna Workspaces has received recognition for its novel approach to office planning, including in 2010, at NeoCon®, our national industry tradeshow, a Best of NeoCon® innovation award. During 2011 and 2012, product additions expanded the reach of the system.

    Reff® Profiles

        In 2010, Reff Profiles debuted, building on the Reff flagship wood systems platform. Throughout its history, Reff has combined the high performance capabilities of panel-based systems furniture with the refined elegance of wood casegoods, showcasing sophisticated all-wood construction and precisely crafted detail. Reff Profiles extends those capabilities, with new aesthetic options, enhanced storage for materials and technology, and simple user access to power and data needs. Reff Profiles is available in an extensive range of veneers, laminates, glass, and metal options that can be used interchangeably in private offices and as freestanding or panel-based furnishings for the open office. During 2011, the Reff Profiles line expanded, with a new scope of administrative workstations and reception desks, and in 2012 the line expanded again with a series of tables, credenzas and bookcases for meeting spaces.

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These extensions allow a single product line to support a broad set of product applications within a workplace.

    AutoStrada®

        Introduced in 2004, AutoStrada is one of the most comprehensive office concepts that we have developed. AutoStrada provides aesthetic and functional alternatives to traditional panel-based and desk-based systems furniture with four planning models that combine high-performance furniture with the look of custom millwork. The AutoStrada spine-based, storage-based, wall-based and collaborative/open table planning models leverage a consistent design aesthetic to create a distinctively modern aesthetic in both open plan and private office environments. Whether an office requires a high performance open plan system, architectural casegoods, progressive private office furniture or a collaborative "big table" concept, AutoStrada provides a solution. In 2004, AutoStrada received a silver Best of NeoCon® award.

Dividends Horizon®

        Dividends Horizon, introduced in 2007, extends the Dividends portfolio of workplace solutions introduced in 1998 with new planning opportunities for the individual workstation, focusing on new materials and furniture that evolve the office landscape with a layered approach to furniture design. Focusing on exceptionally light and transparent materials and practical, personalized storage solutions, Dividends Horizon creates rich spatial environments for the contemporary workspace. Dividends Horizon received a silver 2007 Best of NeoCon® award. The system's enduring success is based on a straightforward, versatile frame-and-tile construction, featuring a universal panel frame. Removable panel inserts, which can be ordered in fabric, steel, glass or as marker boards, meet a range of clients' design and budgetary needs. The Dividends Horizon panel frame enables clients to utilize either monolithic, tiled or beltway panel type for applications throughout the workplace, and power and data access may be located virtually anywhere on the panel.

    Morrison

        Our Morrison furniture system was introduced in 1986 and continues to be one of our most proven product offerings. Morrison meets essential power and data requirements for panel and desk-based planning and private offices, and offers one of the broadest ranges of systems performance in the industry. Morrison has been upgraded periodically with interchangeable enhancements from its Morrison Network, Morrison Access and Morrison Options lines. In addition, Morrison integrates with Currents® (described below) to provide advanced wire management capabilities, as well as with our Calibre® and Series 2 desks, pedestals, lateral files, overhead storage cabinets and architectural towers to provide compatible, cost-effective panel and desk-based solutions.

    Equity®

        The distinguishing feature of our Equity product is its unique centerline modularity, which maximizes the efficient use of space for high-density workplaces with a minimal inventory of parts. Equity incorporates power and data capabilities, including desktop features, and integrates with Currents (described below) to provide advanced wire management capabilities. Equity components also create modular freestanding desks, and Equity 120-degree planning enables clients to create sleek, hexagonal configurations that are well suited for call and data centers. For both 90- and 120-degree Equity planning, a variety of components, including add-on screens, bi-fold doors and side-door components, accommodate clients' needs for privacy and storage.

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    Currents®

        Our award-winning and innovative Currents system provides advanced power and data capabilities to organizations that require maximum space-planning freedom, advanced technology support and the mobility of freestanding furniture. The groundbreaking Currents service wall divides space and manages technology. A related product, Fence, provides comparable performance for low horizon settings. Currents and Fence may be used in tandem with existing Knoll systems furniture, removing the constraints imposed by conventional panel system. Currents and Fence may also be used with competitors' systems and freestanding furniture.

Seating

        We continuously research and assess the general landscape of the office seating market, and tailor work chair product development initiatives to enhance our competitive position for ergonomics, aesthetics, comfort and value. We believe that the result of these efforts is an increasingly innovative, versatile seating collection consistent with the Knoll brand.

        Key client criteria in work chair selection include superior ergonomics, aesthetics, comfort, quality and affordability, all of which are consistent with our strengths and reputation. We believe that we offer an excellent and fully competitive line-up of chairs at a range of price points and performance levels and constructed from varying materials, including mesh, polymers, and upholstery. In 2010, we again expanded our range of seating with MultiGeneration by Knoll, companion side chairs to the award-winning Generation by Knoll task chair. MultiGeneration offers two multipurpose chair options: stacking and a novel "hybrid" version, both offering a level of comfort and unrestrained movement unusual in the side seating category. In 2012, Knoll expanded the range once again with ReGeneration by Knoll. Straight-forward in appearance, the ReGeneration by Knoll task chair leverages flexible, durable and sustainable materials that respond to the user's movements.

        Our principal seating product lines include:

        Generation by Knoll®, our flagship task chair, reflects Knoll's commitment to materials innovation and forward thinking ergonomic research that has found there is no one right way to sit. Generation offers a new standard of unrestrained movement, supporting the range of postures and work styles typical of today's workplace through elastic design, where the chair rearranges itself in response to the user. Generation has received a series of accolades from the national press, including The Wall Street Journal, Business Week, Time, Fast Company and CBS Sunday Morning. Additionally, the chair has been honored with many awards, including Interior Design magazine's 2009 Best of Year Product Award in the contact/task seating category, the Chicago Athenaeum GOOD DESIGN Award, and a Best of NeoCon Gold Award for office seating.

        ReGeneration by Knoll®, a general purpose task chair, extends the themes of Generation by Knoll®, to support the user simply and efficiently. Doing more with less, ReGeneration provides continuous support and comfort throughout the day. The chair's efficient structure required re-examining every detail and innovating in the use of sustainable material. As a result, the chair is light-weight, visually and physically, and achieves the highest level of environmental certifications. The chair has been lauded in Cool Hunting, Wired.com, TreeHugger, and other design, technology, and environmental blogs.

        LIFE®, introduced in 2002, has become an industry benchmark for ergonomic and sustainable design. Recognized for its overall lightness and agility, LIFE features intuitive adjustments that bring comfort and effortless control to a new performance level with an extensive range of supportive sitting options and responsive lumbar support.

        RPM®, recognized for outstanding comfort, extraordinary performance and exceptional value, is offered with distinctive fabrics that reflect its stylish design. Engineered for durability, RPM delivers comfort and support, especially for 24-hour work environments.

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        Chadwick™, introduced in 2005, is an innovative hybrid seating design that accommodates the changing needs of today's workplace and home office.

        The family of Essentials Work Chairs, introduced in 2005-07, offers the ergonomic comfort and appeal of fully upholstered task chairs at a significant value. Essentials Work Chairs' Pro™, Tech™, and Sport™ models offer a comprehensive range of four task and two side chairs suitable to any office style from the traditional to the progressive.

Files and Storage

        Our files and storage products, featuring the Template®, Calibre® and Series 2™ product lines, are designed with unique features to maximize storage capabilities throughout the workplace. Our core files and storage products consist of lateral files, mobile pedestals and other storage units, bookcases and overhead storage cabinets.

        The range of files and storage completes our product offering, allowing clients to address all of their furniture needs with us, especially in competitive bid situations where Knoll office systems, seating, tables and desks have been specified. The breadth of the product line also enables our dealers to offer files and storage as standalone products to businesses with smaller requirements.

        Files and storage are available in an extensive array of sizes, configurations and colors, which can be integrated with other manufacturers' stand-alone furniture, thereby increasing our penetration in competitor accounts. In addition, certain elements of the product line can be configured as freestanding furniture in private offices or open-plan environments.

    Template®

        In 2009, we introduced the Template Storage System, offering an economical approach to workplace planning, using vertical storage units to divide and define workspaces. In doing so, the product's compact 15 inch deep footprint consolidates storage while reducing the overall size of an individual workspace, saving clients both money and space. Template can be combined with Dividends Horizon, Antenna Workspaces, and other Knoll systems to expand its planning capabilities.

    Calibre®

        Calibre storage, comprised of lateral files, pedestals, hybrid cabinets, wardrobes and personal storage towers, offers clients a broad array of metal storage solutions to support virtually any office environment. Personalization is encouraged and valuable space is maximized with 1.5' planning advantage and Build-Your-Own design possibilities, offering more drawer heights and configurations than industry standards. Calibre storage can stand alone or blend with Dividends Horizon, Morrison, and other Knoll systems to complement focused, shared and team workspaces.

    Series 2

        With a focused storage offering in a range of aesthetics, Series 2 storage provides ideal solutions for value-conscious customers. Overhead storage, pedestals and personal storage towers are offered in numerous front designs, both metal and veneer, which perfectly coordinate with Knoll' Dividends Horizon, Reff, Morrison and Template systems.

Desks, Casegoods, and Tables

        We offer collections of adjustable tables as well as meeting, conference, training, dining, and café tables for large scale projects and stand-alone desks and table desks. These items are also sold as stand-alone products through our Knoll dealers to businesses with smaller requirements.

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        Our Interaction™ and Upstart® product lines include adjustable, work, meeting, conference and training tables. These product lines range from independent tables to tables suitable for workstations that support individual preferences for computer and writing heights to plannable desks that can be linked together to build and reshape larger work areas. During 2012, the Company introduced a universal height adjustable table, designed to be compatible with the Dividends Horizons, Antenna, and Reff Profiles office systems. Also in the same year, the Company expanded the Reff Profiles line to include a series of meeting tables and introduced the signature LSM Conference Table Collection for KnollStudio.

        Our principal desk product line, the Graham Collection® is detailed to meet the needs of the contemporary office while offering traditional wood casegoods construction synonymous with the Knoll standard of quality.

KnollExtra®

        KnollExtra offers accessories that complement Knoll office furniture products, including technology support accessories, desktop organizational tools, lighting and storage. KnollExtra integrates technology comfortably into the workplace, meeting the increased demand for flat panel monitor supports and central processing unit holders, which deliver adjustability and space savings. During 2009, KnollExtra introduced the Sapper™ Monitor Arm Collection, designed by renowned industrial designer Richard Sapper. The collection provides a clean, modern solution to technology challenges in the modern workplace and has been accepted into the permanent collection of New York's Museum of Modern Art. During 2012, KnollExtra expanded the scope of this fast-growing product line.

        The Office segment accounted for approximately 71.4% of our sales in 2012, 72.0% of our sales in 2011, and 69.4% of our sales in 2010.

Studio Segment:

        KnollStudio, well-known for the Barcelona®, Saarinen, and Bertoia collections, is a renowned source for classic modern furniture and spirited new designs of unparalleled quality for the workplace, home, hotels, restaurants and government and educational institutions. The KnollStudio portfolio includes a range of lounge seating; side, café and dining chairs; barstools; and conference, dining and occasional tables. In 2012, KnollStudio broadened its product categories to include outdoor furnishings, through the Company's acquisition of Richard Schultz Design. Notable Richard Schultz product lines include the Petal Collection and 1966 Collection, mid-century classics designed by Schultz during his long tenure at Knoll prior to beginning his own business in 1992.

        KnollStudio has a long history of working with celebrated architects and designers from around the world, including Ludwig Mies van der Rohe, Marcel Breuer, Eero Saarinen, Isamu Noguchi, Warren Platner, Frank Gehry, Maya Lin, Jens Risom, Kazuhide Takahama, and Ross Lovegrove. In addition, KnollStudio manufactures a collection of original furniture designs by Florence Knoll.

        In 2012, KnollStudio introduced an ambitious series of new products, reflecting the brand's reach into both commercial and residential interiors. Among the introductions were the Lounge Collection by French architects Pierre Beucler and Jean-Christophe Poggioli of Architecture and Associés; the Krusin Occasional Table Collection by British designer Marc Krusin; the LSM Conference Table Collection by Debra Lehman-Smith and Ron Fiegenschuh of the architectural firm LSM; the Olivares Aluminum Chair by designer Jonathan Olivares; and the Stromborg Table Collection by designer Daniel Stromborg. Stromborg's collection received a Best of NeoCon® silver award in the occasional tables category.

        Also, in 2012, KnollStudio opened a residential showroom in the New York D&D Building, providing high end decorators access to Knoll's broad range of home-oriented furnishings in Manhattan's premiere interior design showroom facility.

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        In 2004, KnollStudio established Knoll Space as a formalized sales program for the retail market, making it easier for consumers to bring the best of Knoll furnishings into their home and home office. The program consists of independent specialty retailers and e-tailers nationwide that sell our iconic modern classics and selected contemporary designs as well as selected products with crossover home office appeal. Through this program we sell our KnollStudio and other selected Knoll products through approximately 65 retailers, with an aggregate of over 100 locations in the United States and Canada.

        Our Studio segment includes the Knoll Europe businesses. Knoll Europe provides products and services primarily to our European clients, whose aesthetics and styles can be different from our North America clients. A majority of Knoll Europe's business is Knoll Studio products, but Knoll Europe also offers a product profile that enables our customers to purchase a complete office environment. In addition, we offer certain products designed specifically for the European market. In 2006, we introduced the Wa™ desking system. Wa™ reinvents desks and storage through its design and construction in a linear and well proportioned modern vernacular. Our presence in the European market provides strategic positioning with clients that have international offices where they would like to maintain their Knoll facility standard. In addition to working with North American clients' international offices, we also have a local European client base.

        In Europe, the core product categories include: (i) KnollStudio; (ii) desk systems, including the Wa™ desking system, the KnollScope®, and the PL1 ™ system; (iii) seating, including a comprehensive range of chairs; and (iv) storage units, which are designed to complement Knoll desk products.

        During 2012, we acquired Richard Schultz Design, Inc., a designer and manufacturer of outdoor furniture for the residential, hospitality, and contract office furniture markets. The Schultz's designs were originally part of Knoll's collection but were subsequently spun-off in the early 1990s.

        The Studio segment accounted for approximately 16.6% of our sales in 2012 and 2011, and 18.8% of our sales in 2010.

Coverings Segment:

        Our Coverings segment consists of (i) KnollTextiles, (ii) Spinneybeck Leather (including Filzfelt products), and (iii) Edelman Leather.

        KnollTextiles was established in 1947 to create high-quality textiles for Knoll furniture. KnollTextiles offers upholstery, panel fabrics, wallcoverings and drapery that harmonize color, pattern and texture and offers products for corporate, hospitality, healthcare and residential interiors. KnollTextiles products are used in the manufacture of Knoll furniture and are sold to clients for use in other manufacturers' products. In 2008, KnollTextiles introduced Knoll Luxe®, a new brand of fashion forward textiles created by KnollTextiles creative director Dorothy Cosonas. For each of the past ten years, KnollTextiles has received Best of NeoCon® gold awards, including a 2012 award for the Stitch Collection by Cosonas. KnollTextiles also won a Best of NeoCon® silver award for a wallcovering collection by New York-based Trove, the latest in a series of collaborations with prominent outside designers.

        KnollTextiles continues to extend its distribution to reach new customers, notably through a KnollTextiles showroom in New York City's D&D building and e-commerce through the knolltextiles.com website In 2011, KnollTextiles was honored with a retrospective of its work exhibited at the Bard Graduate Center for Decorative Arts (BGC) in New York City, and a companion book, KnollTextiles, 1945-2010, published by Yale University Press. Today, more than 100 fabrics from KnollTextiles are in the permanent collection of the Cooper-Hewitt, National Design Museum in New York City.

        Spinneybeck Enterprises, Inc., or Spinneybeck, our wholly owned subsidiary, offers leathers and related products, including leather rugs and wall panels. Spinneybeck supplies high-quality upholstery

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leather for use on Knoll furniture and for sale directly to clients, including other office furniture manufacturers, upholsterers, aviation, custom coach and boating manufacturers.

        Edelman Leather LLC, or Edelman, our wholly owned subsidiary, supplies fine leathers to residential, hospitality, aviation and contract office furniture markets. Edelman, offers a broad residential showroom network where designers and retail consumers can sample our products.

        Filzfelt, a division of Spinneybeck, distributes German-milled 100% wool design felt in 58 colors and five thicknesses and offers a wide range of felt products and full custom capabilities. A biodegradable and renewable material, wool felt is naturally moisture resistant, self-extinguishing, non-directional, available in lightfast and water resistant colors, and provides thermal and acoustic insulation. We acquired the Filzfelt business on December 30, 2011.

        The Coverings segment accounted for approximately 12.0% of our sales in 2012, 11.4% of our sales in 2011, and 11.8% of our sales in 2010.

Product Design and Development

        Our design philosophy reflects an historical commitment to partnering with preeminent industrial designers and architects to commercialize products that meet evolving workplace and residential needs. By combining designers' creative vision with our commitment to innovative materials and technologically advanced processes, we continue to generate strong demand while cultivating brand loyalty among target clients. Our enviable history of nurturing design partner relationships attracts the world's leading designers. In addition, these collaborations are consistent with our commitment to a lean organization and incentive-based compensation, by utilizing a variable royalty-based fee as opposed to the fixed costs typically associated with a larger in-house design staff.

        Our Office and Studio segments product development relies upon a New Product Commercialization Process to ensure quality and consistency of our methodology, reducing product development cycle time without sacrificing quality objectives. We use Pro/ENGINEER® solids modeling tools and rapid prototyping technology to compress development cycles and to improve responsiveness to special requests for customized solutions. Working closely with the designers during the early phases of development provides critical focus to yield the most viable products, balancing innovative modern design with practical function. Cross-functional teams are employed for all major development efforts with dedicated leaders who facilitate a seamless flow into manufacture while aggressively managing cost and schedule opportunities. Increasingly, total environmental impact is factored into product material and manufacturing process decisions.

        Research and development expenses, which are expensed as incurred, were $15.3 million for 2012, $15.4 million for 2011, and $14.6 million for 2010.

Sales and Distribution

        We generate sales with our direct sales force and a network of independent dealers (primarily in the Office segment), who jointly market and sell our products. We generally rely on these independent dealers to also provide a variety of important specification, installation and after-market services to our clients. Our dealers generally operate under one-year, non-exclusive agreements. Our Studio and Coverings segments market and sell products with their own internal sales people, who often work closely with our Office salesforce. We also sell our Studio products through a network of independent retailers.

        Our clients are typically Fortune 1000 companies, governmental agencies and other medium to large sized organizations in a variety of industries including financial, legal, accounting, education, healthcare and hospitality. Our Coverings segment also markets and sells products to private aviation, marine and luxury coach industries. Our direct sales force and independent dealers in North America

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work in close partnership with clients and design professionals to specify distinctive work environments. Our direct sales representatives, in conjunction with the independent dealers, sell to and call directly on key clients. Our independent dealers also call on many other medium and small sized clients to provide seamless sales support and client service. We have an over $9.9 billion installed base of office systems, which provides a strong platform for recurring and add-on sales. "Installed base" refers to the amount of office systems product we have sold in North America during the previous fifteen years.

        Our products and knowledgeable sales force have generated strong brand recognition and loyalty among architects, designers and corporate facility managers, all of whom are key decision makers in the furniture purchasing process. Our strong relationships with architects and design professionals help us stay abreast of key workplace trends and position us to better meet the changing needs of clients. For example, we have invested in training all of our architect and designer specialists as Leadership in Energy and Environmental Design ("LEED®") accredited professionals to help clients better address environmental issues that arise in the design of the workplace.

        We have aligned our sales force to target strategic areas of opportunity. For example, our healthcare division was created to target healthcare related businesses. We have also placed sales representatives and technical specialists into certain dealerships to support programs such as Knoll Essentials, which is described below.

        In addition to coordinating sales efforts with the sales representatives, our dealers generally handle project management, installation and maintenance for client accounts after the initial product selection and sale. Although many of these dealerships also carry products of other manufacturers, they have agreed not to act as dealers for our principal direct competitors. We have not experienced significant dealer turnover. Our dealers' substantial commitment to understanding our product lines, and their strong relationships with us, serve to discourage dealers from changing vendor affiliations. We are not significantly dependent on any one dealer, the largest of which accounted for approximately 6.7%, 5.2%, and 6.2% of our North American sales in 2012, 2011, and 2010, respectively.

        We provide product training for our sales force and dealer sales representatives, who make sales calls primarily to small to medium sized businesses. As part of our commitment to building relationships with our dealer sales representatives, we introduced the Knoll Essentials program in January 2004. Knoll Essentials is a catalog program developed in response to dealer requests for a consolidated, user-friendly selling tool for day-to-day systems, seating, storage, and accessory products. The Knoll Essentials program includes dealer incentives to sell our products. We also employ a dedicated team of dealer sales representatives to work with our dealerships.

        Excluding sales to governmental agencies, no single end-user customer represented more than 1.1% of our North American sales during 2012. Sales to U.S., state and local government agencies aggregated approximately 16.2% of our consolidated sales in 2012, with no single U.S. government agency accounting for more than 1.0% of consolidated sales. The U.S. government typically can terminate or modify any of its contracts with us either for its convenience or if we default by failing to perform under the terms of the applicable contract.

Manufacturing and Operations

        We operate manufacturing sites in North America including plants located in East Greenville, Pennsylvania, Grand Rapids, Michigan, Muskegon, Michigan, and Toronto, Canada. In addition, we operate two plants in Italy: one in Foligno and one in Graffignana. We manufacture and assemble products to specific customer order and operate all facilities under a philosophy of continuous improvement, lean manufacturing and efficient asset utilization. All plants are registered under ISO 9000, an internationally developed set of quality criteria for manufacturing companies. Additionally, the North American plants are ISO 14001 certified, which reflects our commitment to environmentally responsible practices.

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        In 2010, we initiated a plan to better utilize our North American manufacturing capacity, eliminate duplication of capabilities, and reduce associated costs. We continue to look for ways to ensure that our manufacturing capabilities match our supply chain strategy providing the most value for Knoll.

        In 2009, our East Greenville location recertified its "Star" rating under the Occupational Safety and Health Administration's (OSHA) Voluntary Protection Program (VPP). A Star rating is the highest rating a company can obtain in OSHA's premier partnership program. To achieve this rating, our East Greenville site had to demonstrate a comprehensive safety and health process with strong management leadership, include all employees as active participants, and ensure an injury rate substantially below the average for the industry. The Star rating allows us to join an elite and exclusive group of less than 2,500 companies nationwide that have demonstrated the dedication and commitment to safety. Our Knoll manufacturing facilities, as a whole, have an accident rate below the industry average.

        In 2012, Knoll North American Office completed certification of certain products to the level™ Sustainable Certification. All of the products certified received level 3 certification, the highest certification available. The "level™ standard" is a voluntary product standard developed by BIFMA, the Business and Institutional Furniture Manufacturers Association, to support safe, healthy, and sustainable workplace environments.

        The root of our continuous improvement efforts lies in the philosophy of lean manufacturing that drives operations. As part of this philosophy, we partner with suppliers who can supply our facilities efficiently, often with just-in-time deliveries, thus allowing us to reduce our raw materials inventory. We also utilize "Kaizen" work groups in the plants to develop best practices to minimize scrap, time and material waste at all stages of the manufacturing process. The involvement of employees at all levels ensures an organizational commitment to lean and efficient manufacturing operations.

        The operations for our two leather businesses, Spinneybeck and Edelman, are located in Getzville, New York and New Milford, Connecticut, respectively. Principal operations for KnollTextiles are in East Greenville, Pennsylvania.

Raw Materials and Suppliers

        In addition to the continued focus on enhancing the efficiency of the manufacturing operations, we also seek to reduce costs through our global sourcing effort. We have capitalized on raw material and component cost savings available through lower cost global suppliers. This broader view of potential sources of supply has enhanced our leverage with domestic supply sources, and we have been able to reduce cycle times by extracting improvements from all levels throughout the supply chain.

        The purchasing function in North America is centralized at the East Greenville facility. This centralization, and the close relationships with our primary suppliers, has enhanced our ability to realize purchasing economies of scale and implement "just-in-time" inventory practices. Steel, lumber, paper, paint, plastics, laminates, particleboard, veneers, glass, fabrics, leathers and upholstery filling material are used in our manufacturing process. Both domestic and overseas suppliers of these materials are selected based upon a variety of factors, with the price and quality of the materials and the supplier's ability to meet delivery requirements being primary factors in such selection. We do not generally enter into long-term supply contracts and, as a result, we can be vulnerable to fluctuations in the prices for these materials. No supplier is the only available source for a particular component or raw material. However, because of the specialization involved with some of our components, it can take a significant amount of time, money and effort to move to an alternate source.

Competition

        The markets, in which we compete, are highly competitive. We compete on the basis of (i) product design, including performance, ergonomic and aesthetic features, (ii) product quality and durability,

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(iii) relationships with clients, architects and designers, (iv) strength of dealer and distributor network, (v) on-time delivery and service performance, (vi) commitment to environmental standards by offering products that help clients achieve LEED® certified facilities and minimize environment impact, and (vii) price. We estimate that we had an approximate 8.4% market share in the U.S. office furniture market in 2012.

        Some of our competitors, especially those in North America, are larger and have significantly greater financial, marketing, manufacturing and technical resources than we have. Our most significant competitors in primary markets are Herman Miller, Inc., Steelcase, Inc., Haworth, Inc. and, to a lesser extent, Allsteel, Inc., an operating unit of HNI Corporation, and Teknion Corporation. These competitors have a substantial volume of furniture installed at businesses throughout North America, providing a continual source of demand for further products and enhancements. Moreover, the products of these competitors have strong acceptance in the marketplace. Although we believe that we have been able to compete successfully in the markets to date, there can be no assurance that we will be able to continue to do so in the future.

        Competition in the Coverings segment is much more fragmented than in the Office segment. Both Spinneybeck and Edelman serve the mid to high end of the market, but compete against many companies, none of which has a dominant market share.

Patents and Trademarks

        We consider securing and protecting our intellectual property rights to be important to the business. We own approximately 55 active U.S. utility patents on various components used in our products and systems and approximately 77 active U.S. design patents. We also own approximately 169 patents in various foreign countries. The scope and duration of our patent protection varies throughout the world by jurisdiction and by individual product. In particular, patents for individual products extend for varying periods of time according to the date a patent application is filed, the date a patent is granted and the term of patent protection available in the jurisdiction granting the patent (generally twenty years from the date of filing in the U.S, for example). We believe that the duration of the applicable patents we are granted is adequate relative to the expected lives of our products. We own approximately 77 trademark registrations in the U.S., including registrations to the following trademarks, as well as related stylized depictions of the Knoll word mark: Knoll®, KnollStudio®, KnollExtra®, Good Design Is Good Business®, A3®, Autostrada®, Calibre®, Currents®, Dividends®, Equity®, Parachute®, Propeller®, Reff®, RPM®, Spinneybeck®, Edelman® Leather , Upstart®, Generation by Knoll®, MultiGeneration by Knoll®, Regeneration by Knoll®, KnollTextiles®, and Knoll Luxe®. We also own approximately 187 trademarks registered in foreign countries including the LIFE® trademark which was purchased in December 2006. The scope and duration of our trademark protection varies throughout the world, with some countries protecting trademarks only as long as the mark is used, and others requiring registration of the mark and the payment of registration (generally ten years from the date of filing in the U.S., for example). In order to protect the indefinite duration, we make filings to continue registration of our trademarks.

        In October 2004, we received registered trademark protection in the United States for five of our world-famous furniture designs created by Ludwig Mies van der Rohe—the Barcelona Chair, the Barcelona Stool, the Barcelona Couch, the Barcelona Table and the Flat Bar Brno Chair. This protection recognizes the renown of these designs and reflects our commitment to ensuring that when architects, furniture retailers, businesses and the public purchase a Ludwig Mies van der Rohe design, they will be purchasing the authentic product, manufactured to the designer's historic specifications. Barcelona® is a registered trademark in the U.S., Canada and European Community owned by Knoll, Inc.

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Backlog

        Sales backlog represents orders we have accepted but which have not yet shipped. Our sales backlog was $143.6 million at December 31, 2012, $181.2 million at December 31, 2011, and $196.6 million at December 31, 2010. We manufacture substantially all of our products to order and expect to fill substantially all outstanding unfilled orders within the next twelve months. As such, backlog is not a significant factor used to predict our long-term business prospects.

Foreign and Domestic Operations

        Our principal manufacturing operations and markets are in North America, and we also have manufacturing operations and markets in Europe. Our sales to clients and net property, plant and equipment are summarized by geographic areas below. Sales to clients are attributed to the geographic areas based on the origin of sale.

 
  United States   Canada   Europe   Consolidated  
 
  (in thousands)
 

2012

                         

Sales to clients

  $ 774,654   $ 40,669   $ 72,176   $ 887,499  

Property, plant, and equipment, net

    80,953     29,064     14,821     124,838  

2011

                         

Sales to clients

  $ 797,834   $ 44,225   $ 80,141   $ 922,200  

Property, plant, and equipment, net

    77,230     29,110     15,452     121,792  

2010

                         

Sales to clients

  $ 688,914   $ 34,267   $ 86,286   $ 809,467  

Property, plant, and equipment, net

    75,228     31,435     15,556     122,219  

Environmental Matters

        We believe that we are substantially in compliance with all applicable laws and regulations for the protection of the environment and the health and safety of our employees based upon existing facts presently known to us. Compliance with federal, state, local and foreign environmental laws and regulations relating to the discharge of substances into the environment, the disposal of hazardous wastes and other related activities has had and will continue to have an impact on our operations, but has, since 1990, been accomplished without having a material adverse effect on our operations. There can be no assurance that such laws and regulations will not change in the future or that we will not incur significant costs as a result of such laws and regulations. We have trained staff responsible for monitoring compliance with environmental, health and safety requirements. Our goal is to reduce and, wherever possible, eliminate the creation of hazardous waste in our manufacturing processes. While it is difficult to estimate the timing and ultimate costs to be incurred due to uncertainties about the status of laws, regulations and technology, based on information currently known to management, we do not expect environmental costs or contingencies to have a material adverse effect on our consolidated financial position, results of operations, competitive position, or cash flows. The operation of manufacturing plants entails risks in these areas, however, and we cannot be certain that we will not incur material costs or liabilities in the future which could adversely affect our operations.

        We have been identified as a potentially responsible party pursuant to the Comprehensive Environmental Response Compensation and Liability Act, or "CERCLA", for remediation costs associated with waste disposal sites previously used by us. CERCLA can impose liability for costs to investigate and remediate contamination without regard to fault or the legality of disposal and, under certain circumstances, liability may be joint and several resulting in one responsible party being held responsible for the entire obligation. Liability may also include damages for harm to natural resources.

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The remediation costs and our allocated share at some of these CERCLA sites are unknown. We may also be subject to claims for personal injury or contribution relating to CERCLA sites. We reserve amounts for such matters when expenditures are probable and reasonably estimable.

Employees

        As of December 31, 2012, we employed a total of 3,211 people, consisting of 1,933 hourly and 1,278 salaried employees. The Grand Rapids, Michigan plant is the only unionized plant within North America and has an agreement with the Carpenters Union, Local 1615, of the United Brotherhood of Carpenters and Joiners of America, Affiliate of the Carpenters Industrial Council (the "Union"), covering approximately 197 hourly employees. The Collective Bargaining Agreement was entered into on August 27, 2011 and expires April 30, 2015. From time to time, there have been unsuccessful efforts to unionize at our other North American locations. We believe that relations with our employees are good. Nonetheless, it is possible that our employees may continue attempts to unionize. Certain workers in the facilities in Italy are also represented by unions. We have experienced brief work stoppages from time to time at our plants in Italy, none of which have exceeded eight hours. Work stoppages are relatively common occurrences at many Italian manufacturing plants and are usually related to national or local issues, not necessarily related specifically to Knoll. We had 4 such work stoppages in 2012, with a duration of 32 hours in total. None of these work stoppages were unique to us, and these work stoppages have not materially affected our performance.

Available Information

        Our annual report on Form 10-K, quarterly reports on Form 10-Q, current reports on Form 8-K and all amendments to those reports are made available free of charge through the "Investors Relations" section of our website at www.knoll.com, as soon as practicable after such material is electronically filed with or furnished to the U.S. Securities and Exchange Commission.

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ITEM 1A.    RISK FACTORS

RISK FACTORS

Risks Related to our Business

Our product sales are tied to corporate spending and service-sector employment, which are outside of our control. Our sales and/or growth in sales would be adversely affected by a recessionary economy characterized by decreased corporate spending and service-sector employment.

        Our sales are significantly impacted by the level of corporate spending primarily in North America, which, in turn, is a function of the general economic environment. In a recessionary economy like we have experienced in recent history, business confidence, service-sector employment, corporate cash flows and non-residential commercial construction decrease, which typically leads to a decrease in demand for office furniture. In addition, a recessionary economy may also result in saturation of the market by "just new" used office systems, leading to a decrease in demand. Sales of office systems, which have historically accounted for almost half of our revenues, represent longer term and higher cost investments for our clients. As a result, sales of office systems are more severely impacted by decreases in corporate spending than sales of coverings, studio products, seating, files and storage and casegoods, and demand for office systems typically takes longer to respond to an economic recovery.

        Geopolitical uncertainties, terrorist attacks, acts of war, natural disasters, increases in energy and other costs or combinations of such and other factors that are outside of our control could at any time have a significant effect on the North American economy, and, therefore, our business. The occurrence of any of these or similar events in the future could result in downward pressure on the economy, which we would expect to cause demand for our products to decline and competitive pricing pressures to increase.

Weakness in the economy or uncertainty in the financial markets may adversely affect our results of operations and financial condition, as well as the financial soundness of our customers and suppliers.

        In recent history, the global capital and credit markets have experienced a period of unprecedented turmoil and upheaval, characterized by the bankruptcy, failure, collapse or sale of various financial institutions. Our ability to access capital may be restricted at a time when we would like, or need, to access financial markets. In addition, interest rate fluctuations, financial market volatility or credit market disruptions may negatively affect our customers' and our suppliers' ability to obtain credit to finance their businesses on acceptable terms. As a result, our customers' needs and ability to purchase our products or services may decrease, and our suppliers may increase their prices, reduce their output or change their terms of sale. If our customers' or suppliers' operating and financial performance deteriorates, or if they are unable to make scheduled payments or obtain credit, our customers may not be able to pay, or may delay payment of, accounts receivable owed to us, and our suppliers may restrict credit or impose different payment terms on us. Any inability of customers to pay us for our products and services, or any demands by suppliers for different payment terms, may adversely affect our earnings and cash flow.

We may have difficulty increasing or maintaining our prices as a result of price competition, which could lower our profit margins. Our competitors may develop new product designs that give them an advantage over us in making future sales.

        We compete with our competitors on the basis of, among other things, price and product design. Since our competitors offer products that are similar to ours, we face significant price competition from our competitors, particularly in the Office segment. This price competition impacts our ability to implement price increases or, in some cases, maintain prices, which could lower our profit margins.

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Additionally, our competitors may develop new product designs that achieve a high level of customer acceptance, which could give them a competitive advantage over us in making future sales.

Our efforts to introduce new products that meet customer and workplace requirements may not be successful, which could limit our sales growth or cause our sales to decline.

        To keep pace with workplace trends, such as changes in workplace design and increases in the use of technology, and with evolving regulatory and industry requirements, including environmental, health, safety and similar standards for the workplace and for product performance, we must periodically introduce new products. The introduction of new products requires the coordination of the design, manufacturing and marketing of such products, which may be affected by factors beyond our control. The design and engineering of certain of our new products can take up to a year or more and further time may be required to achieve client acceptance. In addition, we may face difficulties in introducing new products if we cannot successfully align ourselves with independent architects and designers who are able to design, in a timely manner, high quality products consistent with our image. Accordingly, the launch of any particular product may be later or less successful than originally anticipated by us. Difficulties or delays in introducing new products or lack of customer acceptance of new products could limit our sales growth or cause our sales to decline.

We may not be able to manage our business effectively if we are unable to retain our experienced management team or recruit other key personnel.

        The success of our operations is highly dependent upon our ability to attract and retain qualified employees and upon the ability of our senior management and other key employees to implement our business strategy. We believe there are only a limited number of qualified executives in the industry in which we compete. We rely substantially upon the services of Andrew B. Cogan, our Chief Executive Officer. The loss of the services of Mr. Cogan or other key members of our management team could seriously harm our efforts to successfully implement our business strategy.

        While we currently maintain a key person life insurance policy with respect to Mr. Cogan, this insurance may not be sufficient to compensate us for any harm to our business resulting from loss of his services. The inability to attract and retain other talented personnel could also affect our ability to successfully implement our business strategy.

We are dependent on the pricing and availability of raw materials and components, and price increases and unavailability of raw materials and components could lower sales, increase our cost of goods sold and reduce our profits and margins.

        We require substantial amounts of raw materials, which we purchase from outside sources. Steel, plastics, wood related materials, and leather are the main raw materials used in our products. The prices and availability of raw materials are subject to change or curtailment due to, among other things, the supply of, and demand for, such raw materials, changes in laws or regulations, including duties and tariffs, suppliers' allocations to other purchasers, interruptions in production by raw materials or component parts suppliers, changes in currency exchange rates and worldwide price levels. We can be significantly impacted by price increases in these raw materials.

        Although no supplier is the only available source for a particular component or raw material, some of our products and components are extremely specialized and, therefore, it can take a significant amount of time and money to move from one supply source to another. Any failure to obtain raw materials and components on a timely basis, or any significant delays or interruptions in the supply of raw materials or components, could prevent us from being able to produce products ordered by our clients in a timely fashion, which could have a negative impact on our reputation and our dealership network, and could cause our sales to decline.

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We are affected by the cost of energy and increases in energy prices could reduce our margins and profits.

        The profitability of our operations is sensitive to the cost of energy through our transportation costs, the cost of petroleum-based materials, like plastics, and the cost of operating our manufacturing facilities. Energy costs have been volatile in recent years due to changes in global supply and demand. Although we have been successful in countering energy price increases, primarily through our global sourcing initiatives and continuous improvement programs, we have not been able to offset these costs entirely. Recent increases in energy prices negatively impacted our gross margins and profitability for 2012 and may continue in the future.

We rely upon independent furniture dealers, and a loss of a significant number of dealers could affect our business, financial condition and results of operations.

        We rely on a network of independent dealers for the joint marketing of our products to small and mid-sized accounts, and to assist us in the marketing of our products to large accounts, particularly in the Office segment. We also rely upon these dealers to provide a variety of important specification, installation and after-market services to our clients. Our dealers operate, generally, under one-year, non-exclusive agreements. There is nothing to prevent our dealers from terminating their relationships with us. In addition, individual dealers may not continue to be viable and profitable and may suffer from the lack of available credit. While we are not significantly dependent on any single dealer, our largest dealer accounted for 6.7% of our North American sales in 2012. If dealers go out of business or are restructured, we may suffer losses because they may not be able to pay us for products previously delivered to them. The loss of a dealer relationship could also negatively affect our ability to maintain market share in the affected geographic market and to compete for and service clients in that market until a new dealer relationship is established. Establishing a viable dealer in a market can take a significant amount of time and resources. The loss or termination of a significant dealer or a significant number of dealer relationships could cause significant difficulties for us in marketing and distributing our products, resulting in a decline in our sales.

Currently one of our largest clients is the U.S. government, a relationship that is subject to uncertain future funding levels and federal procurement laws and requires restrictive contract terms; any of these factors could curtail current or future business.

        For the year ended December 31, 2012, we derived approximately 11.7% of our revenue from sales to various agencies and departments within the U.S. government. Our ability to compete successfully for and retain business with the U.S. government is highly dependent on cost-effective performance and compliance with complex procurement laws. Until recently, federal procurement laws required government agencies to purchase furniture products from Federal Prison Industries, Incorporated. If these or similar laws would be re-instituted, it would make it more difficult for us to sell our furniture to agencies and departments of the U.S. government.

        In addition, the U.S. government typically can terminate or modify its contracts with us either for its convenience or if we default by failing to perform under the terms of the applicable contract. A termination arising out of our default could expose us to liability and impede our ability to compete in the future for contracts and orders. Furthermore, if we were found to have committed fraud or certain criminal offenses, we could be suspended or debarred from all further government contracting. Given the percentage of our revenues represented by sales to the U.S. government in 2012, any factors that would negatively impact our relationship with the U.S. government would adversely impact our sales and results of operations.

        Given the significance of our governmental business, we are sensitive to decreases in governmental spending. Federal, state and local government budgets have experienced deficits recently and are under significant pressure to reduce spending. These spending pressures have resulted in, and may continue to

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result in, decreased furniture spending, which has negatively impacted (and may continue to negatively impact) our governmental sales.

Our efforts to diversify our sources of revenue may not be effective and may expose us to new risks.

        Historically, the majority of our revenues were derived from the sales of office systems in North America. We have pursued a strategy to diversify our sources of revenue and reduce our dependence on North American office system sales by, for example, growing our seating, international, and specialty businesses. While we believe that this strategy enables us to better maintain and grow our sales and profitability during cyclical ups and downs in the industry, there can be no assurance that this diversification strategy will be effective in achieving these goals. Our diversification strategy involves the continued expansion of our specialty businesses, and business growth internationally, which may expose us to business risks that we have not experienced. We also may incur significant costs in pursuing our diversification strategy, and those costs may not be fully offset by increased revenues associated with new business lines.

We operate with leverage, and a significant amount of cash will be required to service our indebtedness. Restrictions imposed by the terms of our indebtedness may limit our operating and financial flexibility.

        As of December 31, 2012, we had total consolidated outstanding debt of approximately $193.0 million under our revolving credit facility.

        On February 3, 2012, we amended and restated our existing credit facility, dated June 29, 2007, with a new $450.0 million revolving credit facility maturing on February 3, 2017. We are permitted to expand our revolving credit facility by an additional $200.0 million, subject to certain limitations and satisfaction of certain conditions, including compliance with certain financial covenants.

        At December 31, 2012, if we were to borrow the maximum available to us under our credit facility and those of our foreign subsidiaries, we would have total consolidated outstanding debt of approximately $461.8 million. The high level of our indebtedness could have important consequences to holders of our common stock, given that:

    a substantial portion of our cash flow from operations must be dedicated to fund scheduled payments of principal and debt service and will not be available for other purposes;

    our ability to obtain additional debt financing in the future for working capital, capital expenditures, research and development or acquisitions may be limited by the terms of our credit facility; and

    the terms of our credit facility also impose other operating and financial restrictions on us, which could limit our flexibility in reacting to changes in our industry or in economic conditions generally.

        Our revolving credit facility prevents us and our subsidiaries from incurring any additional indebtedness other than (i) borrowings under our existing revolving credit facility; (ii) certain types of indebtedness that may be incurred subject to aggregate dollar limitations identified in the credit facility, including, without limitation, purchase money indebtedness and capital lease obligations, indebtedness incurred in connection with a permitted acquisition, and loans obtained through an expansion of the facility, all of which cannot exceed $250.0 million at any time, and (iii) other types of indebtedness that are not limited to specific dollar limitations, such as indebtedness incurred in the ordinary course of business and unsecured, subordinated indebtedness. The aggregate amount of indebtedness that we may incur pursuant to these exceptions is further limited by the financial covenants in our revolving credit facility and, therefore, will depend on our future results of operations and cannot be determined at this time. Furthermore, although we may incur unlimited amounts of certain types of indebtedness, subject to compliance with these financial covenants, the amount of indebtedness that we may actually be able

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to incur will depend on the terms on which such types of debt financing are available to us, if available at all.

        As a result of the foregoing, we may be prevented from engaging in transactions that might further our growth strategy or otherwise be considered beneficial to us. A breach of any of the covenants in our revolving credit facility could result in a default thereunder. If payments to the lenders under our revolving credit facility were to be accelerated, our assets could be insufficient to repay in full the indebtedness under our credit facility and our other liabilities. Any such acceleration could also result in a foreclosure on all or substantially all of our subsidiaries' assets, which would have a negative impact on the value of our common stock and jeopardize our ability to continue as a going concern.

We may require additional capital in the future, which may not be available or may be available only on unfavorable terms.

        Our capital requirements depend on many factors, including capital improvements, tooling, information technology upgrades and new product development. To the extent that our existing capital is insufficient to meet these requirements and cover any losses, we may need to raise additional funds through financings or curtail our growth and reduce our assets. Any equity or debt financing, if available at all, may be on terms that are not favorable to us. Equity financings could result in dilution to our stockholders, and the securities may have rights, preferences and privileges that are senior to those of our common stock. If our need for capital arises because of significant losses, the occurrence of these losses may make it more difficult for us to raise the necessary capital.

An inability to protect our intellectual property could have a significant impact on our business.

        We attempt to protect our intellectual property rights, both in the United States and in foreign countries, through a combination of patent, trademark, copyright and trade secret laws, as well as licensing agreements and third-party nondisclosure and assignment agreements. Because of the differences in foreign trademark, patent and other laws concerning proprietary rights, our intellectual property rights do not generally receive the same degree of protection in foreign countries as they do in the United States. In some parts of the world, we have limited protections, if any, for our intellectual property. Our ability to compete effectively with our competitors depends, to a significant extent, on our ability to maintain the proprietary nature of our intellectual property. The degree of protection offered by the claims of the various patents, trademarks and service marks may not be broad enough to provide significant proprietary protection or competitive advantages to us, and patents, trademarks or service marks may not be issued on our pending or contemplated applications. In addition, not all of our products are covered by patents. It is also possible that our patents, trademarks and service marks may be challenged, invalidated, cancelled, narrowed or circumvented.

        In the past, certain of our products have been copied and sold by others. We try to enforce our intellectual property rights, but we have to make choices about where and how we pursue enforcement and where we seek and maintain patent protection. In many cases, the cost of enforcing our rights is substantial, and we may determine that the costs of enforcement outweigh the potential benefits. If we are unable to maintain the proprietary nature of our intellectual property with respect to our significant current or proposed products, our competitors may be able to sell copies of our products, which could adversely affect our ability to sell our original products and could also result in competitive pricing pressures, which may negatively affect our profitability.

If third parties claim that we infringe upon their intellectual property rights, we may incur liabilities and costs and may have to redesign or discontinue an infringing product.

        We face the risk of claims that we have infringed third parties' intellectual property rights. Companies operating in our industry routinely seek patent protection for their product designs, and

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many of our principal competitors have large patent portfolios. Prior to launching major new products in our key markets, we normally evaluate existing intellectual property rights. However, our competitors may have filed for patent protection which is not, at the time of our evaluation, a matter of public knowledge. Our efforts to identify and avoid infringing third parties' intellectual property rights may not be successful. Any claims of patent or other intellectual property infringement, even those without merit, could (i) be expensive and time consuming to defend; (ii) cause us to cease making, licensing or using products that incorporate the challenged intellectual property; (iii) require us to redesign, reengineer, or rebrand our products or packaging, if feasible; or (iv) require us to enter into royalty or licensing agreements in order to obtain the right to use a third party's intellectual property.

We could be required to incur substantial costs to comply with environmental requirements. Violations of, and liabilities under, environmental laws and regulations may increase our costs or require us to change our business practices.

        Our past and present ownership and operation of manufacturing plants are subject to extensive and changing federal, state, local and foreign environmental laws and regulations, including those relating to discharges to air, water and land, the handling and disposal of solid and hazardous waste and the cleanup of properties affected by hazardous substances. As a result, we are involved from time to time in administrative and judicial proceedings and inquiries relating to environmental matters and could become subject to fines or penalties related thereto. We cannot predict what environmental legislation or regulations will be enacted in the future, how existing or future laws or regulations will be administered or interpreted or what environmental conditions may be found to exist. Compliance with more stringent laws or regulations, or stricter interpretation of existing laws, may require additional expenditures by us, some of which may be material. We have been identified as a potentially responsible party pursuant to the Comprehensive Environmental Response, Compensation and Liability Act of 1980, or CERCLA, for remediation costs associated with waste disposal sites previously used by us. In general, CERCLA can impose liability for costs to investigate and remediate contamination without regard to fault or the legality of disposal and, under certain circumstances, liability may be joint and several, resulting in one party being held responsible for the entire obligation. Liability may also include damages for harm to natural resources. The remediation costs and our allocated share at some of these CERCLA sites are unknown. We may also be subject to claims for personal injury or contribution relating to CERCLA sites. We reserve amounts for such matters when expenditures are probable and reasonably estimable.

We are subject to potential labor disruptions, which could have a significant impact on our business.

        Certain of our employees located in Grand Rapids, Michigan and Italy are represented by unions. The collective bargaining agreement for our Grand Rapids location expires April 30, 2015. We have also had sporadic, to date unsuccessful, attempts to unionize our other North American manufacturing locations and have experienced a number of brief work stoppages at our facilities in Italy as a result of national and local issues. While we believe that we have good relations with our workforce, we may experience work stoppages or other labor problems in the future, and further unionization efforts may be successful. Any prolonged work stoppage could have an adverse effect on our reputation, our vendor relations and our dealership network. Moreover, because substantially all of our products are manufactured to order, we do not carry finished goods inventory that could mitigate the effects of a prolonged work stoppage.

Product defects could adversely affect our results of operations.

        Our customers may encounter product defects that could potentially arise in the course of our development of new products or due to manufacturing problems. If product defects do arise, we could incur product warranty costs, product liability costs and costs associated with recalling and repairing

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defective products. While we maintain a reserve for our product warranty costs based on estimates of the costs that may be incurred under the warranties on all of our products, our actual warranty costs may exceed this reserve, resulting in a need to increase the amounts accrued for warranty costs. We also maintain product liability and other insurance coverage that we believe to be generally in accordance with industry practices, but our insurance coverage does not extend to field visits to repair, retrofit or replace defective products, or to product recalls. As a result, our insurance coverage may not be adequate to protect us fully against substantial claims and costs that may arise from product defects, particularly if we have a large number of defective products that we must repair, retrofit, replace or recall. Sales of our products could be adversely affected by excessive warranty claims, product recalls and adverse perceptions of product quality. As a result of these factors, product defects could have a material adverse effect on our results of operations.

We may be vulnerable to the effects of currency exchange rate fluctuations, which could increase our expenses.

        We primarily sell our products and report our financial results in U.S. dollars, but we generate some of our revenues and pay some of our expenses in other currencies. Paying our expenses in other currencies can result in a significant increase or decrease in the amount of those expenses in U.S. dollar terms, which affects our profits.

        In the future, any foreign currency appreciation relative to the U.S. dollar would increase our expenses that are denominated in that currency. Additionally, as we report currency in the U.S. dollar, our financial position is affected by the strength of the currencies in countries where we have operations relative to the strength of the U.S. dollar. The principal foreign currencies in which we conduct business are the Canadian dollar and the Euro. Approximately 12.7% of our revenues in 2012 and 33.8% of our cost of goods sold in 2012 were denominated in currencies other than the U.S. dollar. From time to time we review our foreign currency exposure and evaluate whether we should hedge our exposure.

Pension costs or funding requirements could increase at a higher than anticipated rate.

        We administer two defined benefit pension plans, which hold significant amounts of equity securities. Changes in interest rates or other plan assumptions or in the market value of plan assets could affect the funded status of our pension plans. This could cause volatility in our benefits costs which could increase future funding requirements of our pension plans and have a negative impact on our results of operations, financial condition and cash flows. Our future funding obligations also are affected by the Pension Protection Act of 2006 ("PPA"), which established certain required funding targets. Volatility in the economic environment and/or a decline in the equity markets could cause the value of investment assets held by our pension plans to decline. As a result, we may be required to increase the amount of our cash contributions to our pension plans in order to meet the funding level requirements of the PPA.

We are in the process of implementing a new enterprise resource planning system, and problems with the design or implementation of this system could interfere with our business and operations.

        We are engaged in a multi-year implementation of a new global enterprise resource planning system (ERP). The ERP is designed to accurately maintain the company's books and records and provide information to the company's management team important to the operation of the business. The company's ERP has required, and will continue to require, the investment of significant human and financial resources. We may not be able to successfully implement the ERP without experiencing delays, increased costs and other difficulties. If we are unable to successfully design and implement the new ERP system as planned, our financial positions, results of operations and cash flows could be negatively impacted.

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We may not be able to successfully integrate acquired businesses, which may result in an inability to realize the anticipated benefits of our acquisitions.

        One of our key operating strategies is to selectively pursue acquisitions. We have made a number of acquisitions in the past and we expect that a portion of our future growth may come from such transactions. We evaluate potential acquisitions on an ongoing basis. However, we may not be able to identify suitable acquisition candidates at prices we consider attractive. Further, our ability to successfully integrate acquired businesses could be negatively impaired because of difficulties, costs and delays that may include:

    Negative impacts on employee morale and performance as a result of job changes and reassignments;

    Unforeseen difficulties, costs or complications in integrating the companies' operations, which could lead to us not achieving the synergies we anticipate;

    Unanticipated incompatibility of systems and operating methods;

    Resolving possible inconsistencies in standards, controls, procedures and policies, business cultures and compensation structures;

    The diversion of management's attention from ongoing business concerns and other strategic opportunities;

    Unforeseen difficulties in operating acquired business in parallel with similar businesses that we operated previously;

    Unforeseen difficulties in operating businesses we have not operated before;

    Unanticipated difficulty of integrating multiple acquired businesses simultaneously;

    The retention of key employees and management of acquired businesses;

    The coordination of geographically separate organizations;

    The coordination and consolidation of ongoing and future research and development efforts; and

    Possible tax costs or inefficiencies associated with integrating the operations of a combined company.

        In connection with any acquisition that we make, there may be liabilities that we fail to discover or that we inadequately assess. Acquired entities may not operate profitably or result in improved operating performance. Additionally, we may not realize anticipated synergies. If our acquisitions perform poorly, our business and financial results could be adversely affected.

We recently announced a program of strategic investments and multi-year initiatives. If we experience delays or complications in implementing these programs, or if these programs are not as successful as we expect, it could negatively impact our financial position and results of operations.

        We recently announced the implementation of an aggressive program of strategic investments and multi-year initiatives intended to enable us to achieve our operating goals of over $1.0 billion in annual revenues and over 12% operating profit margins. These initiatives will require the company to make significant investments, primarily in 2013 and 2014, in an effort to drive our longer-term revenue and profitability goals. We may not be successful in the implementation of these initiatives and we may experience delays, increased costs and other difficulties and never achieve our revenue growth or profit goals, or achieve them later than currently planned. Any delays or failures in the implementation or

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success of these initiatives will have a negative impact on our financial position and results of operations.

Risks Related to Our Common Stock

Our corporate documents and Delaware law contain provisions that could discourage, delay or prevent a change in control of our company.

        Provisions in our amended and restated certificate of incorporation and bylaws may discourage, delay or prevent a merger or acquisition involving us that our stockholders may consider favorable. For example, our amended and restated certificate of incorporation authorizes our board of directors to issue up to 10,000,000 shares of "blank check" preferred stock. Without stockholder approval, the board of directors has the authority to attach special rights, including voting and dividend rights, to this preferred stock. With these rights, preferred stockholders could make it more difficult for a third party to acquire us. In addition, our amended and restated certificate of incorporation provides for a staggered board of directors, whereby directors serve for three-year terms, with approximately one third of the directors coming up for reelection each year. Having a staggered board will make it more difficult for a third party to obtain control of our board of directors through a proxy contest, which may be a necessary step in an acquisition of us that is not favored by our board of directors.

        We are also subject to the anti-takeover provisions of Section 203 of the Delaware General Corporation Law. Under these provisions, if anyone becomes an "interested stockholder," we may not enter into a "business combination" with that person for three years without special approval, which could discourage a third party from making a takeover offer and could delay or prevent a change of control. For purposes of Section 203, "interested stockholder" means, generally, someone owning 15% or more of our outstanding voting stock or an affiliate of ours that owned 15% or more of our outstanding voting stock during the past three years, subject to certain exceptions as described in Section 203. Upon any change in control, the lenders under our revolving credit facility would have the right to require us to repay all of our outstanding obligations under the facility.

Our stock price may be volatile, and your investment in our common stock could suffer a decline in value.

        There has been significant volatility in the market price and trading volume of equity securities, which may be unrelated to the financial performance of the companies issuing the securities. These broad market fluctuations may negatively affect the market price of our common stock. You may not be able to resell your shares at or above the price at which you purchased them due to fluctuations in the market price of our common stock caused by changes in our operating performance or prospects and other factors. Some specific factors that may have a significant effect on our common stock market price include:

    actual or anticipated fluctuations in our operating results or future prospects, including actual or perceived fluctuations in the demand for our products;

    our announcements or our competitors' announcements of new products;

    the public's reaction to our press releases, our other public announcements and our filings with the SEC;

    strategic actions by us or our competitors, such as acquisitions, joint ventures, strategic investments, or restructurings;

    new laws or regulations or new interpretations of existing laws or regulations applicable to our business;

    changes in accounting standards, policies, guidance, interpretations or principles;

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    changes in our growth rates or our competitors' growth rates;

    our inability to raise additional capital;

    conditions of the office furniture industry as a result of changes in financial markets or general economic conditions, including those resulting from war, incidents of terrorism and responses to such events;

    sales of common stock by us or members of our management team; and

    changes in stock market analyst recommendations or earnings estimates regarding our common stock, other comparable companies or the office furniture industry generally.

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ITEM 1B.    UNRESOLVED STAFF COMMENTS

    None

ITEM 2.    PROPERTIES

        We operate over 3,302,000 square feet of facilities, including manufacturing plants, warehouses and sales offices. Of these facilities, we own approximately 2,424,000 square feet and lease approximately 843,000 square feet. Our manufacturing plants are located in East Greenville, Pennsylvania, Grand Rapids and Muskegon, Michigan, Toronto, Canada, and Foligno and Graffignana, Italy. The location, square footage, and use of the facilities as of December 31, 2012 are shown below.

Owned Locations
  Square
Footage
  Use

East Greenville, Pennsylvania

    735,000 (1) Corporate Headquarters, Manufacturing, Warehouses, and Administration

Grand Rapids, Michigan

    545,000 (1) Manufacturing, Distribution, and Administration

Muskegon, Michigan

    368,000 (1) Manufacturing and Administration

Toronto, Canada

    408,000   Manufacturing, Distribution, Warehouses, and Administration

Foligno, Italy

    258,000   Manufacturing, Distribution, Warehouses, and Administration

Graffignana, Italy

    110,000   Manufacturing, Distribution, Warehouses, and Administration

 

Leased Locations
  Square
Footage
  Use

East Greenville, Pennsylvania

    227,000 (2) Warehouses, Distribution

Muskegon, Michigan

    105,000   Manufacturing

Toronto, Canada

    170,000   Manufacturing, Warehouses, Distribution and Administration

Knoll, Europe—various locations

    39,000   Sales Offices, Administration, and Warehouses

New Milford, Connecticut

    55,000   Manufacturing and Administration (Edelman Leather)

Getzville, New York

    31,000   Manufacturing and Administration (Spinneybeck)

Miscellaneous Showrooms

    251,000   Sales Offices

(1)
Facilities are encumbered by mortgages securing indebtedness under our revolving credit facility.

(2)
Included in this number is 142,000 square feet related to three warehouses that have been subleased to a third party logistics provider and serve as our northeast distribution center.

        We believe that our plants and other facilities are sufficient for our needs for the foreseeable future.

ITEM 3.    LEGAL PROCEEDINGS

        From time to time we are subject to litigation or other legal proceedings arising in the ordinary course of business. Based upon information currently known to us, we believe the outcome of such proceedings will not have, individually or in the aggregate, a material adverse effect on our business, financial condition or results of operations.

ITEM 4.    MINE SAFETY DISCLOSURES

        Not applicable.

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PART II

ITEM 5.    MARKET FOR REGISTRANT'S COMMON EQUITY, RELATED STOCKHOLDER MATTERS AND ISSUER PURCHASES OF EQUITY SECURITIES

Market Information and Dividend Policy

        Our common stock has been listed on the New York Stock Exchange ("NYSE") since December 14, 2004, the date of our initial public offering, under the symbol "KNL." As of February 22, 2013, there were approximately 116 stockholders of record of our common stock.

        The following table sets forth, for the periods indicated, high and low sales prices for the common stock as reported by the NYSE.

 
  High   Low  

Fiscal year ended December 31, 2012

             

First quarter

  $ 17.52   $ 13.98  

Second quarter

  $ 16.69   $ 11.96  

Third quarter

  $ 16.37   $ 12.86  

Fourth quarter

  $ 15.50   $ 12.99  

 

 
  High   Low  

Fiscal year ended December 31, 2011

             

First quarter

  $ 21.74   $ 16.12  

Second quarter

  $ 22.73   $ 16.62  

Third quarter

  $ 21.78   $ 12.59  

Fourth quarter

  $ 16.44   $ 12.71  

        We declared and paid cash dividends of $0.44 per share and $0.36 per share during the years ended December 31, 2012 and 2011, respectively. On February 6, 2013, our board of directors declared a cash dividend of $0.12 per share on our common stock payable on March 28, 2013 to shareholders of record on March 15, 2013. The declaration and payment of future dividends is subject to the discretion of our board of directors and depends on various factors, including our net income, financial condition, cash requirements and future prospects and other factors deemed relevant by our board of directors. Our revolving credit facility imposes restrictions on our ability to pay dividends, and thus our ability to pay dividends on our common stock will depend upon, among other things, our level of indebtedness at the time of the proposed dividend and whether we are in default under any of our debt obligations. Our ability to pay dividends will also depend on the requirements of any future financing agreements to which we may be a party. Our board of directors intends to evaluate our dividend policy quarterly in reference to these factors.

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Performance Graph

        The following line graph compares the cumulative total stockholder return on our common stock with the cumulative total return of the Standard & Poor's 500 Stock Index and with the cumulative total return on a peer group of companies selected by us for the period commencing on December 31, 2007 and ending on December 31, 2012. Our share price at the beginning of the measurement period is $16.43 per share. The graph and table assume that $100 was invested on December 31, 2007 in each of our common stock, the stock of our peer group, and the S&P 500 Index, and that all dividends were reinvested. Cumulative total stockholder returns for our common stock, the S&P 500 Index, and the stock of our peer group are based on our fiscal year. Our peer group is made up of two publicly-held manufacturers of office furniture, Herman Miller, Inc. and Steelcase, Inc. The stock performance on the graph below does not necessarily indicate future price performance.


COMPARISON OF 5 YEAR CUMULATIVE TOTAL RETURN*
Among Knoll, Inc., the S&P 500 Index, and a Peer Group

GRAPHIC

*
$100 invested on 12/31/07 in stock or index, including reinvestment of dividends. Fiscal year ending December 31.

 
  12/07   12/08   12/09   12/10   12/11   12/12  

Knoll, Inc. 

    100.00     57.06     66.99     109.39     99.38     105.98  

S&P 500

    100.00     63.00     79.67     91.67     93.61     108.59  

Peer Group

    100.00     39.58     48.13     78.32     57.15     80.09  

*
The performance graph and the related chart should not be deemed filed for purposes of Section 18 of the Securities Exchange Act of 1934 or incorporated by reference into any of our filings under the Securities Act of 1933 or the Securities Exchange Act of 1934, unless we specifically incorporate the performance graph by reference therein.

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Issuer Purchases of Equity Securities

        The following is a summary of share repurchase activity during the three months ended December 31, 2012.

        On August 17, 2005, our board of directors approved a stock repurchase program (the "Options Proceeds Program"), whereby they authorized us to purchase shares of our common stock in the open market using the cash proceeds received by us upon exercise of outstanding options.

        On February 2, 2006, our board of directors approved an additional stock repurchase program, pursuant to which we are authorized to purchase up to $50.0 million of our common stock in the open market, through privately negotiated transactions, or otherwise. On February 4, 2008, our board of directors expanded this previously authorized $50.0 million stock repurchase program by an additional $50.0 million.

Period
  Total
Number of
Shares
Purchased
  Average
Price Paid
Per Share
  Total Number of Shares
Purchased as part of
publicly Announced
Plans or Programs
  Maximum Dollar Value
of Shares that may yet
be Purchased Under the
Plans or Programs(1)
 

October 1, 2012 - October 31, 2012

    72,658 (2)   14.02         32,352,413  

November 1, 2012 - November 30, 2012

    3,436 (3)   14.86     3,436     32,352,413  

December 1, 2012 - December 31, 2012

    9,699 (3)   14.48     9,699     32,352,413  
                       

Total

    85,793           13,135        
                       

(1)
There is no limit on the number or value of shares that may be purchased by us under the Options Proceeds Program. Under our $50.0 million stock repurchase program, which was expanded by an additional $50.0 million in February of 2008, we are only authorized to spend an aggregate of $100.0 million on stock repurchases. Amounts in this column represent the amounts that remain available under the $100.0 million stock repurchase program as of the end of the period indicated. There is no scheduled expiration date for the Option Proceeds Program or the $100.0 million stock repurchase program, but our board of directors may terminate either program in the future.

(2)
On October 21, 2012, 157,500 shares of outstanding restricted stock vested. Concurrently with the vesting, 72,658 shares were forfeited by the holders of the vested restricted shares to cover applicable taxes paid on the holders' behalf by the Company.

(3)
These shares were purchased under the Options Proceeds Program.

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ITEM 6.    SELECTED FINANCIAL DATA

        The following selected consolidated financial data should be read in conjunction with "Management's Discussion and Analysis of Financial Condition and Results of Operations" and our audited consolidated financial statements and the related notes included elsewhere in this Form 10-K. The selected consolidated financial data for the years ended December 31, 2010, 2011 and 2012 and as of December 31, 2011 and 2012 are derived from our audited financial statements included elsewhere in this Form 10-K. The selected consolidated financial data for the years ended December 31, 2008 and 2009 and as of December 31, 2008, 2009 and 2010 are derived from our audited financial statements not included in this Form 10-K.

 
  Years Ended December 31,  
 
  (dollars in thousands, except per share data)
 
 
  2008   2009   2010   2011   2012  

Consolidated Statements of Operations and Comprehensive Income Data:

                               

Sales

  $ 1,120,147   $ 780,033   $ 809,467   $ 922,200   $ 887,499  

Cost of sales

    725,078     510,590     545,118     627,803     593,149  
                       

Gross profit

    395,069     269,443     264,349     294,397     294,350  

Selling, general and administrative expenses

    245,032     195,058     192,460     202,075     206,449  

Restructuring and other charges

    4,625     11,959     7,565     696      

Curtailment benefit

        1,063     338     5,445      
                       

Operating profit

    145,412     63,489     64,662     97,071     87,901  

Interest expense

    16,289     13,862     17,436     9,753     6,350  

Other (income) expense, net

    (3,679 )   5,832     6,379     (1,508 )   3,215  
                       

Income before income tax expense

    132,802     43,795     40,847     88,826     78,336  

Income tax expense

    47,890     16,442     12,823     30,815     28,335  
                       

Net income

  $ 84,912   $ 27,353   $ 28,024   $ 58,011   $ 50,001  
                       

Per Share Data:

                               

Earnings per share:

                               

Basic

  $ 1.82   $ 0.60   $ 0.61   $ 1.25   $ 1.07  

Diluted

  $ 1.82   $ 0.60   $ 0.61   $ 1.24   $ 1.06  

Cash dividends declared per share:

  $ 0.48   $ 0.18   $ 0.12   $ 0.36   $ 0.44  

Weighted-average shares of common stock outstanding:

                               

Basic

    46,570,272     45,403,401     45,600,043     46,249,571     46,634,834  

Diluted

    46,694,340     45,413,770     45,970,680     46,835,712     47,059,186  

 

 
  As of December 31,  
 
  2008   2009   2010   2011   2012  
 
  (in thousands)
 

Consolidated Balance Sheet Data:

                               

Working capital

  $ 65,228   $ 60,613   $ 69,242   $ 81,765   $ 82,577  

Total assets

    697,660     655,620     687,432     688,091     695,053  

Total long-term debt, including current portion

    337,379     295,305     245,135     212,000     193,000  

Total liabilities

    653,041     566,058     561,046     522,668     506,953  

Total stockholders' equity

    44,619     89,562     126,386     165,423     188,100  

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ITEM 7.    MANAGEMENT'S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION AND RESULTS OF OPERATIONS

        Management's discussion and analysis of financial condition and results of operations provides an account of our financial performance and financial condition that should be read in conjunction with the accompanying audited consolidated financial statements.

Forward-looking Statements

        This annual report on Form 10-K contains forward-looking statements, principally in the sections entitled "Business," "Risk Factors," "Management's Discussion and Analysis of Financial Condition and Results of Operations," and "Quantitative and Qualitative Disclosures About Market Risk." Statements and financial discussion and analysis contained in this Form 10-K that are not historical facts are forward-looking statements. These statements discuss goals, intentions and expectations as to future trends, plans, events, results of operations or financial condition, or state other information relating to us, based on our current beliefs as well as assumptions made by us and information currently available to us. Forward-looking statements generally will be accompanied by words such as "anticipate," "believe," "could," "estimate," "expect," "forecast," "intend," "may," "possible," "potential," "predict," "project," or other similar words, phrases or expressions. This includes, without limitation, our statements and expectations regarding any current or future recovery in our industry and publicly announced plans for increased capital and investment spending to achieve our long-term revenue and profitability growth goals.. Although we believe these forward-looking statements are reasonable, they are based upon a number of assumptions concerning future conditions, any or all of which may ultimately prove to be inaccurate. Important factors that could cause actual results to differ materially from the forward-looking statements include, without limitation: the risks described in Item 1A and in Item 7A of this annual report on Form 10-K; changes in the financial stability of our clients or the overall economic environment, resulting in decreased corporate spending and service sector employment; changes in relationships with clients; the mix of products sold and of clients purchasing our products; the success of new technology initiatives; changes in business strategies and decisions; competition from our competitors; our ability to recruit and retain an experienced management team; changes in raw material prices and availability; restrictions on government spending resulting in fewer sales to the U.S. government, one of our largest customers; our debt restrictions on spending; our ability to protect our patents, copyrights and trademarks; our reliance on furniture dealers to produce sales; lawsuits arising from patents, copyrights and trademark infringements; violations of environment laws and regulations; potential labor disruptions; adequacy of our insurance policies; the availability of future capital and the cost of borrowing; the overall strength and stability of our dealers, suppliers, and customers; access to necessary capital; the success of our design and implementation of a new enterprise resource planning system; and currency rate fluctuations. The factors identified above are believed to be important factors (but not necessarily all of the important factors) that could cause actual results to differ materially from those expressed in any forward-looking statement. Unpredictable or unknown factors could also have material adverse effects on us. All forward-looking statements included in this Form 10-K are expressly qualified in their entirety by the foregoing cautionary statements. Except as required under the Federal securities laws and the rules and regulations of the SEC, we undertake no obligation to update, amend, or clarify forward-looking statements, whether as a result of new information, future events, or otherwise.

Overview

        We design, manufacture, market and sell furnishings and accessories, textiles, fine leathers, and felt, for the workplace and home. Our commitment to innovation and modern design has yielded a comprehensive portfolio of products and a brand recognized for high quality and a sophisticated image. Our products are targeted at the middle to upper end of the market and are sold primarily in North

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America and Europe through a direct sales force and a broad network of independent dealers and retailers.

        We operate under a management philosophy that incorporates a collaborative culture, client-driven processes and a lean, agile operating structure. Our employees are performance-driven and motivated by a variable incentive compensation system and broad-based equity ownership in the company. We believe the strength of our brand and our products, combined with this operating philosophy, leads to superior financial performance for our stakeholders.

        In 2012, according to our industry trade association, The Business and Institutional Furniture Manufacturer's Association, or BIFMA, industry sales and orders contracted 1.1% and 1.7%, respectively, when compared with 2011. We believe the uncertainty in the economy, especially the uncertainty surrounding the fiscal issues being debated in Congress and by local governments across the country, has caused many clients and potential clients to be more cautious in their furniture spending. We believe this is one of the primary reasons the industry saw sales and orders decrease year-over-year in 2012.

        During 2012, our sales decreased 3.8% when compared with the prior year. This decline in sales for 2012 can be mainly attributed to decreased purchases from the federal government and financial services clients, as our sales to commercial clients actually grew in 2012. The poor economic conditions in Europe also negatively impacted our Studio segment sales, which impacted our overall sales.

        During 2012, we generated operating profit of $87.9 million, or 9.9% of net sales, compared to operating profit of $97.1 million, or 10.5% of net sales, during 2011. During 2011, operating profit included a $5.4 million curtailment benefit primarily related to the modification of postretirement medical benefits. During 2012, we generated net income of $50.0 million, or $1.06 diluted earnings per share, compared to $58.0 million, or $1.24 diluted earnings per share, in 2011.

        During 2012, we completed the acquisition of Richard Schultz Design, Inc., a designer and manufacturer of outdoor furniture for the residential, hospitality, and contract office furniture markets. The Schultz's designs were originally part of Knoll's collection but were subsequently spun-off in the early 1990s. We believe these iconic outdoor designs will benefit from our broader sales and distribution capability while simultaneously strengthening our designer and consumer offering in the outdoor furniture category.

        We continued to aggressively manage our balance sheet during 2012. During the first quarter of 2012, we negotiated a new $450 million revolving credit facility that runs through February 3, 2017. We believe this new facility will give us the flexibility we need to meet our business needs for at least the next few years. See Note 10 of the consolidated financial statements included in this annual report on Form 10-K and our current report on Form 8-K filed with the Securities and Exchange Commission on February 7, 2012 for further information regarding our new credit facility. As of December 31, 2012, our outstanding debt was $193.0 million. Since the end of 2007, we have reduced our outstanding debt by $175.6 million and we remain comfortably in compliance with all of our bank covenants.

        During 2012, we used free cash to pay dividends to our shareholders totaling $20.5 million. This represents an increase of $3.9 million when compared with 2011. During the third quarter of 2012, we increased our quarterly dividend from $0.10 per share to $0.12 per share. We also spent $16.5 million on capital expenditures in 2012. Capital expenditures were slightly higher when compared with 2011 mainly due to our continued implementation of a new enterprise resource planning system.

        We expect sales demand to be flat going into 2013 as we continue to face historically high vacancy rates, economic uncertainty and depressed business confidence. However, commercial construction data, the Architecture Billings Index, and improvement in the job markets, suggest the foundation is building for a stronger 2014 and 2015. We recently announced an aggressive program of strategic investments and initiatives commencing in 2013 to grow our revenues to over $1.0 billion annually while generating

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operating profit margins above 12%. The program consists of four key pieces: (1) to maximize our office segment profitability; (2) target under penetrated and emerging categories and markets for growth; (3) expand our reach into consumer and decorator channels around the world; and (4) invest in the Knoll brand. In total to fund these investments we expect operating expenses as a percent of sales to increase in the next few years by approximately 200 to 300 basis points annually. Capital expenditures also could increase by as much as $20.0 million in 2013 and then stabilize in the $25.0 million range for the next few years. While we expect these initiatives to negatively impact profits in the short-term, we believe this program is in the best interest of all our stakeholders long-term and will position us well for expansion and growth during 2014 and 2015.

Segment Reporting

        Our three reporting segments consist of: (1) Office, which includes our systems, seating, storage, tables, desks and KnollExtra® ergonomic accessories as well as the international sales of our North American Office products; (2) Studio, which includes KnollStudio®, Knoll Europe (where over half our sales consist of KnollStudio® products) and Richard Schultz® Design; and (3) Coverings, which includes KnollTextiles®, Edelman® Leather, and Spinneybeck® Leather (including Filfelt). We sometimes refer to our Studio and Coverings segments collectively as our specialty businesses. These businesses generally provide our most profitable sales and we will continue our efforts to grow these segments. See Note 18 of our consolidated financial statements contained in this annual report on Form 10-K for further information regarding the business segments.

Results of Operations

Years ended December 31, 2011 and 2012

 
  Three Months Ended   Twelve
Months Ended
  Three Months Ended   Twelve
Months Ended
 
 
  March 31,
2011
  June 30,
2011
  September 30,
2011
  December 31,
2011
  December 31,
2011
  March 31,
2012
  June 30,
2012
  September 30,
2012
  December 31,
2012
  December 31,
2012
 
 
  (in thousands, except statistical data)
(unaudited)

 

Consolidated Statements of Operations and Comprehensive Income Data:

                                                             

Sales

  $ 220,858   $ 238,650   $ 239,543   $ 223,148   $ 922,200 (1) $ 196,662   $ 221,018   $ 219,794   $ 250,026   $ 887,499 (1)

Gross profit

    68,401     76,493     78,851     70,650     294,397 (1)   63,053     74,407     74,216     82,675     294,350 (1)

Operating profit

    20,914     23,325     25,015     27,814     97,071 (1)   15,452     20,803     23,522     28,126     87,901 (1)

Interest expense

    4,017     3,372     1,226     1,138     9,753     1,506     1,637     1,635     1,572     6,350  

Other (income) expense, net

    2,328     275     (4,077 )   (35 )   (1,508 )(1)   2,200     (1,262 )   2,786     (509 )   3,215  

Income tax expense

    5,367     6,703     9,477     9,268     30,815     4,489     7,373     6,904     9,570     28,335 (1)
                                           

Net income

  $ 9,202   $ 12,975   $ 18,389   $ 17,443   $ 58,011 (1) $ 7,257   $ 13,055   $ 12,197   $ 17,493   $ 50,001 (1)
                                           

Statistical and Other Data:

                                                             

Sales growth from comparable prior year

    26.0 %   24.1 %   18.5 %   -6.9 %   13.9 %   -11.0 %   -7.4 %   -8.2 %   12.0 %   -3.8 %

Gross profit margin

    31.0 %   32.1 %   32.9 %   31.7 %   31.9 %   32.1 %   33.7 %   33.8 %   33.1 %   33.2 %

(1)
Results do not add due to rounding

Sales

        Sales for 2012 were $887.5 million, a decrease of $34.7 million, or 3.8%, from sales of $922.2 million for 2011. In 2012, systems continued to represent the largest percentage of our overall sales. Geographically, our European sales declined 9.9% compared to North America which declined 3.2%. The decline in European sales was driven primarily by the overall poor economic conditions in Europe. From a product perspective, we experienced our largest percentage sales decline in seating

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during 2012. We believe these sales declines were driven primarily by a reduction in government spending and reduced purchases by financial services clients in 2012. Despite the reduced seating sales, our Generation family of products grew in 2012 and continued to gain market share.

        During the first three quarters of 2012, sales declined on a year-over-year basis. During the fourth quarter of 2012, we experienced a 12.0% growth in our sales year-over-year as we shipped several large projects. During the fourth quarter of 2012, sales increased in all three of our business segments.

        Sales to governmental entities and agencies continued to represent a large portion of our overall sales in 2012. However, these sales declined on a year-over-year basis during 2012. This decline was a significant factor in our overall lower sales for 2012. Approximately 16.2% of our 2012 sales were to federal, state and local governmental entities and related agencies as compared to 19.5% in 2011.

Gross Profit and Operating Profit

        Gross profit for 2012 and 2011 was $294.4 million. Operating profit for 2012 was $87.9 million, a decrease of $9.2 million, or 9.5%, from operating profit of $97.1 million for 2011. Operating profit during the fourth quarter of 2011 includes a $5.4 million curtailment benefit primarily associated with the modification of the Company's post-retirement medical benefits.

        As a percentage of sales, gross profit increased from 31.9% for 2011 to 33.2% for 2012. The largest contributors to this increase were a more profitable mix in our business, as we saw government shipments, which are generally contracted at higher discount rates, make up a smaller portion of our overall sales, and continuous improvement projects in our factories. Operating profit as a percentage of sales decreased from 10.5% in 2011 to 9.9% in 2012. Operating profit for 2011 includes a $5.4 million curtailment benefit primarily associated with the modification of the Company's post-retirement medical benefits.

        Selling, general, and administrative expenses for 2012 were $206.4 million, or 23.3% of sales, compared to $202.1 million, or 21.9% of sales, for 2011. The increase in operating expenses during 2012 was in large part due to increased spending on growth initiative programs in our Studio and Coverings segments as well as technology infrastructure upgrades primarily associated with the design and implementation of a new enterprise resource planning system.

Interest Expense

        Interest expense for 2012 was $6.4 million, a decrease of $3.4 million from interest expense of $9.8 million for 2011. The decrease in interest expense for the periods noted above is mainly due to our lower outstanding debt and the expiration of two interest rate swap agreements that expired on June 9, 2011. See Note 12 of the consolidated financial statements included in this annual report on Form 10-K for further information regarding the interest rate swaps. The annualized weighted average interest rate for 2012 was 2.4%. Taking into account payments on our interest rate swap agreements, the annualized weighted average interest rate for 2011 was 3.6%.

Other (Income) Expense, net

        Other (income) expense in 2012 consisted of expense related to $2.8 million of foreign exchange losses, expense of $0.5 million related to the write-off of deferred financing fees in conjunction with our new senior credit facility completed in February of 2012, offset by $0.1 million of miscellaneous income. Other (income) expense in 2011 consisted of income of $2.7 million of foreign exchange gains, $0.4 million of miscellaneous income, offset by $1.6 million of miscellaneous expense related to a negative judicial ruling.

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Income Tax Expense

        The mix of pretax income and the varying effective tax rates in the countries in which we operate directly affects our consolidated effective tax rate. The effective tax rate was 36.2% for 2012 compared to 34.7% for 2011. Our effective tax rate is dependent upon the mix of pretax income in the countries in which we operate.

Business Segment Analysis

 
  2012   2011  

SALES

             

Office

  $ 633,321   $ 664,132  

Studio

    147,550     152,724  

Coverings

    106,628     105,344  
           

Knoll, Inc

  $ 887,499   $ 922,200  
           

OPERATING PROFIT

             

Office

  $ 48,639   $ 46,614  

Studio

    21,786     23,022  

Coverings

    17,476     22,686  
           

Subtotal

    87,901     92,322  

Restructuring and other charges primarily Office

        696  

Curtailment benefit

        5,445  
           

Knoll, Inc.(1)

  $ 87,901   $ 97,071  
           

(1)
The Company does not allocate interest expense or other (income) expense, net to the reportable segments.

        Net sales for the Office segment in 2012 were $633.3 million, a decrease of $30.8 million, or 4.6%, when compared with 2011. This decrease in the Office Segment for the year was the result of lower sales to government and financial services clients. Sales to commercial clients grew during 2012; however, this growth was not enough to offset the decline in government and financial services clients. Office segment sales in 2012 were also negatively impacted by $0.6 million due to changes in foreign exchange rates associated with the Canadian dollar compared to 2011. Operating profit for the Office segment was $48.6 million in 2012, an increase of $2.0 million, or 4.3%, when compared with 2011. As a percent of net sales, the Office segment operating profit was 7.7% for the year ended December 31, 2012 and 7.0% for the year ended December 31, 2011.

        Net sales for the Studio segment in 2012 were $147.6 million, a decrease of $5.1 million, or 3.3%, when compared with 2011. Lower sales resulting primarily from the poor economic conditions in Europe more than offset the growth of Studio sales in North America for the year. European sales declined 9.5% in 2012 when compared to 2011. Studio segment sales in 2012 were negatively impacted by $4.0 million due to changes in foreign exchange rates associated with the Euro and the British pound compared to 2011. Operating profit for the Studio segment was $21.8 million, a decrease of $1.2 million, or 5.2%, when compared with 2011. As a percentage of net sales, the Studio segment operating profit was 14.8% for the year ended December 31, 2012 and 15.1% for the year ended December 31, 2011.

        Net sales for the Coverings segment in 2012 were $106.6 million, an increase of $1.2 million, or 1.1%, when compared with 2011. The modest increase in sales in the Coverings segment can be mainly attributed to increased sales as a result of the acquisition of Filzfelt. The increase in the Covering segment sales in 2012 was offset by a negative impact of $0.4 million due to changes in foreign

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exchange rates compared to 2011. Operating profit for the Coverings segment was $17.5 million, a decrease of $5.2 million, or 22.9%, when compared to 2011. As a percentage of net sales, the Coverings segment operating profit was 16.4% for the year ended December 31, 2012 and 21.5% for the year ended December 31, 2011. Increased spending associated with growth initiatives in the Coverings segment, together with a one-time charge for inventory costs that were not being properly transferred to cost of goods sold due to a computer programming change, drove this decrease in year-over-year operating profit margin.

Years ended December 31, 2010 and 2011

 
  Three Months Ended   Twelve
Months Ended
  Three Months Ended   Twelve
Months Ended
 
 
  March 31,
2010
  June 30,
2010
  September 30,
2010
  December 31,
2010
  December 31,
2010
  March 31,
2011
  June 30,
2011
  September 30,
2011
  December 31,
2011
  December 31,
2011
 
 
  (in thousands, except statistical data)
(unaudited)

 

Consolidated Statement of Operations Data:

                                                             

Sales

  $ 175,259   $ 192,275   $ 202,149   $ 239,784   $ 809,467   $ 220,858   $ 238,650   $ 239,543   $ 223,148   $ 922,200 (1)

Gross profit

    56,661     63,040     67,452     77,196     264,349     68,401     76,493     78,851     70,650     294,397 (1)

Operating income

    9,408     11,940     19,109     24,205     64,662     20,914     23,325     25,015     27,814     97,071 (1)

Interest expense

    4,153     4,410     4,877     3,996     17,436     4,017     3,372     1,226     1,138     9,753  

Other income (expense), net

    (1,413 )   2,318     (4,274 )   (3,010 )   (6,379 )   (2,328 )   (275 )   4,077     35     1,508 (1)

Income tax expense

    1,627     1,172     3,618     6,406     12,823     5,367     6,703     9,477     9,268     30,815  
                                           

Net income

  $ 2,215   $ 8,676   $ 6,340   $ 10,793   $ 28,024   $ 9,202   $ 12,975   $ 18,389   $ 17,443   $ 58,011 (1)
                                           

Statistical and Other Data:

                                                             

Sales growth from comparable prior year

    -17.6 %   -4.9 %   11.5 %   30.4 %   3.8 %   26.0 %   24.1 %   18.5 %   -6.9 %   13.9 %

Gross profit margin

    32.3 %   32.8 %   33.4 %   32.2 %   32.7 %   31.0 %   32.1 %   32.9 %   31.7 %   31.9 %

(1)
Results do not add due to rounding

Sales

        Sales for 2011 were $922.2 million, an increase of $112.7 million, or 13.9%, from sales of $809.5 million for 2010. The industry as a whole saw sales increase 13% in 2011, as reported by BIFMA, and our growth was consistent with the industry. Our systems product category experienced the largest increase for the year, up 24.6% when compared with 2010. In 2011, systems continued to represent the largest percentage of our overall sales. Geographically, our European sales lagged the growth in North America as a result of the declining economic conditions in Europe.

        Sales to governmental entities and agencies continued to represent a large portion of our overall sales however, these sales, declined on a year-over-year basis during the fourth quarter of 2011. This decline was a significant factor in our lower sales for the fourth quarter 2011. Approximately 21.0% of our 2011 sales were to federal, state and local governmental entities and related agencies.

Gross Profit and Operating Profit

        Gross profit for 2011 was $294.4 million, an increase of $30.1 million, or 11.4%, from gross profit of $264.3 million for 2010. Operating profit for 2011 was $97.1 million, an increase of $32.4 million, or 50.1%, from operating profit of $64.7 million for 2010. Included in operating profit for 2011 was a $5.4 million curtailment benefit primarily related to the modification of our postretirement medical benefits.

        As a percentage of sales, gross profit decreased from 32.7% for 2010 to 31.9% for 2011. The largest contributors to this decline were materials and transportation inflation. The strengthening of the Canadian dollar during 2011 also negatively affected our gross margin. Operating profit as a percentage

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of sales increased from 8.0% in 2010 to 10.5% in 2011. Operating profit for 2011 included restructuring charges of $0.7 million compared to $7.6 million in 2010.

        Selling, general, and administrative expenses for 2011 were $202.1 million, or 21.9% of sales, compared to $192.5 million, or 23.8% of sales, for 2010. The increase in operating expenses during 2011 was in large part due to increased commissions and incentive compensation based upon the higher sales volumes as well as $1.7 million of expenses related to technology infrastructure upgrades.

        During 2011, we incurred restructuring charges of approximately $0.8 million. These charges included $0.2 million of employee termination costs and $0.6 million of costs associated with facility realignment. These charges were offset by a $0.1 million adjustment to a previous accrual. During 2010, we incurred restructuring charges of approximately $7.6 million. These charges included $3.7 million of employee termination costs, $3.0 million of costs associated with the write-off of fixed assets that we determined had no future benefit, and $0.9 million of costs related to facility realignment.

Interest Expense

        Interest expense for 2011 was $9.8 million, a decrease of $7.6 million from interest expense of $17.4 million for 2010. The decrease in interest expense for the periods noted above is mainly due to our lower outstanding debt and the expiration of our remaining two interest rate swap agreements on June 9, 2011. See Note 12 of the consolidated financial statements included in this annual report on Form 10-K for further information regarding the interest rate swaps. The annualized weighted average interest rate for 2011 was 3.6%. The annualized weighted average interest rate for the same period of 2010 was 5.8%.

Other (Income) Expense, net

        Other income for 2011 was $1.5 million which included $2.7 million of foreign exchange gains, partially offset by $1.6 million of expense related to a negative judicial ruling, and $0.4 million of miscellaneous income. Other expense for 2010 was $6.4 million, comprised primarily of $5.5 million of foreign exchange losses, a $1.2 million non-cash expense related to the ineffective portion of our interest rate swaps, offset by $0.3 million of miscellaneous income.

Income Tax Expense

        The mix of pretax income and the varying effective tax rates in the countries in which we operate directly affects our consolidated effective tax rate. The effective tax rate was 34.7% for 2011 compared to 31.4% for 2010. During 2010, we recorded a $2.5 million tax benefit related to foreign tax credits that was recognized as a discrete item due to amended tax returns being filed during the second quarter of 2010. Without this benefit, our tax rate for 2010 would have been 37.5%.

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Business Segment Analysis

 
  2011   2010  

SALES

             

Office

  $ 664,132   $ 562,304  

Studio

    152,724     151,917  

Coverings

    105,344     95,246  
           

Knoll, Inc

  $ 922,200   $ 809,467  
           

OPERATING PROFIT

             

Office

  $ 46,614   $ 32,628  

Studio

    23,022     20,880  

Coverings

    22,686     18,381  
           

Subtotal

    92,322     71,889  

Restructuring and other charges—primarily Office

    696     7,565  

Curtailment benefit

    5,445     338  
           

Knoll, Inc.(1)

  $ 97,071   $ 64,662  
           

(1)
The Company does not allocate interest expense or other (income) expense, net to the reportable segments.

        Net sales for the Office segment in 2011 were $664.1 million, an increase of $101.8 million, or 18.1%, when compared with 2010. The majority of this increase was attributable to the increase in our systems sales when compared with 2010. The remaining increase was mainly from sales of our storage and other complementary products. Office segment sales in 2011 were positively impacted by $2.2 million due to changes in foreign exchange rates associated with the Canadian dollar compared to 2010. Operating profit for the Office segment was $46.6 million in 2011, an increase of $14.0 million, or 42.9%, when compared with 2010. As a percent of net sales, the Office segment operating profit was 7.0% for the year ended December 31, 2011 and 5.8% for the year ended December 31, 2010.

        Net sales for the Studio segment in 2011 modestly increased to $152.7 million from $151.9 million during 2010. Less large project activity in Europe tempered growth in our Studio segment during 2011. Studio segment sales in 2011 were positively impacted by $3.6 million due to changes in foreign exchange rates associated with the Euro and the British pound compared to 2010. Operating profit for the Studio segment was $23.0 million, an increase of $2.1 million, or 10.0%, when compared with 2010. European sales declined 9.1% in 2011 when compared to 2010. As a percent of net sales, the Studio segment operating profit was 15.1% for the year ended December 31, 2011 and 13.8% for the year ended December 31, 2010.

        Net sales for the Coverings segment in 2011 were $105.3 million, an increase of $10.1 million, or 10.6%, when compared with 2010. KnollTextiles experienced the largest growth during the year followed by Edelman Leather and Spinneybeck. Coverings segment sales during 2011 were positively impacted by $0.4 million due to changes in foreign exchange rates compared to 2010. Operating profit for the Coverings segment was $22.7 million, an increase of $4.3 million, or 23.4%, when compared to 2010. As a percent of net sales, the Coverings segment operating profit was 21.5% for the year ended December 31, 2011 and 19.3% for the year ended December 31, 2010.

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Liquidity and Capital Resources

        The following table highlights certain key cash flows and capital information pertinent to the discussion that follows:

 
  2012   2011   2010  
 
  (in thousands)
 

Cash provided by operating activities

  $ 70,568   $ 66,921   $ 89,632  

Capital expenditures, net

    16,545     15,175     8,312  

Cash used in investing activities

    23,001     16,332     9,037  

Purchase of common stock for treasury

    4,676     15,026     12,073  

Proceeds from revolving credit facilities

    562,000     334,000     213,000  

Repayment of revolving credit facilities

    581,000     367,000     263,000  

Payment of dividends

    20,537     16,658     5,496  

Proceeds from issuance of common stock

    1,091     13,238     9,737  

Cash used in financing activities

    45,791     49,913     57,487  

        Historically, we have carried significant amounts of debt, and cash generated by operating activities has been used to fund working capital, capital expenditures, repurchase shares, pay quarterly dividends and make payments of principal and interest on our indebtedness. Our capital expenditures are typically for new product tooling and manufacturing equipment. These capital expenditures support new products and continuous improvements in our manufacturing processes. In addition, we began growth initiative programs in our Studio and Coverings segments which increased our capital spending during 2012 as well as our continued expenditures related to our technology infrastructure upgrades with the implementation of a new enterprise resource planning system. At December 31, 2012, cash held outside of the United States was $28.2 million.

        In February 2013, we announced a three year plan of strategic investments and initiatives intended to enable us to achieve our revenue and operating profit margin goals of over $1.0 billion in revenues and over 12% operating margins. This plan will require increased expenditures, primarily in 2013, and we expect these increases to negatively impact short-term profits. However, we believe these are the right investments to achieve our long-term goals.

        Cash provided by operating activities was $70.6 million in 2012, $66.9 million in 2011, and $89.6 million in 2010. For the year ended December 31, 2012, cash provided by operating activities consisted of $82.7 million from net income, plus various non-cash charges which included $10.4 million of stock compensation expense and a $0.5 million write-off of deferred financing fees, and $12.1 million of unfavorable changes in assets and liabilities. For the year ended December 31, 2011, cash provided by operating activities consisted of $80.1 million from net income, plus various non-cash charges which included a $5.4 million curtailment benefit primarily related to the modification of the Company's post-retirement medical benefits and $13.2 million of unfavorable changes in assets and liabilities.

        For the year ended December 31, 2012, we used available cash, including $70.6 million cash from operating activities to repay $19.0 million of debt, fund $16.5 million in capital expenditures, fund dividend payments to shareholders totaling $20.5 million, and to fund working capital. During the third quarter of 2012 we increased our quarterly dividend from $0.10 per share to $0.12 per share. For the year ended December 31, 2011, we used available cash, including the $66.9 million of cash from operating activities to repay $33.1 million of debt, fund $15.2 million in capital expenditures, fund dividend payments to shareholders totaling $16.7 million, and to fund working capital.

        We use our revolving credit facility in the ordinary course of business to fund our working capital needs and, at times, make significant borrowings and repayments under the facility depending on our cash needs and availability at such time. As of December 31, 2012, there was approximately $193.0 million outstanding under the facility, compared to $212.0 million outstanding under the facility as of

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December 31, 2011. Borrowings under the revolving credit facility may be repaid at any time, but no later than February 2017. See Note 10 of the consolidated financial statements included in this Form 10-K for further information regarding this amended facility.

        Our revolving credit facility requires that we comply with two financial covenants: our consolidated leverage ratio, defined as the ratio of total indebtedness to consolidated EBITDA (as defined in our credit agreement) for a period of four fiscal quarters, cannot exceed 4 to 1, and our consolidated interest coverage ratio, defined as the ratio of our consolidated EBITDA (as defined in our credit agreement) for a period of four fiscal quarters to our consolidated interest expense, must be a minimum of 3 to 1. We are also required to comply with various other affirmative and negative covenants, including without limitation, covenants that prevent or restrict our ability to pay dividends, engage in certain mergers or acquisitions, make certain investments or loans, incur future indebtedness, engage in sale-leaseback transactions, alter our capital structure or line of business, prepay subordinated indebtedness, engage in certain transactions with affiliates and sell stock or assets.

        We are currently in compliance with all of the covenants and conditions under our credit facility. We believe that existing cash balances and internally generated cash flows, together with borrowings available under our revolving credit facility, will be sufficient to fund normal working capital needs, capital spending requirements, debt service requirements and dividend payments for at least the next twelve months. However, because of the financial covenants mentioned above, our capacity under our revolving credit facility could be reduced if our trailing consolidated EBITDA (as defined by our credit agreement) would decline due to deteriorating market conditions. Future debt payments may be paid out of cash flows from operations, from future refinancing of our debt or from equity issuances. However, our ability to make scheduled payments of principal, to pay interest on or to refinance our indebtedness, to satisfy our other debt obligations and to pay dividends to stockholders will depend upon our future operating performance, which will be affected by general economic, financial, competitive, legislative, regulatory, business and other factors beyond our control.

Contractual Obligations

        The following table summarizes our contractual cash obligations as of December 31, 2012 (in thousands):

 
  Payments due by period  
 
  Less than
1 year
  1 to 3
years
  3 to 5
years
  More than
5 years
  Total  

Long-term debt

  $ 3,783   $ 11,347   $ 193,352   $     $ 208,482  

Operating leases

    14,136     25,089     22,754     42,456     104,435  

Purchase commitments

    8,573     1,115     779     177     10,644  

Pension plan contributions(a)

    20,645                       20,645  

Postretirement benefit plan obligations(a)

    1,141                       1,141  

Total

  $ 48,278   $ 37,551   $ 216,885   $ 42,633   $ 345,347  

(a)
Due to the uncertainty of future cash outflows, contributions to the pension and other post-retirement benefit plans subsequent to 2013 have been excluded from the table above.

(b)
Due to the uncertainty of future cash outflows, uncertain tax positions have been excluded from the table above.

        Contractual obligations for long-term debt include principal and interest payments. Interest has been included at the variable rate in effect as of December 31, 2012, as applicable.

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Environmental Matters

        Our past and present business operations and the past and present ownership and operation of manufacturing plants on real property are subject to extensive and changing federal, state, local and foreign environmental laws and regulations, including those relating to discharges to air, water and land, the handling and disposal of solid and hazardous waste and the cleanup of properties affected by hazardous substances. As a result, we are involved from time-to-time in administrative and judicial proceedings and inquiries relating to environmental matters and could become subject to fines or penalties related thereto. We cannot predict what environmental legislation or regulations will be enacted in the future, how existing or future laws or regulations will be administered or interpreted or what environmental conditions may be found to exist. Compliance with more stringent laws or regulations, or stricter interpretation of existing laws, may require additional expenditures by us, some of which may be material. We have been identified as a potentially responsible party pursuant to the Comprehensive Environmental Response, Compensation and Liability Act of 1980 ("CERCLA") for remediation costs associated with waste disposal sites that we previously used. The remediation costs and our allocated share at some of these CERCLA sites are unknown. We may also be subject to claims for personal injury or contribution relating to CERCLA sites. We reserve amounts for such matters when expenditures are probable and reasonably estimable.

Off-Balance Sheet Arrangements

        We do not currently have any relationships with unconsolidated entities or financial partnerships, such as entities often referred to as structured finance or special purpose entities, which would have been established for the purpose of facilitating off-balance sheet arrangements or other contractually narrow or limited purposes. In addition, we do not engage in trading activities involving non-exchange traded contracts. As a result, we are not materially exposed to any financing, liquidity, market or credit risk that could arise if we had engaged in these relationships.

Critical Accounting Policies

        The preparation of our consolidated financial statements in conformity with accounting principles generally accepted in the U.S. ("GAAP") requires us to make estimates and assumptions that affect the reported amounts in the consolidated financial statements and accompanying notes. Actual results may differ from such estimates. We believe that the critical accounting policies that follow are those policies that require the most judgment, estimation and assumption in preparing our consolidated financial statements.

Allowance for Doubtful Accounts

        We maintain allowances for doubtful accounts for estimated losses resulting from the inability of our clients and dealers to make required payments. The allowance is determined through an analysis of the aging of accounts receivable and assessments of risk that are based on historical trends and an evaluation of the impact of current and projected economic conditions. We evaluate the past-due status of our trade receivables based on contractual terms of sale. If the financial condition of our clients and dealers were to deteriorate, additional allowances may be required. Accounts receivable are charged off against the allowance for doubtful accounts when we determine that recovery is unlikely. Losses have been consistent with our expectations.

Inventory

        Inventories are valued at the lower of cost or market. Cost is determined using the first-in, first-out method. We reserve inventory that, in our judgment, is impaired or obsolete. Obsolescence

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may be caused by the discontinuance of a product line, changes in product material specifications, replacement products in the marketplace and other competitive influences.

Goodwill and Other Intangible Assets

        We record the excess of purchase price over the fair value of the tangible and identifiable intangible assets acquired as goodwill. Goodwill and indefinite-lived trademarks are tested for impairment at least annually and whenever events or circumstances occur indicating that a possible impairment may have been incurred. Goodwill is tested for impairment by determining the fair value of our reporting units using an income approach which discounts future net cash flows to their present value at a rate that reflects our cost of capital, otherwise known as the discounted cash flow method ("DCF"). These estimated fair values are based on financial projections and certain cash flow measures. The indefinite-lived trademarks are tested for impairment by comparing the carrying value to the fair value based on current revenue projections of the related operations, under the relief from royalty method. Any excess carrying value over the amount of fair value is recognized as an impairment. Any impairment would be recognized in full in the reporting period in which it has been identified.

        Finite-lived assets such as customer relationships, non-compete agreements, and licenses are amortized over their estimated useful lives. We review the carrying values of these assets for possible impairment whenever events or changes in circumstances indicate that the carrying value of an asset may not be recoverable based on undiscounted estimated cash flows expected to result from its use and eventual disposition. We continually evaluate the reasonableness of the useful lives of these assets.

Deferred Financing Fees

        Deferred financing costs that are incurred by the Company in connection with the issuance of debt are deferred and amortized to interest expense over the life of the underlying indebtedness.

Business Combinations

        The purchase price of an acquired company is allocated between tangible and intangible assets acquired and liabilities assumed from the acquired business based on their estimated fair values, with the residual of the purchase price recorded as goodwill. The results of operations of the acquired businesses are included in our operating results from the dates of acquisition.

Product Warranty

        We provide for the estimated cost of product warranties at the time revenue is recognized. While we engage in product quality programs and processes, our warranty obligation is affected by product failure rates and by material usage and service costs incurred in correcting a product failure. Cost estimates are based on historical product failure rates and identified one-time fixes for each specific product category. Warranty cost generally varies in direct relation to sales volume, as such costs tend to be a consistent percentage of revenue. Should actual costs differ from original estimates, the estimated warranty liability would be revised.

Employee Benefits

        We are partially self-insured for our employee health benefits. We accrue for employee health benefit obligations based on an actuarial valuation. The actuarial valuation is based upon historical claims as well as a number of assumptions, including rates of inflation for medical costs, and benefit plan changes. Actual results could be materially different from the estimates used.

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Pension and Other Postretirement Benefits

        We sponsor two defined benefit pension plans and two other postretirement benefit plans. Several statistical and other factors, which attempt to anticipate future events, are used in calculating the expense and liability related to the plans. Key factors include assumptions about the expected rates of return on plan assets, discount rates, and health care cost trend rates, as determined by us, within certain guidelines. We consider market conditions, including changes in investment returns and interest rates, in making these assumptions.

        Both the pension plans and the other postretirement benefit plans were modified during the year ended December 31, 2011. Participants who had 70 or greater points (age plus years of service) could elect to stay in the pension and accrue additional benefits or receive the Company's 401K match which was reinstated as of January 1, 2012. Those with less than 70 points were removed from the pension plan and will not accrue any additional benefits. The Company's other postretirement benefit plans are in the process of being phased out. As a result of this modification, the Company recorded a $5.4 million curtailment benefit during the year ended December 31, 2011.

        We determine the expected long-term rate of return on plan assets based on aggregating the expected rates of return for each component of the plan's asset mix. We use historic plan asset returns combined with current market conditions to estimate the rate of return. The expected rate of return on plan assets is a long-term assumption and generally does not change annually. The discount rate reflects the market rate for high-quality fixed income debt instruments as of our annual measurement date and is subject to change each year. Holding all other assumptions constant, a one percentage point increase or decrease in the assumed rate of return on plan assets would decrease or increase 2012 net periodic pension expense by approximately $1.7 million. Likewise, a one percentage point increase or decrease in the discount rate would decrease or increase 2012 net periodic pension expense by approximately $4.7 million or $5.6 million, respectively.

        Unrecognized actuarial gains and losses are recognized over the expected remaining service life of the employee group. Unrecognized actuarial gains and losses arise from several factors, including experience and assumption changes with respect to the obligations and from the difference between expected returns and actual returns on plan assets. These unrecognized gains and losses are systematically recognized as a change in future net periodic pension expense in accordance with the appropriate accounting guidance relating to defined benefit pension and other postretirement plans.

        Key assumptions we use in determining the amount of the obligation and expense recorded for postretirement benefits other than pensions ("OPEB"), under the appropriate accounting guidance, include the assumed discount rate and the assumed rate of increases in future health care costs. In estimating the health care cost trend rate, we consider actual health care cost experience, future benefit structures, industry trends and advice from our actuaries. We assume that the relative increase in health care costs will generally trend downward over the next several years, reflecting assumed increases in efficiency and cost containment initiatives in the health care system. At December 31, 2012, the expected rate of increase in future health care costs was 8.00% and 7.00% in determining the benefit obligation for 2012 and 8.50% in determining the net periodic benefit cost in 2012 for medical and prescription drug, respectively. The rate was then assumed to decrease to an ultimate rate of 5% for 2019 for the medical plan and 2017 for the prescription drug plan and thereafter for the benefit obligation. Increasing the assumed health care cost trend by one percentage point in each year would increase the benefit obligation as of December 31, 2012 by $0.3 million and increase the aggregate of the service and interest cost components of net periodic benefit cost for 2012 by a minimal amount. Decreasing the assumed health care cost trend rate by one percentage point in each year would decrease the benefit obligation as of December 31, 2012 by approximately $0.3 million and decrease the aggregate of the service and interest cost components of net periodic benefit cost for 2012 by a minimal amount.

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        In accordance with the appropriate accounting guidance, we recognize in our consolidated balance sheet the funded status (i.e. the difference between the fair value of plan assets and the projected benefit obligation) of our defined benefit pension and postretirement benefit plans. To record the unfunded status of our plans we recorded an additional liability and an adjustment to accumulated other comprehensive income, net of tax.

        The actuarial assumptions we use in determining our pension and OPEB retirement benefits may differ materially from actual results due to changing market and economic conditions, higher or lower withdrawal rates, or longer or shorter life spans of participants. While we believe that the assumptions used are appropriate, differences in actual experience or changes in assumptions may materially affect our financial position or results of operations.

Commitments and Contingencies

        We establish reserves for the estimated cost of environmental and legal contingencies when such expenditures are probable and reasonably estimable. A significant amount of judgment and use of estimates is required to quantify our ultimate exposure in these matters. We engage outside experts as deemed necessary or appropriate to assist in the evaluation of exposure. From time to time, as information becomes available regarding changes in circumstances for ongoing issues as well as information regarding emerging issues, our potential liability is reassessed and reserve balances are adjusted as necessary. Revisions to our estimates of potential liability, and actual expenditures related to environmental and legal contingencies, could have a material impact on our results of operations or financial position.

Taxes

        We account for income taxes in accordance with the appropriate accounting guidance relating to income taxes, which requires that deferred tax assets and liabilities be recognized using enacted tax rates for the effect of temporary differences between book and tax bases of recorded assets and liabilities. The appropriate accounting guidance also requires that deferred tax assets be reduced by a valuation allowance if it is more likely than not that some portion or all of the deferred tax assets will not be recognized.

        At December 31, 2012, our deferred tax liabilities of $95.7 million exceeded deferred tax assets of $57.4 million by $38.3 million. At December 31, 2011, deferred tax liabilities of $94.2 million exceeded deferred tax assets of $55.1 million by $39.1 million. Our deferred tax assets at December 31, 2012 and 2011 of $57.4 million and $55.1 million, respectively, are net of valuation allowances of $7.8 million and $7.4 million, respectively. We have recorded the valuation allowance primarily for net operating loss carryforwards in foreign tax jurisdictions where we have incurred historical tax losses from operations or acquired tax losses through acquisition, and have determined that it is more likely than not that these deferred tax assets will not be realized.

        We evaluate on an ongoing basis the realizability of our deferred tax assets and adjust the amount of the allowance, if necessary. The factors used to assess the likelihood of realization include our forecast of future taxable income and our assessment of available tax planning strategies that could be implemented to realize the net deferred tax assets.

        We account for uncertain tax positions in accordance with the applicable accounting guidance relating to uncertainty in income taxes. Accordingly, we report a liability for unrecognized tax benefits resulting from uncertain tax positions taken, or expected to be taken, in an income tax return. We recognize interest and penalties, if any, related to unrecognized tax benefits in income tax expense.

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Derivative Financial Instruments

        We occasionally utilize derivative instruments to mitigate volatility related to interest rates and foreign currency exposures. We do not hold or issue derivative financial instruments for trading or speculative purposes. We recognize derivatives as either assets or liabilities in the accompanying balance sheet and measure those instruments at fair value. Changes in the fair value of those instruments are reported in accumulated other comprehensive income if they qualify for hedge accounting or in earnings if they do not qualify for hedge accounting. Derivatives qualify for hedge accounting if they are designated as hedge instruments and if the hedge is highly effective in achieving offsetting changes in the fair value or cash flows of the asset or liability hedged. Accordingly, gains and losses from changes in derivative fair value of effective hedges are deferred and reported in accumulated other comprehensive income until the underlying transaction affects earnings.

Stock-Based Compensation

        The Company accounts for stock-based compensation according to applicable accounting guidance, which requires the Company to expense the cost of employee services received in exchange for an award of equity instruments based on the grant-date fair value of the award. This expense is recognized over the applicable vesting period.

Stock Options

        The fair value for stock options is estimated at the date of grant using an option pricing model, which requires management to make certain assumptions. The risk-free interest rate is based on the U.S. Treasury spot rate with a remaining term equal to the expected life assumed at the date of grant. Expected volatility is estimated based on the historical volatility of the Company's stock price. The model takes into consideration the historical dividends paid on common stock. The weighted-average expected life is based on the contractual term of the stock option and expected employee exercise dates, which is based on the historical exercise behavior of the Company's employees. Forfeitures are estimated at the date of grant based on historical experience.

Restricted Stock and Restricted Stock Units

        The fair value of restricted stock and restricted stock units are based on the closing market price of the Company's common stock on the date of grant. The Company recognizes compensation expense relating to restricted stock and restricted stock units ratably over the vesting period.

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ITEM 7A.    QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK

        During the normal course of business, we are routinely subjected to market risk associated with interest rate movements and foreign currency exchange rate movements. Interest rate risk arises from our debt obligations. Foreign currency exchange rate risk arises from our non-U.S. operations and purchases of inventory from foreign suppliers.

        We also have risk in our exposure to certain materials and transportation costs. Steel, leather, wood products and plastics are all used in our products. For the year ended December 31, 2012, we estimated that materials inflation was approximately $3.5 million and transportation inflation was minimal. During 2011, we estimated materials inflation was approximately $9.6 million and transportation inflation was approximately $6.8 million. We continue to work to offset price increases in raw materials and transportation through our global sourcing initiatives, cost improvements and price increases to our products.

Interest Rate Risk

        We have variable rate debt obligations that are denominated in U.S. dollars. A change in interest rates impacts the interest incurred and cash paid on the variable-rate debt.

        In the past we have used interest rate swap agreements for other than trading purposes in order to manage our exposure to fluctuations in interest rates on our variable-rate debt. In May of 2008, we entered into four interest rate swap agreements in order to manage our interest rate risk. Each agreement hedged a notional amount of $150.0 million. Two of the agreements were effective from June 9, 2009 through June 9, 2010 and the other two were effective June 9, 2010 and expired June 9, 2011. Fluctuations in LIBOR affect both our net financial instrument position and the amount of cash to be paid or received by us, if any, under these agreements. There were no interest rate hedge agreements outstanding as of December 31, 2012 or December 31, 2011. See Note 12 of the consolidated financial statements included in this annual report for further information regarding the interest rate swap agreements.

        Our weighted average interest rate for 2012 was 2.4%. Taking into account payments on the above noted interest rate swap agreements, the weighted average rate for the same period of 2011 was 3.6%.

        The following table summarizes our market risks associated with our debt obligations as of December 31, 2012. For debt obligations, the table presents principal cash flows and related weighted average interest rates by year of maturity. Variable interest rates presented for variable-rate debt represent the weighted average interest rates on our credit facility borrowings as of December 31, 2012.

 
  2013   2014   2015   2016   2017   Thereafter   Total   Fair Value  
 
  (in thousands)
   
   
   
   
   
 

Rate Sensitive Liabilities

                                                 

Long-term Debt:

                                                 

Variable Rate

        $   $   $   $ 193,000   $   $ 193,000   $ 193,000  

Variable Interest Rate

                            1.96 %                  

        An increase in our effective interest rate of 1% would increase annual interest expense by approximately $1.9 million. We will continue to review our exposure to interest rate fluctuations and evaluate whether we should manage such exposures through derivative transactions.

Foreign Currency Exchange Rate Risk

        We manufacture our products in the United States, Canada and Italy, and sell our products primarily in those markets as well as in other European countries. Our foreign sales and certain expenses are transacted in foreign currencies. Our production costs, profit margins and competitive

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position are affected by the strength of the currencies in countries where we manufacture or purchase goods relative to the strength of the currencies in countries where our products are sold. Additionally, as our reporting currency is the U.S. dollar, our financial position is affected by the strength of the currencies in countries where we have operations relative to the strength of the U.S. dollar. The principal foreign currencies in which we conduct business are the Canadian dollar and the Euro. Approximately 12.7% and 13.5% of our revenues in 2012 and 2011, respectively, and 33.8% and 33.3% of our cost of goods sold in 2012 and 2011, respectively, were denominated in currencies other than the U.S. dollar. Foreign currency exchange rate fluctuations resulted in a $2.8 million translation loss in 2012 and a $2.7 million translation gain in 2011.

        From time to time, we enter into foreign currency forward exchange contracts and foreign currency option contracts for other than trading purposes in order to manage our exposure to foreign exchange rates associated with short-term operating receivables of a Canadian subsidiary that are payable by our U.S. operations. The terms of these contracts are generally less than a year. Changes in the fair value of such contracts are reported in earnings in the period the value of the contract changes. The net gain or loss upon settlement and the change in fair value of outstanding contracts is recorded as a component of other (income) expense. During 2012, the Company did not enter into any foreign currency contracts. During 2011, the Company entered into multiple foreign currency contracts. The net settlement of these contracts was a $1.2 million gain that was recorded in other (income) expense, net. As of December 31, 2012, the Company had no outstanding foreign currency contracts.

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ITEM 8.    FINANCIAL STATEMENTS AND SUPPLEMENTARY DATA

Report of Independent Registered Public Accounting Firm

The Board of Directors and Stockholders of Knoll, Inc.

        We have audited the accompanying consolidated balance sheets of Knoll, Inc. as of December 31, 2012 and 2011, and the related consolidated statements of operations and comprehensive income, stockholders' equity, and cash flows for each of the three years in the period ended December 31, 2012. Our audits also included the financial statement schedule listed in the Index at Item 15(a). These financial statements and schedule are the responsibility of the Company's management. Our responsibility is to express an opinion on these financial statements and schedule based on our audits.

        We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

        In our opinion, the financial statements referred to above present fairly, in all material respects, the consolidated financial position of Knoll, Inc. at December 31, 2012 and 2011, and the consolidated results of its operations and its cash flows for each of the three years in the period ended December 31, 2012, in conformity with U.S. generally accepted accounting principles. Also, in our opinion, the related financial statement schedule, when considered in relation to the basic financial statements taken as a whole, presents fairly in all material respects the information set forth therein.

        We also have audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States), Knoll, Inc.'s internal control over financial reporting as of December 31, 2012, based on criteria established in Internal Control—Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission and our report dated March 1, 2013 expressed an unqualified opinion thereon.

/s/ Ernst & Young LLP

Philadelphia, Pennsylvania
March 1, 2013

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KNOLL, INC.

CONSOLIDATED BALANCE SHEETS

DECEMBER 31, 2012 AND 2011

(dollars in thousands, except per share data)

 
  December 31,
2012
  December 31,
2011
 

ASSETS

             

Current assets:

             

Cash and cash equivalents

  $ 29,956   $ 28,263  

Customer receivables, net

    105,877     126,078  

Inventories

    98,195     89,244  

Deferred income taxes

    13,061     10,688  

Prepaid and other current assets

    11,433     10,620  
           

Total current assets

    258,522     264,893  

Property, plant, and equipment, net

    124,838     121,792  

Goodwill

    80,332     76,571  

Intangible assets, net

    222,498     220,679  

Other non-trade receivables

    3,700     3,248  

Other noncurrent assets

    5,163     908  
           

Total Assets

  $ 695,053   $ 688,091  
           

LIABILITIES AND STOCKHOLDERS' EQUITY

             

Current liabilities:

             

Accounts payable

  $ 83,600   $ 83,824  

Income taxes payable

    6,327     14,625  

Other current liabilities

    86,018     84,679  
           

Total current liabilities

    175,945     183,128  

Long-term debt

    193,000     212,000  

Deferred income taxes

    51,382     49,778  

Postretirement benefits other than pensions

    10,005     10,656  

Pension liability

    64,836     56,873  

Other noncurrent liabilities

    11,785     10,233  
           

Total liabilities

    506,953     522,668  
           

Commitments and contingent liabilities

             

Stockholders' equity:

             

Common stock, $0.01 par value; 200,000,000 shares authorized; 62,266,755 issued and 47,840,562 outstanding (net of 14,426,193 treasury shares) at December 31, 2012 and 61,854,474 shares issued and 47,748,699 outstanding (net of 14,105,775 treasury shares) at December 31, 2011

    479     477  

Additional paid-in-capital

    27,751     23,631  

Retained earnings

    184,750     155,818  

Accumulated other comprehensive income (loss)

    (24,880 )   (14,503 )
           

Total stockholders' equity

    188,100     165,423  
           

Total Liabilities and Stockholders' Equity

  $ 695,053   $ 688,091  
           

   

See accompanying notes to the consolidated financial statements

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KNOLL, INC.

CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE INCOME

YEARS ENDED DECEMBER 31, 2012, 2011, AND 2010

(dollars in thousands, except per share data)

 
  2012   2011   2010  

Sales

  $ 887,499   $ 922,200   $ 809,467  

Cost of sales

    593,149     627,803     545,118  
               

Gross profit

    294,350     294,397     264,349  

Selling, general, and administrative expenses

    206,449     202,075     192,460  

Restructuring and other charges

        696     7,565  

Curtailment benefit

        5,445     338  
               

Operating profit

    87,901     97,071     64,662  

Interest expense

    6,350     9,753     17,436  

Other (income) expense, net

    3,215     (1,508 )   6,379  
               

Income before income tax expense

    78,336     88,826     40,847  

Income tax expense

    28,335     30,815     12,823  
               

Net income

  $ 50,001   $ 58,011   $ 28,024  
               

Earnings per share:

                   

Basic

  $ 1.07   $ 1.25   $ 0.61  

Diluted

  $ 1.06   $ 1.24   $ 0.61  

Weighted-average shares of common stock outstanding:

                   

Basic

    46,634,834     46,249,571     45,600,043  

Diluted

    47,059,186     46,835,712     45,970,680  

Net income

 
$

50,001
 
$

58,011
 
$

28,024
 

Other comprehensive income (loss)

                   

Pension and other post-retirement liability adjustment, net of tax

    (12,358 )   (11,439 )   2,259  

Foreign currency translation adjustment

    1,981     (2,525 )   (315 )

Change in the fair value of interest rate swap contracts, net of tax

        2,622     5,122  
               

Total other comprehensive income (loss)

    (10,377 )   (11,342 )   7,066  
               

Total comprehensive income

  $ 39,624   $ 46,669   $ 35,090  
               

   

See accompanying notes to the consolidated financial statements

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KNOLL, INC.

CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY

YEARS ENDED DECEMBER 31, 2012, 2011, AND 2010

(dollars in thousands, except per share data)

 
  Common
Stock
  Additional
Paid-In
Capital
  Retained
Earnings
  Accumulated
Other
Comprehensive
Income (Loss)
  Total
Stockholders'
Equity
 

Balance at December 31, 2009

  $ 470   $ 6,736   $ 92,583   $ (10,227 ) $ 89,562  

Net income

            28,024         28,024  

Foreign currency translation adjustment

                (315 )   (315 )

Change in the fair value of interest rate swap contracts (net of income tax effect of $3,471)

                      5,122     5,122  

Pension and other post-retirement liabilities (net of income tax effect of $2,056)

                2,259     2,259  
                               

Total comprehensive income

                            35,090  
                               

Shares issued for consideration:

                               

Exercise of stock options (790,596 shares)

    8     9,635             9,643  

Income tax effect from the exercise of stock options and vesting of restricted stock

          479                 479  

Shares issued under stock incentive plan (50,446 shares)

                     

Shares issued under employee stock purchase plan (3,251 shares)

        44             44  

Shares issued to Board of Directors in lieu of cash (3,603 shares)

        50             50  

Stock-based compensation

        9,208             9,208  

Cash dividend ($.12 per share)

            (5,617 )       (5,617 )

Purchase of common stock (869,065 shares)

    (8 )   (12,065 )           (12,073 )
                       

Balance at December 31, 2010

  $ 470   $ 14,087   $ 114,990   $ (3,161 ) $ 126,386  

Net income

            58,011         58,011  

Foreign currency translation adjustment

                (2,525 )   (2,525 )

Change in the fair value of interest rate swap contracts (net of income tax effect of $1,574)

                      2,622     2,622  

Pension and other post-retirement liabilities (net of income tax effect of $7,239)

                (11,439 )   (11,439 )
                               

Total comprehensive income

                            46,669  
                               

Shares issued for consideration:

                               

Exercise of stock options (878,658 shares)

    15     13,136             13,151  

Income tax effect from the exercise of stock options and vesting of restricted stock

          1,668                 1,668  

Shares issued under stock incentive plan (762,004 shares)

                     

Shares issued under employee stock purchase plan (2,567 shares)

        37             37  

Shares issued to Board of Directors in lieu of cash (2,739 shares)

        50             50  

Stock-based compensation

        9,671             9,671  

Cash dividend ($.36 per share)

            (17,183 )       (17,183 )

Purchase of common stock (768,780 shares)

    (8 )   (15,018 )           (15,026 )
                       

Balance at December 31, 2011

  $ 477   $ 23,631   $ 155,818   $ (14,503 ) $ 165,423  

Net income

            50,001         50,001  

Foreign currency translation adjustment

                1,981     1,981  

Pension and other post-retirement liabilities (net of income tax effect of $7,807)

                (12,358 )   (12,358 )
                               

Total comprehensive income

                            39,624  
                               

Shares issued for consideration:

                               

Exercise of stock options (93,839 shares)

    2     1,039             1,041  

Income tax effect from the exercise of stock options and vesting of restricted stock

        (2,652 )           (2,652 )

Shares issued under stock incentive plan (315,030 shares)

    3                 3  

Shares issued to Board of Directors in lieu of cash (3,391 shares)

        50             50  

Stock-based compensation

        10,356             10,356  

Cash dividend ($.44 per share)

            (21,069 )       (21,069 )

Purchase of common stock (310,252 shares)

    (3 )   (4,673 )           (4,676 )
                       

Balance at December 31, 2012

  $ 479   $ 27,751   $ 184,750   $ (24,880 ) $ 188,100  
                       

   

See accompanying notes to the consolidated financial statements

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CONSOLIDATED STATEMENTS OF CASH FLOWS

YEARS ENDED DECEMBER 31, 2012, 2011, AND 2010

(in thousands)

 
  2012   2011   2010  

CASH FLOWS FROM OPERATING ACTIVITES

                   

Net income

  $ 50,001   $ 58,011   $ 28,024  

Adustments to reconcile net income to cash provided by operating activities:

                   

Depreciation

    14,632     15,373     17,433  

Amortization expense (including deferred financing fees)

    1,915     2,365     2,028  

Provision for deferred taxes

    4,393     2,560     7,075  

Write-off of fixed assets due to restructuring

            2,962  

Write-off of deferred financing fees

    477          

Unrealized foreign currency loss (gain)

    1,338     (2,551 )   2,050  

Ineffective portion of interest rate swaps

            1,177  

Curtailment benefit

        (5,445 )   (338 )

Stock-based compensation

    10,356     9,671     9,208  

Other non-cash items

    (412 )   139     108  

Changes in assets and liabilites:

                   

Customer receivables

    20,131     991     (14,676 )

Inventories

    (7,512 )   (4,158 )   (6,032 )

Accounts payable

    (563 )   (17,695 )   28,051  

Current and deferred income taxes

    (15,831 )   3,075     9,340  

Other current assets

    (3,920 )   881     (2,768 )

Other current liabilities

    815     1,738     8,735  

Other noncurrent assets and liabilities

    (5,252 )   1,966     (2,745 )
               

Cash provided by operating activities

    70,568     66,921     89,632  
               

CASH FLOWS FOR INVESTING ACTIVITIES

                   

Capital expenditures, net

    (16,545 )   (15,175 )   (8,312 )

Purchase of business, net of cash acquired

    (5,968 )   (832 )    

Purchase of intangibles

    (488 )   (325 )   (725 )
               

Cash used in investing activites

    (23,001 )   (16,332 )   (9,037 )
               

CASH FLOWS FOR FINANCING ACTIVITIES

                   

Proceeds from revolving credit facilities

    562,000     334,000     213,000  

Repayment of revolving credit facilities

    (581,000 )   (367,000 )   (263,000 )

Repayment of long-term debt

        (135 )   (134 )

Payment of financing fees

    (2,848 )        

Payment of dividends

    (20,537 )   (16,658 )   (5,496 )

Proceeds from the issuance of common stock

    1,091     13,238     9,737  

Purchase of common stock for treasury

    (4,676 )   (15,026 )   (12,073 )

Tax benefit from the exercise of stock options and vesting of equity awards

    179     1,668     479  
               

Cash used in financing activities

    (45,791 )   (49,913 )   (57,487 )
               

Effect of exchange rate changes on cash and cash equivalents

    (83 )   652     (2,134 )
               

Increase in cash and cash equivalents

    1,693     1,328     20,974  

Cash and cash equivalents at beginning of period

    28,263     26,935     5,961  
               

Cash and cash equivalents at end of period

  $ 29,956   $ 28,263   $ 26,935  
               

   

See accompanying notes to the consolidated financial statements

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS

DECEMBER 31, 2012

1. NATURE OF OPERATIONS

        Knoll, Inc. and its subsidiaries (the "Company" or "Knoll") are engaged in the design, manufacture and sale of office furniture products and accessories, modern outdoor furniture, as well as the sale of fine leather, textiles, and felt, focusing on the middle to high-end segments of the contract furniture market. The Company has operations in the United States ("U.S."), Canada, and Europe and sells its products primarily through its direct sales representatives and independent dealers.

2. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

Principles of Consolidation

        The consolidated financial statements of the Company include the accounts of Knoll, Inc. and its wholly owned subsidiaries. Intercompany transactions and balances have been eliminated in consolidation.

        The results of the European subsidiaries are reported and included in the consolidated financial statements on a one-month lag to allow for the timely preparation of consolidated information. The effect of this presentation is not material to the financial statements.

Cash and Cash Equivalents

        Cash and cash equivalents include cash on hand and highly liquid investments with maturities of three months or less at the date of purchase.

Revenue Recognition and Accounts Receivable

        The Company recognizes revenue when the earnings process is complete. This occurs when risk and title transfers, collectibility is reasonably assured and pricing is fixed and determinable. Accordingly, revenue is recognized when risk and title are transferred to the client, which primarily occurs at the time of shipment.

        The Company maintains allowances for doubtful accounts for estimated losses resulting from the inability of its clients and dealers to make required payments. The allowance is determined through an analysis of the aging of accounts receivable and assessments of risk that are based on historical trends and an evaluation of the impact of current and projected economic conditions. The Company evaluates the past-due status of its trade receivables based on the contractual terms of sale. If the financial condition of the Company's clients and dealers were to deteriorate, resulting in an impairment of their ability to make payments, additional allowances may be required. Accounts receivable are charged off against the allowance for doubtful accounts when the Company determines that recovery is unlikely. Losses have been consistent with the Company's expectations.

Inventories

        Inventories are stated at the lower of cost or market. Cost is determined using the first-in, first-out method. The Company reserves for inventory that, in its judgment, is impaired or obsolete. Obsolescence may be caused by the discontinuance of a product line, changes in product material specifications, replacement products in the marketplace and other competitive influences.

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

2. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (Continued)

Property, Plant, Equipment and Depreciation

        Property, plant, and equipment are stated at cost, less accumulated depreciation. Depreciation is computed using the straight-line method over the estimated useful lives of the assets. The useful lives are as follows: 45 years for buildings and 2 to 12 years for machinery and equipment.

        The Company reviews the carrying values of its property and equipment for possible impairment whenever events or changes in circumstances indicate that the carrying value of an asset may not be recoverable based on undiscounted estimated cash flows expected to result from its use and eventual disposition. The factors considered by the Company in performing this assessment include current operating results, trends and other economic factors. In assessing the recoverability of the carrying value of the property and equipment, the Company must make assumptions regarding future cash flows and other factors. If these estimates or the related assumptions change in the future, the Company may be required to record an impairment loss for these assets.

Goodwill and Other Intangible Assets

        The Company records the excess of purchase price over the fair value of the tangible and identifiable intangible assets acquired as goodwill. Goodwill and indefinite-lived trademarks are tested for impairment at least annually and whenever events or circumstances occur indicating that a possible impairment may have been incurred. Goodwill is tested for impairment by determining the fair value of the Company's reporting units using an income approach which discounts future net cash flows to their present value at a rate that reflects the Company's cost of capital, otherwise known as the discounted cash flow method ("DCF"). These estimated fair values are based on financial projections and certain cash flow measures. The indefinite-lived trademarks are tested for impairment by comparing the carrying value to the fair value based on current revenue projections of the related operations, under the relief from royalty method. Any excess carrying value over the amount of fair value is recognized as an impairment. Any impairment would be recognized in full in the reporting period in which it has been identified.

        Finite-lived assets such as customer relationships, non-compete agreements, and licenses are amortized over their estimated useful lives. The Company reviews the carrying values of these assets for possible impairment whenever events or changes in circumstances indicate that the carrying value of an asset may not be recoverable based on undiscounted estimated cash flows expected to result from its use and eventual disposition. The Company continually evaluates the reasonableness of the useful lives of these assets.

Business Combinations

        The purchase price of an acquired company is allocated between tangible and intangible assets acquired and liabilities assumed from the acquired business based on their estimated fair values, with the residual of the purchase price recorded as goodwill. The results of operations of the acquired businesses are included in the Company's operating results from the dates of acquisition.

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

2. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (Continued)

Deferred Financing Fees

        Deferred financing costs that are incurred by the Company in connection with the issuance of debt are deferred and amortized to interest expense over the life of the underlying indebtedness.

Shipping and Handling

        Amounts billed to clients for shipping and handling of products are classified as sales. Costs incurred by the Company for shipping and handling are classified as cost of sales.

Research and Development Costs

        Research and development expenses, which are expensed as incurred and included as a component of selling, general, and administrative expenses, were $15.3 million for 2012, $15.4 million for 2011, and $14.6 million for 2010.

Income Taxes

        Deferred tax assets and liabilities are recognized using enacted tax rates to measure the effect of temporary differences between book and tax bases on recorded assets and liabilities. Deferred tax assets are reduced by a valuation allowance, if it is more likely than not some portion or all of the deferred tax assets will not be recognized.

        The Company evaluates tax positions to determine whether the benefits of tax positions are more likely than not of being sustained upon audit based on the technical merits of the tax position. The Company reports a liability for unrecognized tax benefits resulting from uncertain tax positions taken, or expected to be taken, in an income tax return. The Company recognizes interest and penalties, if any, related to unrecognized tax benefits in income tax expense. The Company accrues for interest and penalties in other noncurrent liabilities within the consolidated balance sheet.

Fair Value of Financial Instruments

        Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (an exit price). The Company uses a market approach (generally, data from market transactions), an income approach (generally, present value techniques and option-pricing models), and/or a cost approach (generally, replacement cost) to measure the fair value of an asset or liability. These valuation approaches incorporate inputs such as observable, independent market data and/or unobservable data that management believes are predicated on the assumptions market participants would use to price an asset or liability. These inputs may incorporate, as applicable, certain risks such as nonperformance risk, which includes credit risk. When unobservable inputs are significant to the fair value measurement, a contract is classified as Level 3.

Derivative Financial Instruments

        The Company occasionally utilizes derivative instruments to mitigate volatility related to interest rates and foreign currency exposures. The Company does not hold or issue derivative financial

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

2. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (Continued)

instruments for trading or speculative purposes. The Company recognizes derivatives as either assets or liabilities in the accompanying consolidated balance sheet and measures those instruments at fair value. Changes in the fair value of those instruments are reported in accumulated other comprehensive income if they qualify for hedge accounting or in earnings if they do not qualify for hedge accounting. Derivatives qualify for hedge accounting if they are designated as hedge instruments and if the hedge is highly effective in achieving offsetting changes in the fair value or cash flows of the asset or liability hedged. Accordingly, gains and losses from changes in derivative fair value of effective hedges are deferred and reported in accumulated other comprehensive income until the underlying transaction affects earnings.

Commitments and Contingencies

        The Company establishes reserves for the estimated cost of environmental and legal contingencies when such expenditures are probable and reasonably estimable. A significant amount of judgment and use of estimates is required to quantify the ultimate exposure in these matters. The Company engages outside experts as deemed necessary or appropriate to assist in the evaluation of exposure. From time to time, as information becomes available regarding changes in circumstances for ongoing issues as well as information regarding emerging issues, the potential liability is reassessed and reserve balances are adjusted as necessary. Revisions to the estimates of potential liability, and actual expenditures related to environmental and legal contingencies, could have a material impact on the results of operations or financial position.

Warranty

        The Company offers a warranty for all of its products. The specific terms and conditions of those warranties vary depending upon the product sold. The Company estimates the costs that may be incurred under its warranties and records a liability in the amount of such costs at the time product revenue is recognized. Factors that affect the Company's liability include historical product-failure experience and estimated repair costs for identified matters for each specific product category. The Company periodically assesses the adequacy of its recorded warranty liabilities and adjusts the amounts as necessary. Adjustments to recorded reserves for pre-existing warranties are not material for each period presented.

Concentration of Credit Risk

        The Company's accounts receivables are primarily due from a network independent dealers and direct customers. The Company monitors and manages the credit risk associated with the individual dealers and direct customers. The independent dealers are responsible for assessing and assuming credit risk of their customers and may require their customers to provide deposits or other credit enhancement measures. Historically, the Company has had a concentration of federal and local government receivables, however, they carry minimal credit risk.

Foreign Currency Translation

        Results of foreign operations are translated into U.S. dollars using average exchange rates during the period, while assets and liabilities are translated into U.S. dollars using the exchange rates as of the

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

2. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (Continued)

balance sheet date. The resulting translation adjustments are recorded in accumulated other comprehensive income (loss).

        Transaction gains and losses resulting from exchange rate changes on transactions denominated in currencies other than the functional currency are included in other (income) expense, net, in the period in which the change occurs.

Stock-Based Compensation

        The Company accounts for stock-based compensation according to applicable accounting guidance, which requires the Company to expense the cost of employee services received in exchange for an award of equity instruments based on the grant-date fair value of the award. This expense is recognized over the applicable vesting period.

Stock Options

        The fair value for stock options is estimated at the date of grant using an option pricing model, which requires management to make certain assumptions based on both historical and current data. The assumptions include expected term of the options, risk-free interest rate, expected volatility, and dividend yield. The expected term represents the expected amount of time that options granted are expected to be outstanding, based on historical and forecasted exercise behavior. The risk-free rate is based on the rate at grant date of zero-coupon U.S. Treasury Notes with a term equal to the expected term of the option. Expected volatility is estimated based on the historical volatility of the Company's stock price. The Company's dividend yield is based on historical data. Forfeitures are estimated at the date of grant based on historical experience.

Restricted Stock and Restricted Stock Units

        The fair value of restricted stock and restricted stock units is based on the closing market price of the Company's common stock on the date of grant. The Company recognizes compensation expense relating to restricted stock and restricted stock units ratably over the vesting period.

Earnings per Share

        Basic earnings per share excludes the dilutive effect of (i) common shares that could potentially be issued due to the exercise of stock options, and (ii) unvested restricted stock and restricted stock units and is computed by dividing net income by the weighted-average number of common shares outstanding for the period. Diluted earnings per share includes the effect of shares and potential shares

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

2. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (Continued)

issued under the stock incentive plans. The following table sets forth the reconciliation from basic to dilutive average common shares:

 
  December 31,  
 
  2012   2011   2010  
 
  (in thousands)
 

Weighted-average shares of common stock outstanding—basic

    46,635     46,250     45,600  

Potentially dilutive shares resulting from stock plans

    424     586     371  
               

Weighted-average common shares—diluted

    47,059     46,836     45,971  
               

Antidilutive equity awards not included in weighted average common shares-diluted

    596     164     1,701  
               

Use of Estimates

        The preparation of the consolidated financial statements in conformity with United States generally accepted accounting principles requires management to make estimates and assumptions that affect the reported amounts in the consolidated financial statements and accompanying notes. Actual results may differ from such estimates.

New Accounting Pronouncements

        In June 2011, the FASB issued amendments to guidance regarding the presentation of comprehensive income. The amendments eliminate the option to present components of other comprehensive income ("OCI") as part of the statement of changes in stockholders' equity. The amendments require an entity to present the total of comprehensive income, the components of net income, and the components of other comprehensive income either in a single continuous statement or in two separate, but consecutive statements. The amendments also require the entity to present on the face of the financial statements any reclassification adjustments for items that are reclassified from OCI to net income in the statement(s) where the components of net income and the components of OCI are presented. The amendments do not change the items that must be reported in OCI, when an item of OCI must be reclassed to net income or the option to present components of OCI either net of related tax effects or before related tax effects. The amendments, excluding the specific requirement to present on the face of the financial statements any reclassification adjustments for items that are reclassified from OCI to net income in the statement(s) where the components of net income and the components of OCI are presented which was deferred by the FASB in December 2011, are effective for fiscal years, and interim periods within those years, beginning after December 15, 2011 and are to be applied retrospectively. The Company adopted the guidance as of January 1, 2012, except for the deferred requirement to present reclassification adjustments in the statement(s) where the components of net income and the components of OCI are presented. The Company has presented comprehensive income in a single continuous statement.

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

3. ACQUISITIONS

        On March 1, 2012, the Company acquired Richard Schultz Design Inc., a designer and manufacturer of outdoor furniture for the residential, hospitality and contract office furniture markets. The closing cash purchase price was approximately $6.0 million. The Company acquired intangible assets, in connection with the acquisition, including the trademark ($2.8 million), customer relationships ($0.2 million), and non-competition agreements ($0.2 million). Goodwill relating to the acquisition was recorded at $3.0 million. Goodwill and the trademark will be tested for impairment at least annually and whenever events or circumstances occur indicating that a possible impairment may have been incurred. Goodwill for tax purposes will be amortized over 15 years. The remaining intangibles acquired (customer relationships and non-competition agreements) were assigned finite useful lives and amortization will be recorded over the economic life of the intangibles.

        On December 30, 2011, the Company acquired substantially all of the assets and liabilities of Filzfelt. Goodwill relating to the acquisition was recorded at $1.3 million and will be tested for impairment at least annually and whenever events or circumstances occur indicating that a possible impairment may have been incurred.

        The results of these acquisitions have been included in the Company's results of operations from the dates of their respective acquisitions. These acquisitions strengthen the Company's portfolio of products that can be offered.

4. RESTRICTED CASH

        Included in the Company's consolidated balance sheet in cash and cash equivalents is $0.3 million of restricted cash at December 31, 2012 and 2011. This $0.3 million bond is held in the United Kingdom in order to defer the payment of duties on imports into United Kingdom.

5. CUSTOMER RECEIVABLES, NET

        Customer receivables are presented net of an allowance for doubtful accounts of $5.5 million and $4.2 million at December 31, 2012 and 2011, respectively. Management performs ongoing credit evaluations of its clients and generally does not require collateral. As of December 31, 2012 and 2011, the U.S. government and agencies thereof, represented approximately 11.3% and 18.8%, respectively, of gross customer receivables.

6. INVENTORIES

 
  December 31,
2012
  December 31,
2011
 
 
  (in thousands)
 

Raw materials

  $ 50,159   $ 46,399  

Work-in-process

    7,626     6,926  

Finished goods

    40,410     35,919  
           

  $ 98,195   $ 89,244  
           

        Inventory reserves for obsolescence and other estimated losses were $6.9 million and $7.7 million at December 31, 2012 and 2011, respectively, and have been included in the amounts above.

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

7. PROPERTY, PLANT, AND EQUIPMENT

 
  December 31,
2012
  December 31,
2011
 
 
  (in thousands)
 

Land and buildings

  $ 108,841   $ 106,891  

Machinery and equipment

    257,665     248,704  

Construction in progress

    11,886     11,623  
           

Property, plant and equipment

    378,392     367,218  

Accumulated depreciation

    (253,554 )   (245,426 )
           

Property, plant and equipment, net

  $ 124,838   $ 121,792  
           

        Included in construction in progress are computer software costs of $4.7 million and $2.6 million as of December 31, 2012 and December 31, 2011, respectively.

8. GOODWILL AND OTHER INTANGIBLE ASSETS, NET

        Information regarding the Company's other intangible assets are as follows (in thousands):

 
  December 31, 2012   December 31, 2011  
 
  Gross
Amount
  Accumulated
Amortization
  Net
Amount
  Gross
Amount
  Accumulated
Amortization
  Net
Amount
 

Indefinite-lived intangible assets:

                                     

Trademarks

  $ 216,721   $   $ 216,721   $ 213,881   $   $ 213,881  

Finite-lived intangible assets:

                                     

Various

    13,515     (7,738 )   5,777     16,859     (10,061 )   6,798  
                           

Total

  $ 230,236   $ (7,738 ) $ 222,498   $ 230,740   $ (10,061 ) $ 220,679  
                           

        The Company's amortization expense related to finite-lived intangible assets was $1.0 million, $1.3 million, and $1.4 million for the years ended December 31, 2012, 2011, and 2010, respectively. The expected amortization expense based on the finite-lived intangible assets as of December 31, 2012 is as follows (in thousands):

 
  Estimated
Amortization
 

2013

  $ 746  

2014

    766  

2015

    739  

2016

    687  

2017

    651  

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

8. GOODWILL AND OTHER INTANGIBLE ASSETS, NET (Continued)

        The changes in the carrying amount of goodwill by reportable segment are as follows (in thousands):

 
  Office
Segment
  Studio
Segment
  Coverings
Segment
  Total  

Balance, December 31, 2011

  $ 37,930   $ 2,206   $ 36,435   $ 76,571  

Goodwill acquired

        2,996         2,996  

Finalization of purchase accounting for prior year acquisition

            524     524  

Foreign currency translation adjustment

    241             241  
                   

Balance, December 31, 2012

  $ 38,171   $ 5,202   $ 36,959   $ 80,332  
                   

9. OTHER CURRENT LIABILITIES

 
  December 31,
2012
  December 31,
2011
 
 
  (in thousands)
 

Accrued employee compensation

  $ 33,974   $ 36,213  

Accrued pension costs

    20,645     16,875  

Customer deposits

    5,899     6,518  

Warranty

    7,852     8,146  

Other

    17,648     16,927  
           

Other current liabilities

  $ 86,018   $ 84,679  
           

10. INDEBTEDNESS

        The Company's long-term debt is summarized as follows (in thousands):

 
  December 31,
2012
  December 31,
2011
 

Revolving credit facility

  $ 193,000   $ 212,000  

Revolving Credit Facilities

        On February 3, 2012, the Company amended and restated its credit facility, dated June 29, 2007, with a new $450.0 million credit facility maturing on February 3, 2017. The Company may use the line of credit for general corporate purposes, including strategic acquisitions, stock buy-backs and cash dividends. Under the Company's credit agreement dated February 3, 2012, the Company can increase its credit facility by up to $200.0 million subject to certain limitations and satisfaction of certain conditions, including compliance with certain financial covenants.

        Loans made pursuant to the credit facility may be borrowed, repaid and re-borrowed from time to time until February 3, 2017, subject to satisfaction of certain conditions on the date of any such borrowing. Obligations under the credit facility are secured by a first priority security interest in (i) the capital stock of each present and future subsidiary (with limitations on foreign subsidiaries) and (ii) all

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

10. INDEBTEDNESS (Continued)

present and future property and assets of the Company (with various limitations and exceptions). Borrowings under the credit facility bear interest, at the Company's election, at (i) the Eurocurrency Rate (as defined in the credit agreement), plus additional percentage points based on the Company's leverage ratio or (ii) the Base Rate (a rate based on the higher of (a) the prime rate announced from time-to-time by Bank of America, N.A., (b) the Federal Reserve System's federal funds rate, plus .50% or (c) the Eurocurrency Rate plus 1.00%; Base Rate is defined in detail in the credit agreement), plus additional percentage points based on the Company's leverage ratio. The interest rates were 1.96% and 1.15% as of December 31, 2012 and 2011, respectively.

        The credit agreement contains a letter of credit sub facility that allows for the issuance of letters of credit and swing-line loans. Subject to the ability to increase the credit facility by up to $200.0 million as mentioned above, the sum of the outstanding revolver balance plus any outstanding letters of credit and swing-line loans cannot exceed $450.0 million. The amount available for borrowing under the revolving credit facility is reduced by the total outstanding letters of credit and swing-line loans. The Company had letters of credit outstanding totaling $6.3 million and $3.0 million at December 31, 2012 and 2011, respectively.

        The Company is required to pay an annual commitment fee equal to a rate per annum calculated as the product of the applicable rate based upon the Company's leverage ratio as set forth in the credit agreement, times the unused portion of the revolving credit facility. In addition, the Company is required to pay an annual letter of credit fee equal to the applicable rate as set forth in the credit agreement times the daily maximum amount available to be drawn under such letter of credit.

        In addition, the credit agreement also contains various affirmative and negative covenants that among other things, limit, subject to certain exceptions, the incurrence of additional indebtedness in excess of a specified amount in any fiscal year. The Company was in compliance with the credit agreement covenants at December 31, 2012.

Deferred Financing Fees

        In connection with the refinancing of the Company's previous credit facility during the first quarter of 2012, the Company wrote-off $0.5 million of unamortized deferred financing fees associated with the previous credit facility and incurred $2.8 million in new financing fees that will be amortized as a component of interest expense over the life of the new facility through February 2017. Deferred financing fees, net of accumulated amortization, totaled $2.6 million and $0.9 million as of December 31 2012 and 2011, respectively. Amortization expense related to the deferred financing fees, included in interest expense, was $0.6 million for each of the years ended December 31, 2012, 2011, and 2010.

Others

        The Company also has several revolving credit agreements with various European financial institutions. These credit agreements provide credit primarily for overdraft and working capital purposes. As of December 31, 2012, total credit available under such agreements was approximately $11.8 million. There is currently no expiration date on these agreements. The interest rates on borrowings are variable and are based on the monetary market rate that is linked to each country's

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

10. INDEBTEDNESS (Continued)

prime rate. The Company had no outstanding borrowings under the European credit facilities as of December 31, 2012 or 2011.

Interest Paid

        During 2012, 2011, and 2010, the Company made interest payments, including any amounts related to the Company's interest rate swap agreements, totaling $5.4 million, $9.8 million, and $17.0 million, respectively.

11. STOCKHOLDERS' EQUITY

Preferred Stock

        The Company's Certificate of Incorporation authorizes the issuance of 10,000,000 shares of preferred stock with a par value of $1.00 per share. Subject to applicable laws, the Board of Directors is authorized to provide for the issuance of preferred shares in one or more series, for such consideration and with designations, powers, preferences and relative, participating, optional or other special rights and the qualifications, limitations or restrictions thereof, as shall be determined by the Board of Directors. There was no Preferred Stock outstanding as of December 31, 2012 and 2011.

Accumulated Other Comprehensive Income (Loss)

        The components of accumulated other comprehensive income (loss) are as follows (in thousands):

 
  Beginning
Balance
  Before-Tax
Amount
  Tax Benefit
(Expense)
  Net-of-Tax
Amount
  Ending
Balance
 

December 31, 2010

                               

Pension and other post-retirement liability adjustment

  $ (24,420 ) $ 4,315   $ (2,056 ) $ 2,259   $ (22,161 )

Foreign currency translation adjustment

    21,937     (315 )       (315 )   21,622  

Change in the fair value of interest rate swap contracts

    (7,744 )   8,593     (3,471 )   5,122     (2,622 )
                       

Accumulated other comprehensive income (loss)

  $ (10,227 ) $ 12,593   $ (5,527 ) $ 7,066   $ (3,161 )
                       

December 31, 2011

                               

Pension and other post-retirement liability adjustment

  $ (22,161 ) $ (18,678 ) $ 7,239   $ (11,439 ) $ (33,600 )

Foreign currency translation adjustment

    21,622     (2,525 )       (2,525 )   19,097  

Change in the fair value of interest rate swap contracts

    (2,622 )   4,196     (1,574 )   2,622      
                       

Accumulated other comprehensive income (loss)

  $ (3,161 ) $ (17,007 ) $ 5,665   $ (11,342 ) $ (14,503 )
                       

December 31, 2012

                               

Pension and other post-retirement liability adjustment

  $ (33,600 ) $ (20,165 ) $ 7,807   $ (12,358 ) $ (45,958 )

Foreign currency translation adjustment

    19,097     1,981         1,981     21,078  
                       

Accumulated other comprehensive income (loss)

  $ (14,503 ) $ (18,184 ) $ 7,807   $ (10,377 ) $ (24,880 )
                       

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

12. DERIVATIVE FINANCIAL INSTRUMENTS

Interest Rate Swaps

        The Company occasionally uses derivative financial instruments to reduce its exposure to adverse fluctuations in interest rates.

        On May 21, 2008, the Company entered into four interest rate swap agreements for purposes of managing its risk in interest rate fluctuations. These agreements each hedged a notional amount of $150.0 million of the Company's borrowings under the revolving credit facility. Two of the agreements were effective June 9, 2009 and expired on June 9, 2010. On these two agreements, the Company paid a fixed rate of 3.51% and received a variable rate of interest equal to three-month London Interbank Offered Rate (LIBOR), as determined on the last day of each quarterly settlement period. The other two agreements were effective on June 9, 2010 and expired on June 9, 2011. The Company paid a fixed rate of 4.10% on these two agreements and received a variable rate of interest equal to three-month LIBOR as determined on the last day of each quarterly settlement period.

        The Company elected to apply hedge accounting to these swap agreements. Changes in the fair value of the effective portion of the interest rate swap agreements was recorded as a component of accumulated other comprehensive income (loss). The net amount received or paid upon quarterly settlements was recorded as an adjustment to interest expense, with a corresponding adjustment in accumulated other comprehensive income (loss).

        The Company had no outstanding interest rate swap contracts as of December 31, 2012 and 2011.

        The effects of derivatives in cash flow hedging relationships for the twelve months ended December 31, 2012, 2011, and 2010 were as follows (in thousands):

Derivatives in Cash Flow Hedge Relationship
  Before—Tax Loss
Recognized in
OCI on Derivatives
(Effective Portion)
  Locations of Loss
Reclassified from
AOCI into Income
(Effective Portion)
  Before—Tax Loss
Reclassified from
AOCI into Income
(Effective Portion)
  Locations of Loss
Recognized in Income
on Derivatives
(Ineffective Portion)
  Before—Tax Loss
Recognized in Income
on Derivatives
(Ineffective Portion)
 

December 31, 2012

                           

Interest rate swap contracts

  $       $       $  
                       

Total

  $   Interest Expense   $   Other (income) expense, net   $  
                       

December 31, 2011

                           

Interest rate swap contracts

  $ 41       $ 4,237       $  
                       

Total

  $ 41   Interest Expense   $ 4,237   Other (income) expense, net   $  
                       

December 31, 2010

                           

Interest rate swap contracts

  $ 2,868   Interest Expense   $ 10,284   Other (income) expense, net   $ 1,177  
                       

Total

  $ 2,868       $ 10,284       $ 1,177  
                       

        The Company will continue to review its exposure to interest rate fluctuations and evaluate whether it should manage such exposure through derivative transactions.

Foreign Currency Contracts

        From time to time, the Company enters into foreign currency forward exchange contracts and foreign currency option contracts to manage its exposure to foreign exchange rates associated with short-term operating receivables of a Canadian subsidiary that are payable by the U.S. operations. The

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

12. DERIVATIVE FINANCIAL INSTRUMENTS (Continued)

terms of these contracts are generally less than a year. Changes in the fair value of such contracts are reported in earnings as a component of other (income) expense, net. The Company did not enter into any foreign currency contracts during 2012 or 2010. There were no outstanding exchange rate contracts as of December 31, 2012 or 2011.

        During 2011, the Company entered into multiple foreign currency contracts. The effect of derivatives not designated as hedging instruments for the twelve months ended December 31, 2011 was as follows (in thousands):

Derivatives Not Designanted as Hedging Instruments
  Locations of (Gain) Loss Recognized
in Income on Derivative
  2011  

Foreign currency contracts

  Other (income) expense, net   $ (1,153 )
           

Total

      $ (1,153 )
           

13. CONTINGENT LIABILITIES AND COMMITMENTS

Litigation

        The Company is currently involved in claims and matters of litigation, including environmental contingencies, arising in the ordinary course of business. The Company accrues for such matters when expenditures are probable and reasonably estimable. Based upon information presently known, management is of the opinion that such litigation, either individually or in the aggregate, will not have a material adverse effect on the Company's consolidated financial position, results of operations, or cash flows.

Collective Bargaining

        At December 31, 2012, the Company employed a total of 3,211 people. Approximately 12.3% of the employees were represented by unions at December 31, 2012. The Grand Rapids, Michigan plant is the only unionized plant within the U.S. and has an agreement with the Carpenters Union, Local 1615, of the United Brotherhood of Carpenters and Joiners of America, Affiliate of the Carpenters Industrial Council (the Union), covering approximately 197 hourly employees. The Collective Bargaining Agreement expires April 30, 2015. Approximately 199 workers in Italy are also represented by unions.

Warranty

        Changes in the Company's warranty reserve during the years ended December 31, 2012, 2011, and 2010 were as follows:

 
  2012   2011   2010  
 
  (in thousands)
 

Balance, beginning of the year

  $ 8,146   $ 8,090   $ 9,773  

Provision for warranty claims

    6,488     7,007     4,808  

Warranty claims paid

    (6,887 )   (6,950 )   (6,478 )

Increase due to acquisition

    106          

Foreign currency translation adjustment

    (1 )   (1 )   (13 )
               

Balance, end of the year

  $ 7,852   $ 8,146   $ 8,090  
               

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

14. INCOME TAXES

        Income before income tax expense consists of the following:

 
  2012   2011   2010  
 
  (in thousands)
 

U.S. operations

  $ 59,478   $ 67,379   $ 32,123  

Foreign operations

    18,858     21,447     8,724  
               

Total

  $ 78,336   $ 88,826   $ 40,847  
               

        Income tax expense is comprised of the following:

 
  2012   2011   2010  
 
  (in thousands)
 

Current:

                   

Federal

  $ 16,766   $ 16,794   $ 1,488  

State

    3,240     3,561     1,426  

Foreign

    3,936     7,900     2,834  
               

Total current:

    23,942     28,255     5,748  

Deferred

                   

Federal

  $ 2,934   $ 4,087   $ 7,044  

State

    608     695     420  

Foreign

    851     (2,222 )   (389 )
               

Total deferred

    4,393     2,560     7,075  
               

Income tax expense

  $ 28,335   $ 30,815   $ 12,823  
               

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

14. INCOME TAXES (Continued)

        The following table sets forth the tax effects of temporary differences that give rise to the deferred tax assets and liabilities:

 
  December 31,
2012
  December 31,
2011
 
 
  (in thousands)
 

Deferred tax assets

             

Accounts receivable, principally due to allowance for doubtful accounts

  $ 1,986   $ 1,514  

Inventories

    3,340     2,762  

Net operating loss carryforwards

    8,433     8,888  

Accrued pension

    31,544     26,924  

Stock-based compensation

    4,966     7,343  

Compensation-related accruals

    3,209     3,103  

Warranty

    2,781     3,459  

Obligation for postretirement benefits other than pension

    4,187     4,467  

Accrued liabilities and other items

    4,755     4,037  
           

Gross deferred tax assets

    65,201     62,497  

Valuation allowance

    (7,798 )   (7,385 )
           

Net deferred tax assets

    57,403     55,112  
           

Deferred tax liabilities:

             

Intangibles

    84,518     82,841  

Plant and equipment

    11,206     11,361  
           

Gross deferred tax liabilities

    95,724     94,202  
           

Net deferred tax liabilities

  $ (38,321 ) $ (39,090 )
           

        Income taxes paid, net of refunds received, by the Company during 2012, 2011, and 2010 totaled $26.7 million, $13.5 million, and $0.5 million respectively.

        As of December 31, 2012, the Company had net operating loss carryforwards totaling approximately $31.2 million in the United Kingdom, Germany, and Italy. The net operating loss carryforwards may be carried forward for a period of 5 years in Italy and indefinitely in the United Kingdom and Germany. The Company provides a valuation allowance against certain net foreign deferred tax assets (principally the net operating loss carryforwards) due to the uncertainty that they can be realized.

        During 2012, the Company increased the valuation allowance by $0.6 million in connection with the benefits associated with net operating loss carry forwards that the Company concluded would not be realized. This entire amount was reflected as a foreign deferred income tax expense for the current year.

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

14. INCOME TAXES (Continued)

        The following table sets forth a reconciliation of the statutory federal income tax rate to the effective income tax rate:

 
  2012   2011   2010  

Federal statutory tax rate

    35.0 %   35.0 %   35.0 %

Increase (decrease) in the tax rate resulting from:

                   

State taxes, net of federal effect

    3.2     3.0     2.1  

Effect of tax rates of other countries

    (0.5 )   (2.2 )   (0.7 )

Foreign Tax Credit-Amended Returns

            (6.9 )

Section 199 deduction

    (1.5 )   (1.7 )   (0.4 )

Change in Contingency Reserve

    (1.9 )        

Other

    1.9     0.6     2.3  
               

Effective tax rate

    36.2 %   34.7 %   31.4 %
               

        During the second quarter of 2010, the Company filed amended Federal Income Tax Returns in order to claim Foreign Tax Credits for the years 2005 through 2008. The Company realized a $2.8 million benefit, during the year ended December 31, 2010 as a result of the filing of these amended returns. During the fourth quarter of 2012, the Company received the refund claimed.

        The Company has not made provisions for U.S. federal and state income taxes as of December 31, 2012 on approximately $117.2 million of foreign earnings that are expected to be reinvested indefinitely. Upon distribution of those earnings in the form of dividends or otherwise, the Company would be subject to U.S. federal and state income taxes (subject to an adjustment for foreign tax credits) and withholding taxes payable to the various foreign countries.

        As of December 31, 2012 and 2011, the Company had unrecognized tax benefits of approximately $1.2 million and $2.0 million, respectively. The entire amount of the unrecognized tax benefits would reduce the effective tax rate if recognized.

        The following table summarizes the activity related to our unrecognized tax benefits during 2012, 2011, and 2010:

 
  2012   2011   2010  
 
  (in thousands)
 

Balance, beginning of the year

  $ 2,044   $ 1,953   $ 1,821  

Additions for tax position related to the current year

    125     189     112  

Additions for tax position related to the prior year

    191         69  

Decreases for tax position related to the prior year

    (1,102 )       (46 )

Prior year reductions

                   

Settlements with taxing authorities

            (47 )

Lapse of statute of limitations

    (106 )   (137 )   (119 )

Change in exchange rate

        39     163  
               

Balance, end of the year

  $ 1,152   $ 2,044   $ 1,953  
               

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

14. INCOME TAXES (Continued)

        As a result of the decrease in unrecognized tax benefits during the year ended December 31, 2012, the Company reduced the accrual for interest and penalties by $0.6 million, net of deferred taxes. During 2011 and 2010, the Company recognized approximately $0.1 million of interest and penalties, net of deferred taxes. The Company has accrued approximately $0.1 million for the payment of interest and penalties at December 31, 2012, and $0.7 million for the payment of interest and penalties at December 31, 2011.

        As of December 31, 2012, the Company is subject to U.S. Federal Income Tax examination for the tax years 2009 through 2012, and to non-U.S. income tax examination for the tax years 2004 to 2012. In addition, the Company is subject to state and local income tax examinations for the tax years 2004 through 2012.

        There are no tax positions included in unrecognized tax benefits at December 31, 2012 for which it is reasonably possible that the total amounts could significantly change during the next twelve months.

15. LEASES

        The Company has commitments under operating leases for certain machinery and equipment as well as manufacturing, warehousing, showroom and other facilities used in its operations. Some of the leases contain renewal provisions and generally require the Company to pay certain operating expenses, including utilities, insurance and taxes, which are subject to escalation. At times the Company enters into lease agreements which contain a provision for cash abatements related to certain leasehold improvements. These abatements are recognized on a straight-line basis as a reduction to rent expense over the lease term. The unamortized portions as of December 31, 2012 and 2011 were $4.8 million and $4.4 million, respectively. During the third quarter of 2012, the Company entered into a new lease agreement to move the location of its New York City showroom and offices. The lease term commenced in December 2012 and ends August 2025. As a result of this new lease, there will be an approximately $1.5 million per year increase in rent expense in future periods. Total rent expense for 2012, 2011, and 2010 was $15.9 million, $16.0 million, and $15.8 million, respectively. Future minimum rental payments required, excluding maintenance and other miscellaneous charges, under those operating leases are as follows (in thousands):

 
  Future Minimum
Rental Payments
 

2013

  $ 14,136  

2014

    11,765  

2015

    13,324  

2016

    12,192  

2017

    10,562  

Subsequent years

    42,456  
       

Total minimum lease payments

  $ 104,435  
       

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

16. PENSION AND OTHER POSTRETIREMENT BENEFITS

        The Company has two domestic defined benefit pension plans and two plans providing for other postretirement benefits, including medical and life insurance coverage. One of the pension plans and one of the other postretirement benefits plans cover eligible U.S. nonunion employees while the other pension plan and other postretirement benefits plan cover eligible U.S. union employees. The Company uses a December 31 measurement date for both of these plans.

        Both the pension plans and the other postretirement benefit plans were modified during the year ended December 31, 2011. Participants who had 70 or greater points (age plus completed years of service) could elect to stay in the pension and accrue additional benefits or receive the Company's 401K match which was reinstated as of January 1, 2012. Those with less than 70 points were removed from the pension plan and will not accrue any additional benefits after December 31, 2011. However, these individuals will receive the Company's 401K match commencing in 2012. The Company's other postretirement benefit plans are in the process of being eliminated. As a result of these modifications to the post retirement benefit plans, the Company recorded a $5.4 million curtailment benefit during the year ended December 31, 2011.

        The year-end status of these plans was as follows (in thousands):

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2012   2011  

Change in projected benefit obligation:

                         

Projected benefit obligation at December 31

  $ 232,442   $ 196,820   $ 11,885   $ 26,783  

Service cost

    7,209     10,634     50     476  

Interest cost

    11,819     11,211     457     1,114  

Plan Amendments

                (12,218 )

Participant contributions

    15     137         699  

Actuarial loss (gain)

    31,551     23,180     (292 )   (2,939 )

Benefits paid

    (4,620 )   (4,179 )   433     (2,030 )

Liability gain due to Curtailment

        (5,361 )   (1,387 )    
                   

Projected benefit obligation at December 31

  $ 278,416   $ 232,442   $ 11,146   $ 11,885  
                   

Accumulated benefit obligation, December 31

  $ 271,116   $ 226,051   $   $  
                   

Change in plan assets:

                         

Fair value of plan assets at December 31

  $ 159,231   $ 152,015   $   $  

Actual return on plan assets

    21,888     1,277          

Employer contributions

    16,875     9,981     954     1,331  

Participant contributions

    15     137     433     699  

Benefits paid

    (4,620 )   (4,179 )   (1,387 )   (2,030 )
                   

Fair value of plan assets at December 31

  $ 193,389   $ 159,231   $   $  
                   

Funded status

  $ (85,027 ) $ (73,211 ) $ (11,146 ) $ (11,885 )
                   

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

16. PENSION AND OTHER POSTRETIREMENT BENEFITS (Continued)

        Assumptions used in computing the benefit obligation as of December 31, 2012 and 2011 were as follows:

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2012   2011  

Discount rate

    4.30 - 4.40 %   5.10 - 5.15 %   2.25 - 4.25 %   3.40 - 5.05 %

Expected return on plan assets

    7.10     7.10     N/A     N/A  

Rate of compensation increase

    2.50     2.50     N/A     N/A  

        The following table presents the fair value of the Company's pension plan investments as of December 31, 2012 and 2011 (in thousands).

 
  Level 1   Level 2   Level 3   Total  

Equity Securities

                         

U.S. equity securities

  $ 99,840           $ 99,840  

Non-U.S. equity securities

    18,565             18,565  

Debt Securities

                         

Fixed income funds and cash investment funds

    74,984             74,984  
                   

December 31, 2012

  $ 193,389           $ 193,389  
                   

Equity Securities

                         

U.S. equity securities

  $ 79,773           $ 79,773  

Non-U.S. equity securities

    14,282             14,282  

Debt Securities

                         

Fixed income funds and cash investment funds

    65,176             65,176  
                   

December 31, 2011

  $ 159,231           $ 159,231  
                   

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

16. PENSION AND OTHER POSTRETIREMENT BENEFITS (Continued)

        See Note 21 of the consolidated financial statements for the description of the levels of the fair value hierarchy.

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2012   2011  
 
  (in thousands)
 

Amounts recognized in the consolidated balance sheet consist of:

                         

Current liabilities

  $ (20,645 ) $ (16,875 ) $ (1,141 ) $ (1,229 )

Noncurrent liabilities

    (64,382 )   (56,336 )   (10,005 )   (10,656 )
                   

Net amount recognized

  $ (85,027 ) $ (73,211 ) $ (11,146 ) $ (11,885 )
                   

Amounts recognized in accumulated other comprehensive income before taxes:

                         

Net actuarial loss

  $ 79,996   $ 61,918   $ 3,263   $ 4,539  

Prior service cost (benefit)

    25     39     (8,418 )   (11,793 )
                   

Net amount recognized

  $ 80,021   $ 61,957   $ (5,155 ) $ (7,254 )
                   

        The following table sets forth other changes in the benefit obligation recognized in other comprehensive income for the Company's pension and other postretirement benefits plans (in thousands):

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2012   2011  

Net actuarial (gain)/loss

  $ 22,187   $ 29,546   $ (292 ) $ (2,939 )

Prior service cost/(credit)

                (12,218 )

Amortization of:

                         

Prior service cost/(credit)

    (14 )   (101 )   3,375     7,268  

Actuarial (gain)/loss

    (4,108 )   (1,996 )   (983 )   (882 )
                   

Total recognized in OCI

  $ 18,065   $ 27,449   $ 2,100   $ (8,771 )
                   

        The estimated net actuarial loss, and prior service cost, for the defined benefit pension plans included in accumulated other comprehensive income and expected to be recognized in net periodic pension cost during the fiscal year ended December 31, 2013 is $8,623,000 and $14,000, respectively.

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

16. PENSION AND OTHER POSTRETIREMENT BENEFITS (Continued)

        The following table sets forth the components of the net periodic benefit cost for the Company's pension and other postretirement benefits plans (in thousands):

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2010   2012   2011   2010  

Service cost

  $ 7,209   $ 10,634   $ 10,401   $ 50   $ 476   $ 452  

Interest cost

    11,819     11,211     10,811     457     1,114     1,481  

Expected return on plan assets

    (12,523 )   (13,008 )   (11,671 )            

Amortization of prior service cost

    14     32     61     (3,375 )   (1,754 )   (1,205 )

Recognized actuarial loss

    4,108     1,996     1,058     983     882     553  

Curtailment (benefit) expense

        69             (5,514 )   (338 )
                           

Net periodic benefit cost

  $ 10,627   $ 10,934   $ 10,660   $ (1,885 ) $ (4,796 ) $ 943  
                           

        Assumptions used to determine net periodic benefit cost for the years ended December 31, 2012, 2011, and 2010 were as follows:

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2010   2012   2011   2010  

Discount rate

    5.10 - 5.15 %   4.95 - 5.75 %   6.10 %   3.40 - 5.05 %   3.50 - 4.65 %   6.10 %

Expected return on plan assets

    7.10     8.20     8.15     N/A     N/A     N/A  

Rate of compensation increase

    2.50     2.50     4.00     N/A     N/A     N/A  

        The expected long-term rate of return on assets is based on management's expectations of long-term average rates of return to be earned on the investment portfolio. In establishing this assumption, management considers historical and expected returns for the asset classes in which the plan assets are invested.

        For purposes of measuring the benefit obligation associated with the Company's other postretirement benefit plans as of December 31, 2012, as well as the assumed rate for 2013, an 8.00% annual rate of increase in the per capita cost of covered health care benefits was assumed and a 7.00% annual rate of increase in the per capita cost of covered prescription drug benefits was assumed. The rates were then assumed to decrease to an ultimate rate of 5% for 2019 and 2017, respectively, and thereafter. For purposes of measuring the net periodic benefit cost for 2012 associated with the Company's other postretirement benefits plans, an 8.50% annual rate of increase in the per capita cost of covered medical benefits was assumed (both medical and prescription drug). The rate was then assumed to decrease to an ultimate rate of 5% for 2018 for the medical plan and 2019 for the prescription drug plan and thereafter. Increasing the assumed health care cost trend rate by 1.0% would increase the benefit obligation as of December 31, 2012 by $313,000 and increase the aggregate of the service and interest cost components of net periodic benefit cost for 2012 by $18,000. Decreasing the assumed health care cost trend rate by 1.0% would decrease the benefit obligation as of December 31, 2012 by $305,000 and decrease the aggregate of the service and interest cost components of net periodic benefit cost for 2012 by $18,000.

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

16. PENSION AND OTHER POSTRETIREMENT BENEFITS (Continued)

        The Company's pension plans' weighted-average asset allocations as of December 31, 2012 and 2011, by asset category were as follows:

 
  Plan Assets at
December 31,
 
 
  2012   2011  

Asset Category:

             

Temporary investment funds

    3 %   4 %

Equity investment funds

    61     59  

Fixed income funds

    36     37  
           

Total

    100 %   100 %
           

        The Company's pension plans' investment policy includes an asset mix based on the Company's risk posture. The investment policy states a target allocation of 60% equity funds and 40% fixed income funds. Inclusion of the fixed income funds is to provide growth through income and these funds should primarily invest in fixed income instruments of the U.S. Treasury and government agencies and investment-grade corporate bonds. The equity fund investments can consist of a broadly diversified domestic equity fund, an actively managed domestic equity fund and an actively managed international equity fund. The purpose of these funds is to provide the opportunity for capital appreciation, income, and the ability to diversify investments outside the U.S. equity market. Mutual funds are used as the plans' investment vehicle since they have clearly stated investment objectives and guidelines, offer a high degree of investment flexibility, offer competitive long-term results, and are cost effective for small asset balances.

        The Company expects to contribute $20.6 million to its pension plans and approximately $1.1 million to its other postretirement benefit plans in 2013. Estimated future benefit payments under the pension and other postretirement plans are as follows:

 
  Pension Benefits   Other Benefits  
 
  (in thousands)
 

2013

  $ 6,124   $ 1,141  

2014

    7,134     1,224  

2015

    8,252     1,212  

2016

    9,439     1,068  

2017

    10,747     946  

2018 - 2022

    76,037     3,486  

        The Company also sponsors a 401(k) retirement savings plan for all U.S. employees. Under this plan, participants may defer a portion of their earnings up to the annual contribution limits established by the Internal Revenue Service. For associates who do not participate in the Company's pension plans, the plan allows for the Company to make a fixed matching contribution of 50.0% of participant contributions up to the first 6.0% of compensation for both nonunion and union employees; however, matching contributions were suspended in 2011 and 2010. The fixed matched was reinstated beginning January 1, 2012. For participants who are union or nonunion employees and no longer participate in a Knoll pension plan, the plan also provides for a discretionary employer contribution based on the

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

16. PENSION AND OTHER POSTRETIREMENT BENEFITS (Continued)

Company's profits, as determined by the Company's board of directors. In addition, the plan also provides for an additional employer contribution for individuals who are nearing retirement age and no longer participate in a Knoll pension plan. The plan also provides that the Company may make discretionary contributions of common stock to participant accounts on behalf of all actively employed U.S. participants. Company contributions generally vest ratably over a five-year period. A Knoll common stock fund consisting of 1,000,000 shares of common stock into which participants may invest the compensation they elect to defer was established on December 14, 2004. Participant contributions into the Knoll common stock fund are generally limited to no more than 10% of their total account balance in the plan. Participant contributions in the Knoll common stock fund may be transferred into other investment alternatives or distributed in the form of shares of Knoll common stock if so invested at the time of distribution.

        The Company's total expense under the 401(k) plan for U.S. employees was $3.0 million for 2012. In 2011 and 2010, the Company did not match any 401(k) contributions.

        Employees of the Canadian, Belgium and United Kingdom operations participate in defined contribution pension plans sponsored by the Company. The Company's expense related to these plans for 2012, 2011, and 2010 was $1.3 million, $1.2 million, and $1.1 million, respectively.

17. STOCK PLANS

        As of December 31, 2012, the Company sponsors two stock incentive plans under which awards denominated or payable in shares or options to purchase shares of Knoll common stock may be granted to officers, certain other employees, directors and consultants of the Company. In May 2007, the Company approved the 2007 Stock Incentive Plan which authorized the issuance of 2,000,000 shares of common stock. As of December 31, 2012, 25,857 shares remained available for issuance under this plan. In May of 2010, the Company approved the 2010 Stock Incentive Plan which authorized the issuance of 2,000,000 shares of common stock. As of December 31, 2012, 1,632,662 shares remained available for issuance under this plan.

        A Stock Option Committee currently consisting of the Compensation Committee of the Company's Board of Directors ("Stock Option Committee") has sole discretion concerning administration of the plans, including selection of individuals to receive awards, types of awards, the terms and conditions of the awards and the time at which awards will be granted.

Restricted Stock and Restricted Stock Units

        In 2007, the Company granted restricted stock awards to certain key employees aggregating 360,000 shares of common stock. These awards provided for the delivery of shares of common stock to award recipients upon the satisfaction of certain vesting requirements. The Company determined the fair value of the shares on the date of grant and recognized compensation expense ratably over the vesting period. These awards are all vested as of December 31, 2012.

        In 2008, the Company granted restricted stock awards to certain key employees and the Company's Board of Directors aggregating 992,117 shares of common stock. These awards provide for the delivery of shares of common stock to award recipients upon the satisfaction of certain vesting requirements. 900,000 of these shares will vest as to one-fifth of the shares underlying each award on each grant date

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

17. STOCK PLANS (Continued)

anniversary, without regard to operating profit targets. 26,117 of these shares granted in 2008 vested one-third over each of the subsequent three years, without regard to operating profit targets. 66,000 of these shares will vest as to one-fifth of the restricted shares underlying each award to the extent that Knoll's operating profit for the period is equal to $156.0 million. An additional one-fifth will vest based on additional increments to operating profit of $15.0 million with full vesting upon the achievement of $216.0 million in operating profit. In any event, the awards will fully vest on the fifth anniversary of the date of the grant. In certain conditions vesting may be accelerated as defined in the restricted share agreements. The Company determined the fair value of the shares on the date of grant and is recognizing compensation expense ratably over the vesting period.

        In 2009, the Company granted restricted stock awards to the Company's Board of Directors aggregating 40,818 shares of common stock. These awards provided for the delivery of shares of common stock to award recipients upon the satisfaction of certain vesting requirements. These shares vested one-third over each of the subsequent three years, without regard to operating profit targets. The Company determined the fair value of the shares on the date of grant and recognized compensation expense ratably over the vesting period. In certain conditions vesting may be accelerated as defined in the restricted share agreements.

        In 2010, the Company granted restricted stock awards to the Company's Board of Directors aggregating 25,446 shares of common stock. These awards provide for the delivery of shares of common stock to award recipients upon the satisfaction of certain vesting requirements. These shares vest one-third over each of the subsequent three years, without regard to operating profit targets. The Company determined the fair value of the shares on the date of grant and is recognizing compensation expense ratably over the vesting period. In addition, the Company granted 25,000 restricted stock awards to a certain key employee. These shares cliff vest on the third anniversary of the grant date. In certain conditions vesting may be accelerated as defined in the restricted share agreements. The Company determined the fair value of the shares on the date of grant and is recognizing compensation expense ratably over the vesting period.

        In 2011, the Company granted restricted stock awards to certain key employees and the Company's Board of Directors aggregating 762,004 shares of common stock. These awards provide for the delivery of shares of common stock to award recipients upon the satisfaction of certain vesting requirements. 748,000 of these shares vested as to one-third of the shares underlying each award since Knoll's operating profit was equal to $77 million. An additional one-third would have vested if Knoll's annual operating profit was equal to $92 million. In any event, the awards will fully vest on the third anniversary of the date of grant. The remaining 14,004 shares granted in 2011 will vest as to one-third over each of the subsequent three years, without regard to operating targets. In certain conditions vesting may be accelerated as defined in the restricted share agreements. The Company determined the fair value of the shares on the date of grant and is recognizing compensation expense ratably over the vesting period.

        In 2012, the Company granted restricted stock awards to certain key employees and the Company's Board of Directors aggregating 315,030 shares of common stock. These awards provide for the delivery of shares of common stock to award recipients upon the satisfaction of certain vesting requirements. 292,500 of these awards cliff vest on the third anniversary of the grant date. 22,530 of these awards will vest as to the one-third over each of the subsequent three years, without regard to operating targets. In

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

17. STOCK PLANS (Continued)

certain conditions vesting may be accelerated as defined in the restricted share agreements. In addition, during 2012 the Company granted 110,000 restricted stock units to certain key employees. These awards provide for the delivery of shares of common stock to award recipients upon the satisfaction of certain vesting requirements. 90,000 of these awards vest as to one-sixth over each of the subsequent six years, without regard to operating targets. 20,000 of these awards cliff vest on the third anniversary of the grant date. In certain conditions vesting may be accelerated as defined in the restricted unit agreements. The Company determined the fair value of the awards on the date of grant and is recognizing compensation expense ratably over the vesting period.

        The following table summarizes the Company's restricted stock and restricted stock units activity during the year:

 
  Restricted
Stock
  Weighted
Average
Fair Value
  Restricted
Stock Units
  Weighted
Average
Fair Value
 

Outstanding at December 31, 2011

    1,386,552   $ 18.69       $  

Granted

    315,030     15.98     110,000     14.04  

Forefeited

    (10,166 )   18.91          

Vested

    (625,427 )   18.89          
                       

Outstanding at December 31, 2012

    1,065,989   $ 17.77     110,000   $ 14.04  
                       

Stock Options

        The Company recognizes compensation expense using the graded vesting attribution method which treats each option grant as multiple grants each with its own requisite service period.

        In 2009, the Company granted 935,000 stock options to certain key employees of the Company. These options vest ratably over a four-year period on the anniversary of the grant date. The contractual life of these options is 7 years. In addition, the options have accelerated vesting provisions upon a change of control of the Company.

        In 2012, the Company granted 20,000 stock options to certain key employees of the Company. These options vest ratably over a five-year period on the anniversary of the grant date. The contractual life of these options is 10 years. In addition, the options have accelerated vesting provisions upon a change of control of the Company. The grant-date fair value of these options granted was $6.26 based on the following assumptions used in the Black Scholes option pricing model:

Expected volatility

    51 %

Expected dividend yield

    2.50 %

Expected term (in years)

    6  

Risk-free interest rate

    1.36 %

Exercise price

  $ 15.98  

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

17. STOCK PLANS (Continued)

        The following table summarizes the Company's stock option activity for the preceding three years.

 
  Number of
Options
  Weighted
Average
Exercise
Price
  Weighted
Average
Remaining
Contractual
Life (years)
  Aggregate
Intrinsic Value
 

Outstanding at December 31, 2009

    3,407,761   $ 13.75         $  

Exercised

    (790,596 )   12.20           905,051  

Forfeited

    (112,064 )   14.20           35,192  
                   

Outstanding at December 31, 2010

    2,505,101   $ 14.22     4.47   $ 7,742,565  
                   

Exercisable at December 31, 2010

    1,683,101   $ 15.67     3.72   $ 2,961,443  
                   

Outstanding at December 31, 2010

    2,505,101   $ 14.22         $ 7,742,565  

Exercised

    (878,658 )   14.97           4,731,919  

Forfeited

    (86,250 )   13.54           565,800  
                   

Outstanding at December 31, 2011

    1,540,193   $ 13.83     4.35   $ 3,631,381  
                   

Exercisable at December 31, 2011

    1,062,193   $ 15.28     4.06   $ 1,597,081  
                   

Outstanding at December 31, 2011

    1,540,193   $ 13.83         $ 3,631,381  

Granted

    20,000     15.98            

Exercised

    (93,839 )   11.09           426,278  

Expired

    (37,070 )   16.34           37,070  

Forfeited

    (65,000 )   16.76           76,425  
                   

Outstanding at December 31, 2012

    1,364,284   $ 13.84     3.53   $ 3,686,098  
                   

Exercisable at December 31, 2012

    1,120,284   $ 14.46     3.34   $ 2,608,058  
                   

        The following table summarizes information regarding stock options outstanding and exercisable at December 31, 2012:

 
  Options Outstanding   Options Exercisable  
Ranges of Exercise Prices
  Number of
Options
  Weighted
Average
Remaining
Contractual
Life (years)
  Weighted
Average
Exercise
Price
  Number of
Options
  Weighted
Average
Exercise
Price
 

$10.24 - $15.00

    1,014,784     3.48   $ 11.73     790,784   $ 12.06  

$15.01 - $18.77

    194,500     3.31     17.81     174,500     18.02  

$18.78 - $23.47

    155,000     4.11     22.68     155,000     22.68  
                             

$10.24 - $23.47

    1,364,284     3.53   $ 13.84     1,120,284   $ 14.46  
                             

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

17. STOCK PLANS (Continued)

        A summary of the status of the Company's non-vested options as of December 31, 2012, and changes during the year ended December 31, 2012, is presented below.

 
  Number of
Options
  Weighted
Average
Grant-Date
Fair Value
 

Nonvested at December 31, 2011

    478,000   $ 4.26  

Granted

    20,000     6.26  

Vested

    (234,000 )   4.24  

Forfeited

    (20,000 )   4.32  
             

Nonvested at December 31, 2012

    244,000   $ 4.43  
             

        The total fair value of options vested during the years 2012, 2011, and 2010 was $1.0 million, $1.4 million, and $1.5 million, respectively.

        Compensation costs related to stock-based compensation for the years ended December 31, 2012, 2011, and 2010 totaled $10.4 million pre-tax ($6.6 million after-tax), $9.7 million pre-tax ($5.9 million after-tax), and $9.2 million pre-tax ($5.6 million after-tax), respectively, and are included within selling, general, and administrative expenses.

        At December 31, 2012 and December 31, 2011, the total compensation cost related to non-vested awards not yet recognized equaled $12.9 million and $16.8 million, respectively, including $0.3 million and $0.6 million for stock options, respectively, and $12.7 million and $16.2 million for restricted stock awards and restricted stock units, respectively. The weighted average remaining period over which the cost is to be recognized is 1.5 years.

Other Stock-Based Compensation Plans

        On December 31, 2011 the Company terminated its Employee Stock Purchase Plan (ESPP) whereby employees of the Company were able to purchase shares of Knoll common stock at a discounted rate. The discount rate was 5% off the average of the high and low sale price per share on the last trading day of the purchase period. Employees were able to contribute 1-10% of their eligible gross pay up to a $25,000 annual stock value limit. In 2011 and 2010 employees purchased 2,567 and 3,251 shares, respectively, in accordance with the terms of the ESPP.

18. SEGMENT AND GEOGRAPHIC REGION INFORMATION

        Accounting Standards Codification 280, Segment Reporting, defines that a segment for reporting purposes is based on the financial performance measures that are regularly reviewed by the "Chief Operating Decision Maker" to assess segment performance and to make decisions about a public entity's allocation of resources. Based on this guidance, the Company reports its segment results based on the following reportable segments: (i) Office; (ii) Studio; and (iii) Coverings. The Office segment serves corporate, government, healthcare, retail and other customers in the United States and Canada providing a portfolio of office furnishing solutions including systems, seating, storage, and KnollExtra ergonomic accessories, and other products. The Studio segment includes KnollStudio®, Knoll Europe

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

18. SEGMENT AND GEOGRAPHIC REGION INFORMATION (Continued)

which sells primarily KnollStudio® products, and Richard Schultz® Design. The KnollStudio® portfolio includes a range of lounge seating; side, café and dining chairs; barstools; and conference, dining and occasional tables. Richard Schultz® Design provides high quality outdoor furniture. The Coverings segment includes, KnollTextiles®, Spinneybeck®, Edelman®Leather and FilzfeltTM. These businesses serve a wide range of customers offering high quality textiles, felt, and leather.

        The following information below categorizes certain financial information into the above noted segments for the years ended December 31, 2012, 2011, and 2010 (in thousands)

 
  2012   2011   2010  

SALES

                   

Office

  $ 633,321   $ 664,132   $ 562,304  

Studio

    147,550     152,724     151,917  

Coverings

    106,628     105,344     95,246  
               

Knoll, Inc

  $ 887,499   $ 922,200   $ 809,467  
               

INTERSEGMENT SALES(1)

                   

Office

  $ 1,727   $ 2,148   $ 2,113  

Studio

    5,299     5,953     5,845  

Coverings

    9,591     9,780     9,775  
               

Knoll, Inc

  $ 16,617   $ 17,881   $ 17,733  
               

DEPRECIATION AND AMORTIZATION

                   

Office

  $ 13,409   $ 14,259   $ 15,995  

Studio

    2,055     2,124     1,897  

Coverings

    1,083     1,355     1,569  
               

Knoll, Inc

  $ 16,547   $ 17,738   $ 19,461  
               

OPERATING PROFIT

                   

Office

  $ 48,639   $ 46,614   $ 32,628  

Studio

    21,786     23,022     20,880  

Coverings

    17,476     22,686     18,381  
               

Subtotal

    87,901     92,322     71,889  

Restructuring and other charges—primarily Office

        696     7,565  

Curtailment benefit

        5,445     338  
               

Knoll, Inc.(2)

  $ 87,901   $ 97,071   $ 64,662  
               

CAPITAL EXPENDITURES, NET

                   

Office

  $ 14,251   $ 14,142   $ 7,072  

Studio

    1,871     1,009     958  

Coverings

    423     24     282  
               

Knoll, Inc

    16,545     15,175     8,312  
               

(1)
Intersegment sales are presented on a cost plus basis which takes into consideration the effect of transfer prices between legal entities.

(2)
The Company does not allocate interest expense or other (income) expense, net to the reportable segments.

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

18. SEGMENT AND GEOGRAPHIC REGION INFORMATION (Continued)

        Many of the Company's facilities manufacture products for all three reporting segments. Therefore, it is impractical to disclose asset information on a segment basis.

        The Company's net sales by product category were as follows:

 
  Year Ended December 31,  
 
  2012   2011   2010  
 
  (in thousands)
 

Office Systems

  $ 424,405   $ 440,395   $ 353,536  

Seating

    102,523     112,098     112,305  

Files and Storage

    77,695     85,404     72,475  

Studio

    147,550     152,724     151,917  

Coverings

    106,628     105,344     95,246  

Other

    28,698     26,235     23,988  
               

Total

  $ 887,499   $ 922,200   $ 809,467  
               

        The Company markets its products in the United States and internationally, with its principal international markets being Canada and Europe. The table below contains information about the geographical areas in which the Company operates. Sales to clients are attributed to the geographic areas based on the origin of sale.

 
  United
States
  Canada   Europe   Consolidated  
 
  (in thousands)
 

2012

                         

Sales to clients

  $ 774,654   $ 40,669   $ 72,176   $ 887,499  

Property, plant, and equipment, net

    80,953     29,064     14,821     124,838  

2011

                         

Sales to clients

  $ 797,834   $ 44,225   $ 80,141   $ 922,200  

Property, plant, and equipment, net

    77,230     29,110     15,452     121,792  

2010

                         

Sales to clients

  $ 688,914   $ 34,267   $ 86,286   $ 809,467  

Property, plant, and equipment, net

    75,228     31,435     15,556     122,219  

        A number of U.S., state and local governmental agencies purchase the Company's products, primarily from the Office segment. Sales to these entities and agencies amounted to approximately $143.7 million in 2012, $180.1 million in 2011, and $189.5 million in 2010.

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

19. OTHER (INCOME) EXPENSE, NET

        The components of other (income) expense, net are as follows:

 
  Year Ended December 31,  
 
  2012   2011   2010  
 
  (in thousands)
 

Foreign exchanges transaction (gain) loss

  $ 2,834   $ (2,669 ) $ 5,525  
               

Unrealized loss on derivatives

            1,177  
               

Write-off of deferred financing fees

    477          
               

Other

    (96 )   1,161     (323 )
               

Other (income) expense, net

  $ 3,215   $ (1,508 ) $ 6,379  
               

20. RESTRUCTURING CHARGES

        On March 18, 2010, the Company announced a restructuring plan to better align its North America manufacturing footprint with demand while further focusing the particular manufacturing activities of its Office segment production facilities. The Company elected to undergo this restructuring in order to better utilize its manufacturing capacity, eliminate duplication of capabilities and reduce associated costs. In connection with the plan, the Company recorded restructuring charges of approximately $0.8 million and $7.6 million in 2011 and 2010, respectively. These charges included $3.9 million of employee termination costs, $3.0 million of costs associated with the write-off of fixed assets that had no future benefit, and $1.5 million of costs associated with facility realignment. The Company made cash payments, in connection with this plan of $0.2 million, $2.1 million and $3.0 million during 2012, 2011, and 2010, respectively. As of December 31, 2011, the restructuring accrual was approximately $0.2 million. The plan was completed as of December 31, 2012.

21. FAIR VALUE MEASUREMENTS

Fair Value

        Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. Accounting Standards Codification 820, "Fair Value Measurements and Disclosures," established a hierarchy that prioritizes fair value measurements based on types of inputs used for the various valuation techniques (market approach, income approach, and cost approach). The hierarchy is intended to increase consistency and comparability in fair value measurements and related disclosures. The fair value hierarchy is based on inputs to valuation techniques that are used to measure fair value that are either observable or unobservable. Observable inputs reflect assumptions market participants would use in pricing an asset or liability based on market data obtained from independent sources while unobservable inputs reflect a

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

21. FAIR VALUE MEASUREMENTS (Continued)

reporting entity's pricing based upon their own market assumptions. The Company uses the following valuation techniques to measure fair value for its financial assets and financial liabilities:

Level 1   Inputs are unadjusted quoted prices in active markets for identical assets or liabilities.

Level 2

 

Inputs are quoted prices for similar assets or liabilities in an active market, quoted prices for identical or similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable and market-corroborated inputs which are derived principally from or corroborated by observable market data.

Level 3

 

Inputs are derived from valuation techniques in which one or more significant inputs or value drivers are unobservable.

Financial Instruments

        The fair value of the Company's cash and cash equivalents, accounts receivable and accounts payable approximate carrying value due to their short maturities.

        The fair value of the Company's long-term debt approximates its carrying value, as it is variable rate debt and the current terms are comparable to market terms as of the balance sheet dates and are classified as Level 2.

22. QUARTERLY RESULTS (UNAUDITED)

        The following tables contain selected unaudited Consolidated Statements of Operations and Comprehensive Income data for each quarter for the years ended December 31, 2012 and 2011. The operating results for any quarter are not necessarily indicative of results for any future period.

 
  First
Quarter
  Second
Quarter
  Third
Quarter
  Fourth
Quarter
  Fiscal
Year
 
 
  (in thousands, except per share data)
 

2012

                               

Sales

  $ 196,662   $ 221,018   $ 219,794   $ 250,026   $ 887,499 (1)

Gross Profit

    63,053     74,407     74,216     82,675     294,350 (1)

Net Income

    7,257     13,055     12,197     17,492     50,001  

Earning per shares—Basic

  $ 0.16   $ 0.28   $ 0.26   $ 0.37   $ 1.07  

Earnings per share—Diluted

  $ 0.15   $ 0.28   $ 0.26   $ 0.37   $ 1.06  

2011

                               

Sales

  $ 220,858   $ 238,650   $ 239,543   $ 223,148   $ 922,200 (1)

Gross Profit

    68,401     76,493     78,851     70,650     294,397 (1)

Net Income

    9,202     12,975     18,389     17,443     58,011 (1)

Earning per shares—Basic

  $ 0.20   $ 0.28   $ 0.40   $ 0.38   $ 1.25 (1)

Earnings per share—Diluted

  $ 0.20   $ 0.28   $ 0.39   $ 0.37   $ 1.24  

(1)
Results do not add due to rounding.

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KNOLL, INC.

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS (Continued)

DECEMBER 31, 2012

23. SUBSEQUENT EVENTS

        On February 8, 2013, under the Company's Stock Incentive Plans, the Company granted 302,056 restricted stock awards. 22,056 of these awards were granted to the Company's Board of Directors and vest one-third over each of the next three years. 280,000 of these awards were granted to certain key employees and cliff vest on the third anniversary of the grant date. In certain conditions vesting may be accelerated as defined in the restricted share agreements. The Company determined the fair value of the shares on the date of grant and is recognizing compensation expense ratably over the vesting period.

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ITEM 9.    CHANGES IN AND DISAGREEMENTS WITH ACCOUNTANTS ON ACCOUNTING AND FINANCIAL DISCLOSURES

        None

ITEM 9A.    CONTROLS AND PROCEDURES

        Evaluation of disclosure controls and procedures.    We, under the supervision and with the participation of our management, including our principal executive officer and principal financial officer, evaluated the effectiveness of the design and operation of our disclosure controls and procedures, as defined in Rule 13a-15(e) of the Securities Exchange Act of 1934 as of the end of the period covered by this report (December 31, 2012) ("Disclosure Controls"). Based upon the Disclosure Controls evaluation, our principal executive officer and principal financial officer have concluded that the Disclosure Controls are effective in reaching a reasonable level of assurance that (i) information required to be disclosed by us in the reports that we file or submit under the Securities Exchange Act of 1934 is recorded, processed, summarized and reported within the time periods specified in the Securities and Exchange Commission's rules and forms and (ii) information required to be disclosed by us in the reports that we file or submit under the Securities Exchange Act of 1934 is accumulated and communicated to our management, including our principal executive and principal financial officers, or persons performing similar functions, as appropriate to allow timely decisions regarding required disclosure.

INTERNAL CONTROL OVER FINANCIAL REPORTING

        Management's annual report on internal control over financial reporting.    Our management is responsible for establishing and maintaining adequate internal control over financial reporting as defined in Rule 13a-15(f) under the Securities Exchange Act of 1934, as amended, for the Company. Internal control over financial reporting is a process to provide reasonable assurance regarding the reliability of our financial reporting and the preparation of financial statements for external purposes in accordance with accounting principles generally accepted in the United States of America. Internal control over financial reporting includes without limitation, maintaining records that in reasonable detail accurately and fairly reflect our transactions, providing reasonable assurance that transactions are recorded as necessary for preparation of our financial statements, providing reasonable assurance that receipts and expenditures of company assets are made in accordance with management authorization, and providing reasonable assurance that unauthorized acquisition, use or disposition of company assets that could have a material effect on our financial statements would be prevented or detected on a timely basis. Because of its inherent limitations, internal control over financial reporting is not intended to provide absolute assurance that a misstatement of our financial statements would be prevented or detected.

        Our management assessed the effectiveness of our internal control over financial reporting based on the framework in Internal Control—Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission. Based on this assessment, management concluded that the Company's internal control over financial reporting was effective as of December 31, 2012. Our independent registered public accounting firm, Ernst & Young LLP, has audited the effectiveness of our internal control over financial reporting as of December 31, 2012; their report is included elsewhere in this Form 10-K filing.

        Changes in internal control over financial reporting.    There has been no change in our internal control over financial reporting during the period covered by this report that has materially affected, or is reasonably likely to materially affect, our internal control over financial reporting.

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Report of Independent Registered Public Accounting Firm

The Board of Directors and Stockholders of Knoll, Inc.

        We have audited Knoll, Inc.'s internal control over financial reporting as of December 31, 2012, based on criteria established in Internal Control—Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission (the COSO criteria). Knoll, Inc.'s management is responsible for maintaining effective internal control over financial reporting, and for its assessment of the effectiveness of internal control over financial reporting included in the accompanying Management's annual report on internal control over financial reporting. Our responsibility is to express an opinion on the company's internal control over financial reporting based on our audit.

        We conducted our audit in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether effective internal control over financial reporting was maintained in all material respects. Our audit included obtaining an understanding of internal control over financial reporting, assessing the risk that a material weakness exists, testing and evaluating the design and operating effectiveness of internal control based on the assessed risk, and performing such other procedures as we considered necessary in the circumstances. We believe that our audit provides a reasonable basis for our opinion.

        A company's internal control over financial reporting is a process designed to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles. A company's internal control over financial reporting includes those policies and procedures that (1) pertain to the maintenance of records that, in reasonable detail, accurately and fairly reflect the transactions and dispositions of the assets of the company; (2) provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with generally accepted accounting principles, and that receipts and expenditures of the company are being made only in accordance with authorizations of management and directors of the company; and (3) provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use or disposition of the company's assets that could have a material effect on the financial statements.

        Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Also, projections of any evaluation of effectiveness to future periods are subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.

        In our opinion, Knoll, Inc. maintained, in all material respects, effective internal control over financial reporting as of December 31, 2012, based on the COSO criteria.

        We also have audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States), the consolidated balance sheets of Knoll, Inc. as of December 31, 2012 and 2011 and the related consolidated statements of operations and comprehensive income, stockholders' equity, and cash flows for each of the three years in the period ended December 31, 2012 of Knoll, Inc. and our report dated March 1, 2013 expressed an unqualified opinion thereon.

/s/ Ernst & Young LLP

Philadelphia, Pennsylvania
March 1, 2013

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ITEM 9B.    OTHER INFORMATION

        None.


PART III

ITEM 10.    DIRECTORS, EXECUTIVE OFFICERS AND CORPORATE GOVERNANCE

        The information required by Item 10 relating to directors, director nominees and executive officers of the registrant is incorporated by reference from the information under the captions "Board of Directors," "Election of Directors," "Executive Officers," "Board Meetings and Committees," "Code of Ethics," and "Section 16(a) Beneficial Ownership Reporting Compliance" contained in our Proxy Statement for our 2013 Annual Meeting of Stockholders (the "Proxy Statement").

        The information relating to the identification of the audit committee, audit committee financial expert and director nomination procedures of the registrant is incorporated by reference from the information under the caption "Board Meetings and Committees" contained in our Proxy Statement.

        Our Board of Directors has adopted a code of ethics for all employees. This code is made available free of charge on our website at www.knoll.com. For further information see subsection "Code of Ethics" in our Proxy Statement.

ITEM 11.    EXECUTIVE COMPENSATION

        The information required by Item 11 is hereby incorporated by reference from the information under the caption "Executive Compensation" contained in our Proxy Statement.

ITEM 12.    SECURITY OWNERSHIP OF CERTAIN BENEFICIAL OWNERS AND MANAGEMENT AND RELATED STOCKHOLDER MATTERS

Securities Authorized for Issuance Under Equity Compensation Plans

 
  Equity Compensation Plan Information
As of December 31, 2012
 
Plan Category
  Number of Securities
to be Issued upon
Exercise of
Outstanding Options
(a)
  Weighted-Average
Exercise Price of
Outstanding Options
(b)
  Number of Shares Remaining for
Future Issuance Under Equity
Compensation Plans (Excluding
Securities Reflected in Column (a))
(c)
 

Equity compensation plans approved by security holders

    1,364,284   $ 13.84     1,658,519  

Equity compensation plans not approved by security holders

             
                 

Total

    1,364,284           1,658,519  

        If there is an expiration, termination, or cancellation of any benefit granted under the plans without the issuance of shares, the shares subject to or reserved for that benefit may again be used for new stock options, rights, or awards of any type authorized under the plans.

        All other information required by Item 12 is hereby incorporated by reference from the information under the caption "Security Ownership of Certain Beneficial Owners and Management" contained in our Proxy Statement.

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ITEM 13.    CERTAIN RELATIONSHIPS AND RELATED TRANSACTIONS, AND DIRECTOR INDEPENDENCE

        The information required by Item 13 is hereby incorporated by reference from the information under the captions "Transactions with Related Persons" and "Director Independence" contained in our Proxy Statement.

ITEM 14.    PRINCIPAL ACCOUNTING FEES AND SERVICES

        The information required by Item 14 is hereby incorporated by reference from the information under the caption "Independent Registered Public Accounting Firm" contained in our Proxy Statement.

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PART IV

ITEM 15.    EXHIBITS AND FINANCIAL STATEMENT SCHEDULES

(a)
Documents filed as part of this Form 10-K:

(1)
CONSOLIDATED FINANCIAL STATEMENTS (ITEM 8)

Consolidated Balance Sheets as of December 31, 2012 and 2011

Consolidated Statements of Operations and Comprehensive Income for the Years Ended December 31, 2012, 2011, and 2010.

Consolidated Statements of Stockholders' Equity for the Years Ended December 31, 2012, 2011, and 2010.

Consolidated Statements of Cash Flows for the Years Ended December 31, 2012, 2011, and 2010.

Notes to the Consolidated Financial Statements.

Report of Independent Registered Public Accounting Firm

(2)
FINANCIAL STATEMENT SCHEDULES

Financial Statement Schedule II—Valuation and Qualifying Accounts is filed with this Form 10-K on page S-1 of this Form 10-K. All other schedules for which provision is made in the applicable regulation of the Commission have either been presented in the Company's financial statements or are not required under the related instructions or are inapplicable and therefore have been omitted.

(3)
EXHIBITS

Exhibit
Number
  Description
  3.1 (a) Amended and Restated Certificate of Incorporation of Knoll, Inc.
        
  3.2 (p) Amended and Restated By-Laws of Knoll, Inc.
        
  4.1   Form of Stock Certificate.
        
  10.1 (b) Amended and Restated Credit Agreement, dated as of February 3, 2012, by and among Knoll, Inc., the domestic subsidiaries of Knoll, Inc., Bank of America, N.A., Merrill Lynch, Pierce, Fenner and Smith Incorporated, J.P. Morgan Securities LLC, J.P. Morgan Chase Bank, N.A., and the other lenders party thereto.
        
  10.2 (g)* Amended and Restated Employment Agreement, executed March 14, 2006, effective as of January 1, 2006, between Knoll, Inc. and Burton B. Staniar.
        
  10.3 (r)* Amendment to Amended and Restated Employment Agreement, dated as of May 4, 2009, between Knoll, Inc. and Burton B. Staniar.
        
  10.4 (d)* Employment Agreement, dated as of March 23, 2001, between Knoll, Inc. and Andrew B. Cogan.
        
  10.5 (a)* Amendment No. 1 to Employment Agreement, dated as of August 25, 2004, between Knoll, Inc. and Andrew B. Cogan.
        
  10.6 (g)* Amendment No. 2 to Employment Agreement, dated as of March 14, 2006, between Knoll, Inc. and Andrew B. Cogan.

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Exhibit
Number
  Description
  10.7 (h)* Amendment No. 3 to Employment Agreement, dated as of December 11, 2006, between Knoll, Inc. and Andrew B. Cogan.
        
  10.8 (k)* Amendment No. 4 to Employment Agreement, dated as of December 10, 2007, between Knoll, Inc. and Andrew B. Cogan.
        
  10.9 (o)* Employment Agreement, dated as of March 3, 2008, between Knoll, Inc. and Lynn M. Utter.
        
  10.10 * Summary of Barry L. McCabe 2013 Compensation.
        
  10.11 * Summary of Jeffrey R. Blom 2013 Compensation.
        
  10.12 * Summary of Benjamin A. Pardo 2013 Compensation.
        
  10.13 (c)* Amended and Restated Knoll, Inc. 1997 Stock Incentive Plan.
        
  10.14 (a)* Amended and Restated Knoll, Inc. 1999 Stock Incentive Plan.
        
  10.15 (l)* Amended and Restated Knoll, Inc. 2007 Stock Incentive Plan.
        
  10.16 (s)* Amended and Restated Knoll, Inc. 2010 Stock Incentive Plan.
        
  10.17 (t)* Amended and Restated Knoll, Inc. Non-Employee Director Compensation Plan.
        
  10.18 (e)* Form of Non-Qualified Stock Option Agreement under the Amended and Restated Knoll, Inc. 1997 Stock Incentive Plan, entered into by Knoll, Inc. and certain executive officers.
        
  10.19 (c)* Form of Non-Qualified Stock Option Agreement under the Amended and Restated Knoll, Inc. 1999 Stock Incentive Plan, entered into by Knoll, Inc. and certain executive officers.
        
  10.20 (n)* Form of Non-Qualified Stock Option Agreement under the 2007 Stock Incentive Plan, entered into by Knoll, Inc. and certain executive officers.
        
  10.21 (n)* Form of Restricted Share Agreement under the 2007 Stock Incentive Plan (time vesting with accelerated performance vesting).
        
  10.22 (n)* Form of Restricted Share Agreement under the 2007 Stock Incentive Plan (time vesting).
        
  10.23 (n)* Form of Restricted Share Agreement under the Non-Employee Director Compensation Plan (time vesting).
        
  10.24 (j)* Form of Restricted Share Agreement under the 2010 Stock Incentive Plan (time vesting).
        
  10.25 (j)* Form of Restricted Share Agreement under the 2010 Stock Incentive Plan (time vesting with accelerated performance vesting).
        
  10.26 (j)* Form of Non-Qualified Stock Option Agreement under the 2010 Stock Incentive Plan.
        
  10.27 (m) Asset Purchase Agreement, dated September 13, 2007, among El Leather Acquisition LLC, Teddy & Arthur Edelman, Limited, John Edelman, The Edelman Family Grantor Retained Annuity Trust and John McPhee.
        
  10.28 (a)* Form of Director and Officer Indemnification Agreement.
        
  10.29 (a)* Offer Letter, dated October 6, 2004, from Knoll, Inc. to John F. Maypole.
        
  10.30 (f)* Offer Letter, dated November 23, 2005, from Knoll, Inc. to Stephen F. Fisher.
 
   

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Exhibit
Number
  Description
  10.31 (i)* Offer Letter, dated September 25, 2006, from Knoll, Inc. to Sarah E. Nash.
        
  10.32 (q)* Andrew B. Cogan 2013 Incentive Compensation Letter, dated December 6, 2012
        
  10.33 (q)* Lynn M. Utter 2013 Incentive Compensation Letter, dated December 6, 2012
        
  10.34 (q)* Barry L. McCabe 2013 Incentive Compensation Letter, dated December 6, 2012
        
  10.35 (q)* Benjamin A. Pardo 2013 Incentive Compensation Letter, dated December 6, 2012
        
  10.36 (q)* Jeffrey R. Blom 2013 Incentive Compensation Letter, dated December 6, 2012
        
  21   Subsidiaries of Knoll, Inc.
        
  23.1   Consent of Independent Registered Public Accounting Firm.
        
  24.1   Power of Attorney [(included on signature page)].
        
  31.1   Certification for Chief Executive Officer pursuant to Rule 13a-14(a) of the Securities Exchange Act of 1934, as amended.
        
  31.2   Certification for Chief Financial Officer pursuant to Rule 13a-14(a) of the Securities Exchange Act of 1934, as amended.
        
  32.1   Certification for Chief Executive Officer pursuant to Rule 13a-14(b) of the Securities Exchange Act of 1934, as amended, and 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.
        
  32.2   Certification for Chief Financial Officer pursuant to Rule 13a-14(b) of the Securities Exchange Act of 1934, as amended, and 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.
        
  101   The following materials from the Company's Annual Report on Form 10-K for the period ended December 31, 2012, formatted in XBRL (eXtensible Business Reporting Language): (i) Consolidated Balance Sheets as of December 31, 2012, and December 31, 2011, (ii) Consolidated Statements of Operations and Comprehensive Income for the years ended December 31, 2012, December 31, 2011 and December 31, 2010, (iii) Consolidated Statements of Stockholders' Equity for the years ended December 31, 2012, December 31, 2011, and December 31, 2010, (iv) Consolidated Statements of Cash Flows for the years ended December 31, 2012, December 31, 2011, and December 31, 2010 and (v) Notes to Consolidated Financial Statements.**

*
Management Contract or Compensatory Plan or Arrangement required to be identified by Item 15(a) (3) of Form 10-K.

**
Pursuant to Rule 406T of Regulation S-T, the Interactive Data Files on Exhibit 101 hereto are deemed not filed or part of a registration statement or prospectus for purposes of Sections 11 or 12 of the Securities Act of 1933, as amended, are deemed not filed for purposes of Section 18 of the Securities and Exchange Act of 1934, as amended, and otherwise are not subject to liability under those sections.

(a)
Incorporated by reference to Knoll, Inc.'s Registration Statement on Form S-1 (File No. 333-118901), which was declared effective by the Commission on December 13, 2004.

(b)
Incorporated by reference to Knoll, Inc.'s Current Report on Form 8-K filed with the Commission on February 7, 2012.

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(c)
Incorporated by reference to Knoll, Inc.'s Annual Report on Form 10-K for the year ended December 31, 1999.

(d)
Incorporated by reference to Knoll, Inc.'s Annual Report on Form 10-K for the year ended December 31, 2000.

(e)
See Exhibit 10.19. Exhibit is substantially identical to Exhibit 10.19.

(f)
Incorporated by reference to Knoll, Inc.'s Current Report on Form 8-K filed with the Commission on December 7, 2005.

(g)
Incorporated by reference to Knoll, Inc.'s Annual Report on Form 10-K for the year ended December 31, 2005.

(h)
Incorporated by reference to Knoll, Inc.'s Current Report on Form 8-K filed with the Commission on December 11, 2006.

(i)
Incorporated by reference to Knoll, Inc.'s Current Report on Form 8-K filed with the Commission on September 27, 2006.

(j)
Incorporated by reference to Knoll, Inc.'s Annual Report on Form 10-K for the year ended December 31, 2010.

(k)
Incorporated by reference to Knoll, Inc.'s Current Report on Form 8-K filed with the Commission on December 10, 2007.

(l)
Incorporated by reference to Knoll, Inc.'s Quarterly Report on Form 10-Q filed with the Commission on August 9, 2007.

(m)
Incorporated by reference to Knoll, Inc.'s Current Report on Form 8-K filed with the Commission on September 14, 2007.

(n)
Incorporated by reference to Knoll, Inc.'s Annual Report on Form 10-K for the year ended December 31, 2007.

(o)
Incorporated by reference to Knoll, Inc.'s Quarterly Report on Form 10-Q filed with the Commission on May 12, 2008.

(p)
Incorporated by reference to Knoll, Inc.'s Current Report on Form 8-K filed with the Commission on September 25, 2008.

(q)
Incorporated by reference to Knoll, Inc.'s Current Report on Form 8-K filed with the Commission on December 7, 2012.

(r)
Incorporated by reference to Knoll, Inc.'s Quarterly Report on Form 10-Q filed with the Commission on May 11, 2009.

(s)
Incorporated by reference to Knoll, Inc.'s Current Report on Form 8-K filed with the Commission on May 11, 2010.

(t)
Incorporated by reference to Knoll, Inc.'s Annual Report on Form 10-K for the year ended December 31, 2011

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SIGNATURES

        Pursuant to the requirements of Section 13 or 15(d) of the Securities Exchange Act of 1934, the Registrant has duly caused this report on Form 10-K to be signed on its behalf by the undersigned, thereunto duly authorized, on this 28th day of February 2013.

    KNOLL, INC.

 

 

By:

 

/s/ ANDREW B. COGAN

Andrew B. Cogan
Chief Executive Officer

        KNOW ALL PERSONS BY THESE PRESENTS, that each individual whose signature appears below constitutes and appoints Andrew B. Cogan and Barry L. McCabe, and each of them, his true and lawful attorneys-in-fact and agents with full power of substitution, for him and in his name, place and stead, in any and all capacities, to sign any and all amendments to this Form 10-K, and to file the same, with all exhibits thereto and all documents in connection therewith, with the Securities and Exchange Commission, granting unto said attorneys-in-fact and agents, and each of them, full power and authority to do and perform each and every act and thing requisite and necessary to be done in and about the premises, as fully to all intents and purposes as he might or could do in person, hereby ratifying and confirming all that said attorneys-in-fact and agents or any of them, or his or their substitute or substitutes, may lawfully do or cause to be done by virtue hereof.

        Pursuant to the requirements of the Securities Exchange Act of 1934, this report on Form 10-K has been signed by the following persons on behalf of the Registrant and in the capacities and on the date indicated.

/s/ BURTON B. STANIAR

Burton B. Staniar
  Chairman of the Board   March 1, 2013

/s/ ANDREW B. COGAN

Andrew B. Cogan

 

Chief Executive Officer,
Knoll, Inc. and Director

 

March 1, 2013

/s/ BARRY L. MCCABE

Barry L. McCabe

 

Chief Financial Officer (Chief Accounting Officer and Controller)

 

March 1, 2013

/s/ JEFFREY A. HARRIS

Jeffrey A. Harris

 

Director

 

March 1, 2013

/s/ SIDNEY LAPIDUS

Sidney Lapidus

 

Director

 

March 1, 2013

/s/ KATHLEEN G. BRADLEY

Kathleen G. Bradley

 

Director

 

March 1, 2013

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/s/ JOHN F. MAYPOLE

John F. Maypole
  Director   March 1, 2013

/s/ SARAH E. NASH

Sarah E. Nash

 

Director

 

March 1, 2013

/s/ STEPHEN F. FISHER

Stephen F. Fisher

 

Director

 

March 1, 2013

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SCHEDULE II

KNOLL, INC.

VALUATION AND QUALIFYING ACCOUNTS

(In Thousands)

Description
  Balance at
Beginning
of Year
  Additions
Charged to
Expenses
  Charge-Offs   Other(1)   Balance at
End of Year
 

Allowance for doubtful accounts:

                               

Year ended December 31, 2010

    5,094     1,476     2,917     (8 )   3,645  

Year ended December 31, 2011

    3,645     1,726     1,170     2     4,203  

Year ended December 31, 2012

    4,203     1,443     133     1     5,514  

Allowance for other non-trade receivables:

                               

Year ended December 31, 2010

    118         118          

Year ended December 31, 2011

                     

Year ended December 31, 2012

                     

Reserve for inventory valuation:

                               

Year ended December 31, 2010

    8,437     2,210     1,911     (439 )   8,297  

Year ended December 31, 2011

    8,297     1,515     2,057     (12 )   7,743  

Year ended December 31, 2012

    7,743     1,309     2,146     10     6,916  

Valuation allowance for deferred income tax assets:

                               

Year ended December 31, 2010

    8,314     (106 )       (702 )   7,506  

Year ended December 31, 2011

    7,506     219         (340 )   7,385  

Year ended December 31, 2012

    7,385     646           (233 )   7,798  

(1)
Primarily the impact of currency changes

S-1



EX-4.1 2 a2213207zex-4_1.htm EX-4.1

Exhibit 4.1

 

 

THIS CERTIFIES THAT is the owner of DATED COUNTERSIGNED AND REGISTERED: COMPUTERSHARE TRUST COMPANY, N.A. TRANSFER AGENT AND REGISTRAR, SEE REVERSE FOR CERTAIN DEFINITIONS Certificate Number Shares Chief Executive Officer Secretary By AUTHORIZED SIGNATURE COMMON STOCK THIS CERTIFICATE IS TRANSFERABLE IN CANTON, MA AND NEW YORK, NY FULLY PAID AND NON-ASSESSABLE SHARES OF THE COMMON STOCK OF KNOLL, INC., transferable on the books of the Corporation in person or by duly authorized attorney upon surrender of this certificate properly endorsed. This certificate is not valid unless countersigned and registered by the Transfer Agent and Registrar. Witness the facsimile seal of the Corporation and the facsimile signatures of its duly authorized officers. COMMON STOCK PAR VALUE $0.01 KNOLL, INC. INCORPORATED UNDER THE LAWS OF THE STATE OF DELAWARE 016570| 003590|127C|RESTRICTED||4|057-423 498904 20 0 <<Month Day, Year>> * * 000000* * * * * * * * * 000000* * * * * * * * * 000000* * * * * * * * * 000000* * * * * * * * * 000000* * ** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Alexander David Sample **** Mr. Sample **** Mr. Sample **000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares*** *000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares**** 000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****0 00000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****00 0000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000 000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****0000 00**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****00000 0**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000 **Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000* *Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000** Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**Shares****000000**S ***ZERO HUNDRED THOUSAND ZERO HUNDRED AND ZERO*** MR. SAMPLE & MRS. SAMPLE & MR. SAMPLE & MRS. SAMPLE NNNNN ZQ 000000 Certificate Numbers 1234567890/1234567890 1234567890/1234567890 1234567890/1234567890 1234567890/1234567890 1234567890/1234567890 1234567890/1234567890 Total Transaction Num/No. 123456 Denom. 123456 Total 1234567 MR A SAMPLE DESIGNATION (IF ANY) ADD 1 ADD 2 ADD 3 ADD 4 PO BOX 43004, Providence, RI 02940-3004 CUSIP XXXXXX XX X Holder ID XXXXXXXXXX Insurance Value 1,000,000.00 Number of Shares 123456 DTC 12345678 123456789012345

 

The IRS requires that we report the cost basis of certain shares acquired after January 1, 2011. If your shares were covered by the legislation and you have sold or transferred the shares and requested a specific cost basis calculation method, we have processed as requested. If you did not specify a cost basis calculation method, we have defaulted to the first in, first out (FIFO) method. Please visit our website or consult your tax advisor if you need additional information about cost basis. If you do not keep in contact with us or do not have any activity in your account for the time periods specified by state law, your property could become subject to state unclaimed property laws and transferred to the appropriate state. For value received, ____________________________hereby sell, assign and transfer unto _______________________________________________________________________________________________________________________________ _______________________________________________________________________________________________________________________________ _______________________________________________________________________________________________________________________________ _______________________________________________________________________________________________________________________ Shares _______________________________________________________________________________________________________________________ Attorney Dated: __________________________________________20__________________ Signature: ____________________________________________________________ Signature: ____________________________________________________________ Notice: The signature to this assignment must correspond with the name as written upon the face of the certificate, in every particular, without alteration or enlargement, or any change whatever. PLEASE INSERT SOCIAL SECURITY OR OTHER IDENTIFYING NUMBER OF ASSIGNEE (PLEASE PRINT OR TYPEWRITE NAME AND ADDRESS, INCLUDING POSTAL ZIP CODE, OF ASSIGNEE) of the Stock represented by the within Certificate, and do hereby irrevocably constitute and appoint to transfer the said Stock on the books of the within-named Corporation with full power of substitution in the premises. Knoll, Inc. The Corporation will furnish without charge to each stockholder who so requests, a copy of the designations, powers, preferences and relative, participating, optional or other special rights of each class of stock or series thereof and the qualifications, limitations or restrictions of such preferences and/or rights. Any such requests may be addressed to the secretary of the Corporation. Signature(s) Guaranteed: Medallion Guarantee Stamp THE SIGNATURE(S) SHOULD BE GUARANTEED BY AN ELIGIBLE GUARANTOR INSTITUTION (Banks, Stockbrokers, Savings and Loan Associations and Credit Unions) WITH MEMBERSHIP IN AN APPROVED SIGNATURE GUARANTEE MEDALLION PROGRAM, PURSUANT TO S.E.C. RULE 17Ad-15. The following abbreviations, when used in the inscription on the face of this certificate, shall be construed as though they were written out in full according to applicable laws or regulations: TEN COM - as tenants in common UNIF GIFT MIN ACT - Custodian (Cust) (Minor) TEN ENT - as tenants by the entireties under Uniform Gifts to Minors Act (State) JT TEN - as joint tenants with right of survivorship UNIF TRF MIN ACT - Custodian (until age ) and not as tenants in common (Cust) under Uniform Transfers to Minors Act (Minor) (State) Additional abbreviations may also be used though not in the above list.

 

 


EX-10.10 3 a2213207zex-10_10.htm EX-10.10
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EXHIBIT 10.10

Summary of Barry L. McCabe 2013 Compensation

        The Knoll, Inc. compensation committee approved an annual base salary of $295,000 for Barry L. McCabe, with a bonus target of $295,000. Mr. McCabe is also entitled to participate in the benefit plans provided by Knoll that are generally available to all Knoll employees.




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Summary of Barry L. McCabe 2013 Compensation
EX-10.11 4 a2213207zex-10_11.htm EX-10.11
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EXHIBIT 10.11

Summary of Jeffrey R. Blom 2013 Compensation

        The Knoll, Inc. compensation committee approved an annual base salary of $265,000 for Jeffrey R. Blom, with a bonus target of $265,000. Mr. Blom is also entitled to participate in the benefit plans provided by Knoll that are generally available to Knoll employees.




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Summary of Jeffrey R. Blom 2013 Compensation
EX-10.12 5 a2213207zex-10_12.htm EX-10.12
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EXHIBIT 10.12

Summary of Benjamin A. Pardo 2013 Compensation

        The Knoll, Inc. compensation committee approved an annual base salary of $265,000 for Benjamin A. Pardo, with a bonus target of $250,000. Mr. Pardo is also entitled to participate in the benefit plans provided by Knoll that are generally available to Knoll employees.




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Summary of Benjamin A. Pardo 2013 Compensation
EX-21 6 a2213207zex-21.htm EX-21
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EXHIBIT 21

LIST OF SUBSIDIARIES

WHOLLY OWNED SUBSIDIARIES OF KNOLL, INC.
  JURISDICTION OF
INCORPORATION
Knoll North America Corp   Ontario, Canada

Spinneybeck Enterprises, Inc. 

 

New York

Spinneybeck, LTD. (wholly owned subsidiary of Spinneybeck Enterprises, Inc.)

 

Ontario, Canada

Spinneybeck Ireland (wholly owned subsidiary of Spinneybeck Enterprises, Inc.)

 

Ireland


Edelman Leather, LLC

 

Delaware

Edelman Leather Limited (wholly owned subsidiary of Edelman Leather, LLC)

 

Ireland


Richard Schultz Design, LLC

 

Delaware

Knoll Overseas, Inc. 

 

Delaware

Knoll Middle East, LLC (wholly owned subsidiary of Knoll Overseas, Inc.)

 

Delaware

Knoll Muebles y Sistemas S.A. 

 

Columbia

Knoll Coverings Hong Kong Limited

 

Hong Kong

Knoll Europe B.V. (wholly owned subsidiary of Knoll Overseas, Inc.)

 

Netherlands

Knoll Italy, Ltd. (wholly owned subsidiary of Knoll Europe B.V.)

 

England & Wales

Knoll International S.p.A. (wholly owned subsidiary of Knoll Europe B.V.)

 

Italy

Knoll International, Ltd. (wholly owned subsidiary of Knoll Europe B.V.)

 

England & Wales

Knoll International S.A. (wholly owned subsidiary of Knoll Europe B.V.)

 

France

Knoll International GmBH (wholly owned subsidiary of Knoll Europe B.V.)

 

Germany

Knoll International S.A. (wholly owned subsidiary of Knoll Europe B.V.)

 

Belgium




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LIST OF SUBSIDIARIES
EX-23.1 7 a2213207zex-23_1.htm EX-23.1
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Exhibit 23.1

Consent of Independent Registered Public Accounting Firm

        We consent to the incorporation by reference in the following Registration Statements:

    (1)
    Registration Statement (Form S-8 No. 333-121232) pertaining to the Knoll, Inc. 1996 Stock Incentive Plan, Knoll, Inc. 1997 Stock Incentive Plan, Knoll, Inc. 1999 Stock Incentive Plan, Knoll, Inc. Employee Stock Purchase Plan and The Knoll Retirement Savings Plan,

    (2)
    Registration Statement (Form S-8 No. 333-144020) pertaining to the Knoll, Inc. 2007 Stock Incentive Plan, and

    (3)
    Registration Statement (Form S-8 No. 333-167788) pertaining to the Amended and Restated Knoll, Inc. 2010 Stock Incentive Plan;

of our reports dated March 1, 2013, with respect to the consolidated financial statements and schedule of Knoll, Inc. and the effectiveness of internal control over financial reporting of Knoll, Inc. included in this Annual Report (Form 10-K) of Knoll, Inc. for the year ended December 31, 2012.

/s/ Ernst & Young LLP

Philadelphia, Pennsylvania
March 1, 2013




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Consent of Independent Registered Public Accounting Firm
EX-31.1 8 a2213207zex-31_1.htm EX-31.1
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Exhibit 31.1

Certification of Chief Executive Officer

I, Andrew B. Cogan, certify that:

(1)
I have reviewed this annual report on Form 10-K of Knoll, Inc.;

(2)
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

(3)
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

(4)
The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

(a)
Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b)
Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c)
Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

(d)
Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal quarter (the registrant's fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to material affect, the registrant's internal control over financial reporting; and

(5)
The registrant's other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

(a)
All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and

(b)
Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

Date: March 1, 2013

/s/ ANDREW B. COGAN

Andrew B. Cogan
Chief Executive Officer
   



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Certification of Chief Executive Officer
EX-31.2 9 a2213207zex-31_2.htm EX-31.2
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Exhibit 31.2

Certification of Chief Financial Officer

I, Barry L. McCabe, certify that:

(1)
I have reviewed this annual report on Form 10-K of Knoll, Inc.;

(2)
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

(3)
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

(4)
The Registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

(a)
Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b)
Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c)
Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

(d)
Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal quarter (the registrant's fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to material affect, the registrant's internal control over financial reporting; and

(5)
The registrant's other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

(a)
All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and

(b)
Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

Date: March 1, 2013

/s/ BARRY L. MCCABE

Barry L. McCabe
Chief Financial Officer
   



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Certification of Chief Financial Officer
EX-32.1 10 a2213207zex-32_1.htm EX-32.1
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Exhibit 32.1

Certification of Chief Executive Officer

        In connection with the Annual Report on Form 10-K of Knoll, Inc. (the "Company") for the year ended December 31, 2012, as filed with the Securities and Exchange Commission on the date hereof (the "Report"), Andrew B. Cogan, Chief Executive Officer of the Company, certifies, pursuant to 18 U.S.C. Section 1350 (as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002), that to my knowledge:

    1.
    The Report fully complies with the requirements of Section 13(a) or Section 15(d) of the Securities Exchange Act of 1934; and

    2.
    The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

March 1, 2013

/s/ ANDREW B. COGAN

Andrew B. Cogan
Chief Executive Officer
   



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Certification of Chief Executive Officer
EX-32.2 11 a2213207zex-32_2.htm EX-32.2
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Exhibit 32.2

Certification of Chief Financial Officer

        In connection with the Annual Report on Form 10-K of Knoll, Inc. (the "Company") for the year ended December 31, 2012, as filed with the Securities and Exchange Commission on the date hereof (the "Report"), Barry L. McCabe, Chief Financial Officer of the Company, certifies, pursuant to 18 U.S.C. Section 1350 (as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002), that to my knowledge:

    1.
    The Report fully complies with the requirements of Section 13(a) or Section 15(d) of the Securities Exchange Act of 1934; and

    2.
    The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

March 1, 2013

/s/ BARRY L. MCCABE

Barry L. McCabe
Chief Financial Officer
   



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Certification of Chief Financial Officer
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Income taxes receivable/ payable represents the amount due from/to tax authorities for refunds of overpayments or recoveries of income taxes paid/ received, whereas deferred taxes represent the temporary differences that result from income (loss) that is recognized for accounting purposes but not for tax purposes and vice versa. Write-off of fixed assets due to restructuring Write Off Assets Due to Restructuring This element represents write off of assets associated with a restructuring or exit plan. COMMON STOCK AND EARNINGS PER SHARE Award Type [Axis] Common Stock and Earnings Per Share [Text Block] COMMON STOCK AND EARNINGS PER SHARE This element is used to capture the complete disclosure pertaining to an entity's earnings per share and its common stock activity during the reporting period in a single block of text. Defined Benefit Plan, Weighted Average Assumptions used in Calculating Benefit Obligation [Table Text Block] Schedule of assumptions used in computing the benefit obligation Tabular disclosure of the assumptions used to determine for pension plans and/or other employee benefit plans the benefit obligation, including assumed discount rates, rate increase in compensation increase, and expected long-term rates of return on plan assets. Defined Benefit Plan, Weighted Average Assumptions Used in Calculating, Net Periodic Benefit Cost [Table Text Block] Tabular disclosure of the assumptions used to determine for pension plans and/or other employee benefit plans the net benefit cost, including assumed discount rates, rate increase in compensation increase and expected long-term rates of return on plan assets. Schedule of assumptions used to determine net periodic benefit cost Board of Directors [Member] Board of Directors Board of directors who presides over board meetings and other board activities. Amendment Description Share Based Compensation Arrangement by Share Based Payment Award Vested on Each Anniversary Ratio of awards vested on each anniversary Represents the percentage of awards that vest on each anniversary until the vesting period has ended. Amendment Flag Schedule of Weighted Average Asset Allocation [Table Text Block] Schedule of weighted-average asset allocations by asset category Tabular disclosure of the weighted-average allocation of defined benefit plan assets. Office Segment [Member] Office Segment Represents information pertaining to the Office segment. Office Studio Segment [Member] Studio Segment Represents information pertaining to the Studio segment. Studio Coverings Segment [Member] Coverings Segment Represents information pertaining to the Coverings segment. Coverings Richard Schultz Design Inc [Member] Richard Schultz Design Inc Represents information pertaining to the acquisition of Richard Schultz Design Inc. Filzfelt [Member] Filzfelt Represents information pertaining to the acquisition of Filzfelt. Increase (Decrease) in Income Tax Rate [Abstract] Increase (decrease) in the tax rate resulting from: Tax Adjustments, Amended Tax, Returns Tax, Credit Including Interest Claimed Net of Taxes Reflects the effects of adjustments of previously recorded tax expense as a result of the filing of amended tax returns to claim tax credits, including interest and net of taxes. Benefit realized, including interest due and net of taxes, as a result of the filing of amended Federal Income Tax Returns in order to claim Foreign Tax Credits Deferred Tax Liability Not Recognized, Undistributed Foreign Earnings The amount as of the balance sheet date of undistributed foreign earnings on which the entity has not provided deferred taxes as these amounts are considered to be indefinitely reinvested. Foreign earnings that are expected to be reinvested indefinitely Unrecognized Tax Benefits, Reductions Resulting from Change in Exchange Rate Change in exchange rate The gross amount of decreases in unrecognized tax benefits resulting from change in exchange rate, excluding amounts pertaining to examined tax returns. Unrecognized Tax Benefits Income Tax Penalties and Interest Accrued Increase (Decrease) Reduction in accrual for interest and penalties Represents the increase (decrease) in accrual for interest and penalties as a result of change in unrecognized tax benefits. 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Amortization of: Other Comprehensive Income Amortization of Defined Benefit Plan Net Prior Service Cost Credit and Net Gain (Loss) Recognized in Net Periodic Benefit Cost before Tax [Abstract] Credit Agreement [Member] Credit agreement Represents information pertaining to the credit agreement which includes a revolving loan facility and a letter or credit subfacility that allows for the issuance of letters of credit and swing-line loans. Debt Instrument, Variable Rate Base [Axis] The alternative reference rates that may be used to calculate the variable interest rate of the debt instrument. Debt Instrument, Variable Rate Base [Domain] Identification of the reference rate that is used to calculate the variable interest rate of the debt instrument. Eurocurrency Represents the information pertaining to the Eurocurrency rate used to calculate the variable rate of the debt instrument. Debt Instrument, Variable Rate Base Eurocurrency Rate [Member] Debt Instrument, Variable Rate Base Federal Funds Rate [Member] Federal funds rate The federal funds rate used to calculate the variable rate of the debt instrument. Document Period End Date CANADA Canada Line of Credit Facility, Borrowing Capacity Available Increase Maximum increase in the borrowing capacity that is available to the company, subject to certain limitations and satisfaction of certain conditions Represents the maximum increase in the available borrowing capacity of the credit facility subject to certain limitations and satisfaction of certain conditions, including compliance with certain financial covenants. Increase in the available borrowing capacity subject to certain limitations and satisfaction of certain conditions Capital Expenditure CAPITAL EXPENDITURES, NET Represents the amount of capital expenditure. Derivative, Notional Amount Notional amount of each agreement Notional amount Stock Issued During Period Share Based Consideration [Abstract] Shares issued for consideration: Stock Issued During Period Value Employee Benefit Plans Shares issued to Board of Directors in lieu of cash (3,391, 2,739 and 3,603 shares for the year ended 2012, 2011 and 2010 respectively) Value of shares issued during the period to the Board of Directors of the entity in lieu of cash compensation. Shares issued to Board of Directors in lieu of cash Represents shares issued to the Company's Board of Directors in lieu of cash, in shares. Stock Issued in Lieu of Compensation Shares Revenue Recognition and Accounts Receivable [Policy Text Block] Revenue Recognition and Accounts Receivable Disclosure of accounting policy for revenue recognition and accounts receivable. Foreign Currency Contracts Disclosure of accounting policy for foreign currency contracts. Foreign Currency Contracts [Policy Text Block] Lag period for including results of European subsidiaries in consolidated financial statements Represents the lag period for including results of European subsidiaries in consolidated financial statements to allow timely preparation of consolidated information. Lag Period for Including European Subsidiaries, Results in Consolidated Financial Statements Maximum Term of Original Maturity to Classify Instruments as Cash and Cash Equivalents Maximum term of original maturity to classify instruments as cash and cash equivalents Represents the maximum original term of maturity for an instrument to be classified as cash or cash equivalent. Represents the amount of computer software costs included in the construction in progress. Computer Software Costs Included in Construction in Progress Computer software costs included in construction in progress Schedule of Finite Lived and Indefinite Lived Intangible Asset by Major Class [Table] Disclosure of the carrying value of finite-lived and indefinite-lived intangible assets, in total and by major class. A major class is composed of intangible assets that can be grouped together because they are similar, either by their nature or by their use in operations of the company. Finite Lived and Indefinite Lived Intangible Assets by Major Class [Axis] The major class of finite-lived and indefinite-lived intangible asset, excluding goodwill. A major class is composed of intangible assets that can be grouped together because they are similar, either by their nature or by their use in operations of the company. Finite Lived and Indefinite Lived Intangible Assets by Major Class [Domain] The major class of finite-lived and indefinite-lived intangible asset, excluding goodwill. A major class is composed of intangible assets that can be grouped together because they are similar, either by their nature or by their use in operations of the company. Finite Lived and Indefinite Lived Intangible Assets [Line Items] Goodwill and other intangible assets Indefinite Lived Intangible Assets [Abstract] Indefinite-lived intangible assets: Indefinite Lived Intangible Assets, Gross Gross Amount Sum of the gross carrying amounts before accumulated amortization as of the balance sheet date of all intangible assets, having a projected indefinite period of benefit. Indefinite Lived Intangible Assets, Net Net Amount Sum of the carrying amounts (original costs for current and prior period additions adjusted for impairment, if any) as of the balance sheet date of intangible assets, having a projected indefinite period of benefit. Intangible Assets [Abstract] Intangible assets Intangible Assets, Gross Gross Amount Sum of the gross carrying amounts before accumulated amortization as of the balance sheet date of all intangible assets. Intangible Assets, Accumulated Amortization Accumulated Amortization The accumulated amount of amortization of all intangible assets. Intangible Assets, Net Net Amount Sum of the carrying amounts of all intangible assets as of the balance sheet date, net of accumulated amortization and impairment charges. Schedule of Share Based Compensation Arrangement by Share Based Payment Award Plan Name [Axis] Pertinent data describing and reflecting required disclosures by plan pertaining to an equity-based compensation arrangement. Share Based Compensation Arrangements by Share Based Payment Award Plan Name [Domain] Equity-based compensation plans, including multiple equity-based payment arrangements. Stock Incentive Plan 2007 [Member] 2007 Stock Incentive Plan Represents the 2007 Stock Incentive Plan adopted by entity. Performance-based restricted stock awards awarded employees in 2007 as a form of incentive compensation. 2007 Performance-based restricted stock awards Performance Based Restricted Stock 2007 [Member] 2008 Performance-based restricted stock awards Performance Based Restricted Stock 2008 [Member] Performance-based restricted stock awards awarded employees in 2008 as a form of incentive compensation. Restricted Stock and Performance Based Restricted Stock [Member] Restricted stock Represents information in the aggregate pertaining to time-based restricted stock awards and performance-based restricted stock awards awarded employees as a form of incentive compensation. Time-based and performance-based restricted stock awards Performance Based Restricted Stock 2011 [Member] 2011 Performance-based restricted stock awards Performance-based restricted stock awards awarded employees in 2011 as a form of incentive compensation. Key Employees [Member] Key employees Represents the key employees of the entity. Requirements for Performance Based Vesting [Axis] Information by requirement for performance based vesting. Requirements for Performance Based Vesting [Domain] Different requirements for performance based vesting. Performance Based Restricted Stock Vesting Requirements Initial Requirement for Vesting [Member] Represents information pertaining to the initial requirement for vesting of performance-based restricted stock. Initial performance-based award vesting Performance Based Restricted Stock Vesting Requirements Incremental Requirement for Vesting [Member] Represents information pertaining to the incremental requirement for vesting of performance-based restricted stock. Incremental performance-based award vesting Performance Based Restricted Stock Vesting Requirements, Requirement for Full Vesting [Member] Represents information pertaining to the requirement for full vesting of performance based vesting restricted stock. Performance-based award full vesting Vesting Portion Per Year [Axis] Information by portion of award that may vest per year. Vesting Portion [Domain] Different portions of awards that may vest per year. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES Vesting One Third Per Year [Member] Information for awards that may vest one-third per year. One-third Per Year Vesting One Fifth Per Year [Member] Information for awards that may vest one-fifth per year. One-fifth Per Year Entity Well-known Seasoned Issuer Vesting One Sixth Per Year [Member] Information for awards that may vest one-sixth per year. One-sixth Per Year Entity Voluntary Filers Number of Stock Incentive Plans Number of Stock Incentive Plans Represents the number of Stock Incentive Plans. Entity Current Reporting Status NEW ACCOUNTING PRONOUNCEMENTS Entity Filer Category Entity Public Float Share Based Compensation Arrangement by Share Based Payment Award Vesting Percentage of Options Granted Percent of awards or options that vest each year Represents the annual vesting percentage for share awards or options granted. Entity Registrant Name Share Based Compensation Arrangement by Share Based Payment Award Operating Profit for Vesting of Shares Amount of operating profit for vesting of shares Amount of operating profit required for vesting of shares. Entity Central Index Key RESTRICTED CASH U.S. State and Local Government and Agencies [Member] U.S. government and agencies Represents the U.S., state and local governmental agencies. U.S., state and local governmental agencies Entity Common Stock, Shares Outstanding Stock Incentive Plan 2007 and 2010 [Member] 2007 Stock Incentive Plan and 2010 Stock Incentive Plan Represents the 2007 Stock Incentive Plan and 2010 Stock Incentive Plan adopted by the entity. Allowance for Other Non Trade Receivables [Member] Allowance for other non-trade receivables A valuation allowance for other non-trade receivables due to the entity that are expected to be uncollectible. Deferred Tax Assets, Tax Deferred Expense Reserves and Accruals Accrued Liabilities and Other Accrued liabilities and other items The tax effect as of the balance sheet date of the amount of the estimated future tax deductions arising from currently nondeductible expenses in accrued liabilities and other provisions, reserves, allowances, and liabilities, which are not otherwise reflected in deferred taxes in the taxonomy, which can only be deducted for tax purposes when such items are actually incurred, and which can only be realized if sufficient tax-basis income is generated in future periods to enable the deduction to be taken. Defined Benefit Plan, Number of Plans Number of plans Represents number of plans being sponsored by the entity. Defined Benefit Plan, Number of Plans Nonunion Employees Represents number of nonunion plans being sponsored by the entity. Number of plans covering nonunion employees Italy Italy [Member] Participant Contributions Change in PBO Participant contributions Defined Benefit Plan Benefits Paid PBO Benefits paid Defined Benefit Plan Assumptions Used Calculating Benefit Obligation Expected Long Term Return on Assets Expected return on plan assets (as a percent) An assumption as to the rate of return on plan assets reflecting the average rate of earnings expected on the funds invested or to be invested in the benefit obligation for the plan. Defined Benefit Plan, Requisite Points for Participation Requisite points for participation Represents the required points due to which employees are eligible to participate in the pension plan. Gain on modification to pension plans and other postretirement plan Represents the gain on modification to pension plans and other postretirement plan. Defined Benefit Plan, Gain on Modification Office Systems [Member] Office Systems Represents office systems, for which the entity reported revenue from external customers during the period. Seating [Member] Seating Represents seating, for which the entity reported revenue from external customers during the period. Files and Storage [Member] Represents files and storage, for which the entity reported revenue from external customers during the period. Files and Storage Other Products [Member] Other Represents other products, for which the entity reported revenue from external customers during the period. Document Fiscal Year Focus Specialty Products [Member] Specialty Products Represents specialty products, for which the entity reported revenue from external customers during the period. Document Fiscal Period Focus European Sales [Member] European Sales Represents European sales, for which the entity reported revenue from external customers during the period. Europe [Member] Europe Represents Europe, a geographical area in which the company operates. Share Based Compensation Arrangement by Share Based Payment Award, Fair Value Assumptions Forfeiture Rate Forfeiture rate (as a percent) Represents the forfeiture rate assumption that is used in valuing an option on its own shares. Increase (Decrease) in Accumulated Other Comprehensive Income (Loss) [Roll Forward] Changes in accumulated other comprehensive income (loss), net of tax Effective Income Tax Rate Reconciliation Change in Contingency Reserve Change in Contingency Reserve The sum of the differences between the effective income tax rate and domestic federal statutory income tax rate attributable to change in contingency reserve. Share Based Compensation Arrangement by Share Based Payment Award Equity Instruments Other than Options Nonvested Weighted Average Fair Value [Abstract] Weighted Average Fair Value Share Based Compensation Arrangement by Share Based Payment Award Options Weighted Average Exercise Price [Abstract] Weighted Average Exercise Price Share Based Compensation Arrangement by Share Based Payment Award Options Weighted Average Remaining Contractual Term [Abstract] Weighted Average Remaining Contractual Term Share Based Compensation Arrangement by Share Based Payment Award Options Aggregate Intrinsic Value [Abstract] Aggregate Intrinsic Value The total dollar difference between fair values of the underlying shares reserved for issuance and exercise prices pertaining to options forfeited under the plan as of the balance sheet date. 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Share Based Compensation Shares Authorized under Stock Option Plans Exercise Price Range [Abstract] Range of Exercise Prices Accounts Receivable, Net, Current Customer receivables, net Share Based Compensation Shares Authorized under Stock Option Plans Exercise Price Range Options Outstanding [Abstract] Options Outstanding Share Based Compensation Shares Authorized under Stock Option Plans Exercise Price Range Options Exercisable [Abstract] Options Exercisable Share Based Compensation Arrangement by Share Based Payment Award Options Nonvested Outstanding [Roll Forward] Non-vested Stock Options A roll forward is a reconciliation of a concept from the beginning of a period to the end of a period. Share Based Compensation Arrangement by Share Based Payment Award Options Vested in Period Vested (in shares) The number of share options (or share units) that vested during the reporting period. Share Based Compensation Arrangement by Share Based Payment Award Options Nonvested Number Nonvested at beginning of year (in shares) The number of outstanding awards under the stock option plan for which the employer is contingently obligated to issue shares to an employee who has not yet satisfied service or performance criteria necessary to gain title to proceeds from the sale of the award or underlying shares. Nonvested at end of year (in shares) Share Based Compensation Arrangement by Share Based Payment Award than Options Nonvested Weighted Average Fair Value at Grant Date [Abstract] Weighted Average Grant-Date Fair Value Share Based Compensation Arrangement by Share Based Payment Award Options Nonvested Weighted Average Grant Date Fair Value Nonvested at beginning of year (in dollars per share) The weighted average grant date fair value of nonvested options outstanding as of the balance sheet date for which the employer is contingently obligated to issue equity instruments or transfer assets to an employee who has not yet satisfied service or performance criteria necessary to gain title to proceeds from the sale of the award or the underlying shares. Nonvested at end of year (in dollars per share) Share Based Compensation Arrangement by Share Based Payment Award Nonvested Options Vested in Period Weighted Average Grant Date Fair Value Vested (in dollars per share) The weighted average grant-date fair value of options that vested during the reporting period as calculated by applying the disclosed option pricing methodology. Share Based Compensation Arrangement by Share Based Payment Award Nonvested Options Cancelled in Period Weighted Average Grant Date Fair Value Forfeited (in dollars per share) The weighted average grant-date fair value of options that were terminated during the reporting period due to noncompliance with plan terms during the reporting period. Allocated Share Based Compensation Expense Per Diluted Share Stock-based compensation, per diluted share (in dollars per share) Represents the expense recognized per diluted share, during the period arising from equity-based compensation arrangements (for example, shares of stock, unit, stock options or other equity instruments) with employees, directors and certain consultants qualifying for treatment as employees. Share Based Compensation Arrangement by Share Based Payment Award, Maximum Share Value upto which Employees may Purchase Shares Maximum annual employee contribution to Employee Stock Purchase Plan Maximum amount of eligible gross pay an employee may contribute to the Employee Stock Purchase Plan. This element represents U.S. equity securities. US Equity Securities [Member] U.S. equity securities Non-U.S. equity securities This element represents non-U.S. equity securities. Foreign Equity Securities [Member] This element represents debt securities, fixed income funds and cash investment funds. Debt Securities Fixed Income and Cash Investment Funds [Member] Debt securities, fixed income funds and cash investment funds Schedule of Defined Contribution Benefit Plans Disclosures [Table] Disclosures about defined contribution plans. Defined Contribution Benefit Plans Disclosure Benefit Plans [Axis] Disclosures about defined contribution plan. Defined Contribution Benefit Plans [Domain] The name of the defined contribution plan. Foreign Defined Contribution Plans [Member] Represents the defined contribution plan for employees who are outside the reporting entity's home country. Contribution plan for Canadian, Belgium and United Kingdom employees United States Defined Contribution Plans [Member] Represents the defined contribution plan for employees in the United States. Contribution plan for US employees Defined contribution plan Defined Contribution Benefit Plans [Line Items] Defined Contribution Plan, Maximum Discretionary Employer Matching Contribution as Percentage of Participant Contribution for First Six Percent of Non Union and Union Employees Annual Compensation Fixed matching contribution as a percentage of participant contributions for the first 6.0% of both nonunion and union employees' annual compensation Represents the maximum percentage of non union and union employees' annual compensation eligible for employer's matching contribution. Defined Contribution Plan, Maximum Percentage of Non Union and Union Employees Annual Compensation Eligible for Employer Contribution Match Maximum percentage of nonunion and union employees' compensation eligible for employer contribution match, towards defined contribution plan Represents the maximum discretionary employer matching contribution as a percentage of participant contributions for the first 6.0 percent of non union and union employees' annual compensation. Defined Contribution Plan, Employer Contributions Vesting Period Company contributions vesting period Represents the period for vesting of the company contributions for the defined contribution plans. Number of shares of common stock into which participants may invest the compensation they elect to defer Represents the number of shares of common stock into which participants may invest the compensation they elect to defer. Defined Contribution Plan, Common Stock Shares into which Participants May Invest Compensation Accounts Payable, Current Accounts payable Represents the maximum participant contributions in the Knoll common stock fund, expressed as a percentage of their total account balance in the plan. Defined Contribution Plan, Maximum Participant Contributions as Percentage of Account Balance in Plan Maximum participant contributions in the Knoll common stock fund as a percentage of their total account balance in the plan Defined Contribution Plan, Maximum Discretionary Employer Matching Contribution as Percentage of Participant Contribution for First Six Percent of Non Union Employees Annual Compensation Maximum discretionary employer matching contribution as a percentage of participant contributions for the first 6.0% of nonunion employees' annual compensation Represents the maximum discretionary employer matching contribution as a percentage of participant contributions for the first 6.0 percent of nonunion employees' annual compensation. Defined Contribution Plan, Maximum Percentage of Non Union Employees, Annual Compensation Eligible for Employer Contribution Match Maximum percentage of nonunion employees' compensation eligible for employer contribution match, towards defined contribution plan Represents the maximum percentage of nonunion employees' annual compensation eligible for employer's matching contribution. Facility realignment associated with exit from or disposal of business activities or restructurings pursuant to a plan. Facility Realignment [Member] Facility realignment Write-off of fixed assets, that had no future benefit, associated with exit from or disposal of business activities or restructurings pursuant to a plan. Write Off of Fixed Assets [Member] Write-off of fixed assets Lease period Represents the lease period. Capital Lease Period Weighted-average asset allocations Defined Benefit Plan, Weighted Average Assets Allocations [Abstract] Accounts Receivable [Member] Customer receivables Finite-lived intangible assets: Finite Lived Intangible Asset [Abstract] Share Based Compensation Arrangement by Title of Individual [Axis] Carpenters Union Local 1615 [Member] Carpenters Union, Local 1615 Represents information about the Carpenters Union, Local 1615, of the United Brotherhood of Carpenters and Joiners of America, Affiliate of the Carpenters Industrial Council. Italy Unions [Member] Italy Unions Represents information about employee unions in Italy. Number of Hourly Employees Covered in Agreement Total number of hourly employees covered in an agreement Represents the number of hourly employees of the entity covered in an agreement with the union. FAIR VALUE OF FINANCIAL INSTRUMENTS Disclosure of the fair value of financial instruments, including financial assets and financial liabilities, and the measurements of those instruments, assets, and liabilities. Such certain disclosures about the financial instruments, assets, and liabilities include: (1) the fair value of the required items together with their carrying amounts (as appropriate) and (2) the methodology and assumptions used in developing such estimates of fair value. Fair Value Balance Sheet Grouping Disclosure [Text Block] FAIR VALUE OF FINANCIAL INSTRUMENTS Interest Rate Swaps [Policy Text Block] Disclosure of accounting policy for interest rate swaps. Interest Rate Swaps Accumulated Other Comprehensive Income (Loss) [Policy Text Block] Accumulated Other Comprehensive Income (Loss) Disclosure of accounting policy for accumulated other comprehensive income (Loss). Share Based Compensation Arrangement by Share Based Payment Award Options Expired in Period Total Intrinsic Value Expired The total dollar difference between fair values of the underlying shares reserved for issuance and exercise prices pertaining to options expired under the plan as of the balance sheet date. Temporary Investment Funds [Member] Temporary investment funds Represents the information pertaining to temporary investment funds maintained by the entity. Operating Loss Carryforwards, Expiration Period The expiration period of each operating loss carryforward included in total operating loss carryforwards, or the applicable range of such expiration period. Period for net operating loss carryforwards to be carried forward Restructuring and Other Charges The total of restructuring charges (which is the amount charged against earnings in the period for incurred and estimated costs associated with exit from or disposal of business activities or restructurings pursuant to a duly authorized plan, excluding asset retirement obligations), and restructuring-related charges that were recorded as direct reductions of related assets. Restructuring and other charges Restructuring and other charges - primarily Office Business Acquisition Purchase Price Allocation Goodwill Expected Tax Deductible Amount Amortization Period Period over which goodwill for tax purpose will be amortized Represents the period over which goodwill for tax purpose will be amortized. Preferred Stock [Abstract] Preferred Stock Share Based Compensation Arrangements by Share Based Payment Award Options Expiration Term Contractual life The period of time from the grant date until the time at which the share-based option award expires. Debt Instrument Variable Rate Base Rate [Member] Base Rate The base rate used to calculate the variable interest rate of the debt instrument. Debt Instrument Variable Rate Base Prime Rate [Member] Prime rate The prime rate announced from time-to-time by Bank of America used to calculate the variable interest rate of the debt instrument. UNITED STATES United States Accrued Income Taxes, Current Income taxes payable Accumulated Other Comprehensive Income (Loss), Foreign Currency Translation Adjustment, Net of Tax Accumulated foreign currency translation adjustments included in other comprehensive income Accumulated Defined Benefit Plans Adjustment [Member] Pension and other post-retirement liability adjustment Accumulated Other Comprehensive Income (Loss) [Member] Accumulated Other Comprehensive Income (Loss) Accumulated Net Gain (Loss) from Designated or Qualifying Cash Flow Hedges [Member] Change in the fair value of interest rate swap contracts Accumulated Depreciation, Depletion and Amortization, Property, Plant, and Equipment Accumulated depreciation Accumulated Other Comprehensive Income (Loss), Net of Tax Accumulated other comprehensive income (loss) Beginning Balance Ending Balance Accumulated Translation Adjustment [Member] Foreign currency translation adjustment Additional Paid in Capital, Common Stock Additional paid-in-capital Additional Paid-in Capital [Member] Additional Paid-In Capital Income tax effect from the exercise of stock options and vesting of restricted stock Adjustment to Additional Paid in Capital, Income Tax Effect from Share-based Compensation, Net Adjustments, Noncash Items, to Reconcile Net Income (Loss) to Cash Provided by (Used in) Operating Activities [Abstract] Adjustments to reconcile net income to cash provided by operating activities: Adjustments to Additional Paid in Capital, Income Tax Benefit from Share-based Compensation Exercise of stock options, tax benefit (in dollars) Income tax effect from the exercise of stock options and vesting of restricted stock Adjustments to Additional Paid in Capital, Share-based Compensation, Requisite Service Period Recognition Stock-based compensation Allocated Share-based Compensation Expense, Net of Tax Stock-based compensation, after-tax Allocated Share-based Compensation Expense Stock-based compensation, pre-tax Allowance for Doubtful Accounts Receivable, Current Allowance for doubtful accounts Allowance for Doubtful Accounts [Member] Allowance for doubtful accounts Amortization expense Amortization of Intangible Assets Amortization of deferred financing fees Amortization of Financing Costs Amortization expense related to the deferred financing fees Amortization of Financing Costs and Discounts [Abstract] Deferred financing fees amortization Amortization of Deferred Charges Amortization expense (including deferred financing fees) Antidilutive Securities Excluded from Computation of Earnings Per Share, Amount Antidilutive equity awards not included in weighted average common shares-diluted Asset Impairment Charges Asset impairment Assets, Current [Abstract] Current assets: Assets [Abstract] ASSETS Assets, Current Total current assets Assets Total Assets TOTAL ASSETS Building [Member] Buildings Business Acquisition [Axis] Business Acquisition, Cost of Acquired Entity, Cash Paid Cash purchase price Business Acquisition, Purchase Price Allocation, Goodwill Amount Goodwill recognized on acquisition Business Acquisition, Contingent Consideration, Potential Cash Payment Contingent purchase price liability Business Acquisition, Acquiree [Domain] ACQUISITIONS Business Acquisition, Purchase Price Allocation, Amortizable Intangible Assets Intangible assets acquired Business Acquisition [Line Items] Acquisitions Business Acquisition, Cost of Acquired Entity, Purchase Price Purchase price Business Combination Disclosure [Text Block] ACQUISITIONS Business Combinations Business Combinations Policy [Policy Text Block] Carrying (Reported) Amount, Fair Value Disclosure [Member] Carrying amount Cash and Cash Equivalents, at Carrying Value Cash and cash equivalents Cash and cash equivalents at beginning of period Cash and cash equivalents at end of period Cash and Cash Equivalents, Policy [Policy Text Block] Cash and Cash Equivalents Cash and Cash Equivalents [Abstract] Cash and Cash Equivalents Cash Flow Hedging [Member] Cash Flow Hedge Relationship Collective Bargaining Arrangement [Domain] Collective Bargaining Arrangement [Axis] Commitments and Contingencies Disclosure [Text Block] CONTINGENT LIABILITIES AND COMMITMENTS CONTINGENT LIABILITIES AND COMMITMENTS Commitments and Contingencies Commitments and contingent liabilities Common Stock [Member] Common Stock Common Stock, Shares, Outstanding Common stock, shares outstanding Common Stock, Value, Issued Common stock, $0.01 par value; 200,000,000 shares authorized; 62,266,755 issued and 47,840,562 outstanding (net of 14,426,193 treasury shares) at December 31, 2012 and 61,854,474 shares issued and 47,748,699 outstanding (net of 14,105,775 treasury shares) at December 31, 2011 Common Stock, Shares, Issued Common stock, shares issued Common Stock, Dividends, Per Share, Declared Cash dividend (in dollars per share) Common Stock, Par or Stated Value Per Share Common stock, par value (in dollars per share) Common Stock, Shares Authorized Common stock, shares authorized Common Stock, Dividends, Per Share, Cash Paid Dividends per share (in dollars per share) Components of Deferred Tax Assets and Liabilities [Abstract] Tax effects of temporary differences that give rise to the deferred tax assets and liabilities Comprehensive Income (Loss), Net of Tax, Attributable to Parent [Abstract] Other comprehensive income Comprehensive Income (Loss), Net of Tax, Attributable to Parent Total comprehensive income Comprehensive Income (Loss) Note [Text Block] ACCUMULATED OTHER COMPREHENSIVE INCOME (LOSS) Comprehensive Income [Member] Comprehensive Income Concentration Risk Type [Domain] Concentration Risk [Line Items] CONTINGENT LIABILITIES AND COMMITMENTS Customer receivables Concentration Risk Benchmark [Domain] Concentration Risk [Table] Concentration Risk Benchmark [Axis] Concentration of Credit Risk Concentration Risk, Credit Risk, Policy [Policy Text Block] Concentration Risk Type [Axis] Concentration Risk, Percentage Percentage of employees represented by unions Percentage of gross customer receivables Consolidation, Policy [Policy Text Block] Principles of Consolidation Construction in Progress [Member] Construction in progress Cost of Goods and Services Sold Cost of sales Current State and Local Tax Expense (Benefit) State Current Income Tax Expense (Benefit), Continuing Operations [Abstract] Current: Current Income Tax Expense (Benefit) Total current: Current Foreign Tax Expense (Benefit) Foreign Current Federal Tax Expense (Benefit) Federal Customer Concentration Risk [Member] Concentration of risk by customer Customer Relationships [Member] Customer relationships Customer Deposits, Current Customer deposits Variable interest rate base Debt Instrument, Description of Variable Rate Basis Debt Instrument [Line Items] Long-term debt Schedule of Long-term Debt Instruments [Table] Debt Instrument, Fee Amount Debt instrument fees Debt Disclosure [Text Block] INDEBTEDNESS INDEBTEDNESS Debt Instrument, Basis Spread on Variable Rate Basis spread on variable rate (as a percent) Debt Securities [Member] Debt Securities Title of Individual [Axis] Deferred Financing Fees Deferred Charges, Policy [Policy Text Block] Deferred Federal Income Tax Expense (Benefit) Federal Deferred financing fees, net of accumulated amortization Deferred Finance Costs, Net Deferred Financing Fees Deferred Finance Costs [Abstract] Deferred Income Tax Expense (Benefit), Continuing Operations [Abstract] Deferred Deferred Foreign Income Tax Expense (Benefit) Foreign Deferred Income Tax Expense (Benefit) Total deferred Provision for deferred taxes Deferred Tax Assets, Net of Valuation Allowance Net deferred tax assets Deferred income taxes Deferred Tax Assets, Net, Current Deferred Tax Assets, Net Net deferred tax liabilities Deferred Tax Assets, Net [Abstract] Deferred tax assets Deferred Tax Assets, Inventory Inventories Deferred Tax Assets, Gross Gross deferred tax assets Deferred State and Local Income Tax Expense (Benefit) State Deferred Tax Assets, Tax Deferred Expense, Reserves and Accruals, Allowance for Doubtful Accounts Accounts receivable, principally due to allowance for doubtful accounts Deferred Tax Assets, Operating Loss Carryforwards Net operating loss carryforwards Deferred Tax Assets, Tax Deferred Expense, Reserves and Accruals, Warranty Reserves Warranty Deferred Tax Assets, Tax Deferred Expense, Compensation and Benefits, Pensions Accrued pension Deferred Tax Assets, Tax Deferred Expense, Compensation and Benefits, Employee Compensation Compensation-related accruals Deferred Tax Assets, Tax Deferred Expense, Compensation and Benefits, Share-based Compensation Cost Stock-based compensation Deferred Tax Assets, Tax Deferred Expense, Compensation and Benefits, Postretirement Benefits Obligation for postretirement benefits other than pension Deferred Tax Liabilities, Net Gross deferred tax liabilities Deferred Tax Assets, Valuation Allowance Valuation allowance Deferred Tax Liabilities, Net, Noncurrent Deferred income taxes Deferred Tax Liabilities, Intangible Assets Intangibles Deferred Tax Liabilities, Property, Plant and Equipment Plant and equipment Deferred Tax Liabilities, Gross [Abstract] Deferred tax liabilities: Defined Benefit Plan, Actual Return on Plan Assets Actual return on plan assets Defined Benefit Plan, Change in Fair Value of Plan Assets [Roll Forward] Change in plan assets: Defined Benefit Pension Plan Liabilities, Current Accrued pension costs Defined Benefit Plan, Accumulated Benefit Obligation Accumulated benefit obligation at the end of the period Defined Benefit Plan, Assumptions Used Calculating Benefit Obligation, Rate of Compensation Increase Rate of compensation increase (as a percent) Defined Benefit Plan, Amortization of Prior Service Cost (Credit) Amortization of prior service cost Defined Benefit Plan, Benefits Paid Benefits paid Defined Benefit Plan, Expected Future Benefit Payments, Year Three 2015 Defined Benefit Plan, Assumed Health Care Cost Trend Rates [Abstract] Assumed health care cost trend rates Defined Benefit Plan, Change in Benefit Obligation [Roll Forward] Change in projected benefit obligation: Defined Benefit Plan, Assumptions Used Calculating Net Periodic Benefit Cost, Rate of Compensation Increase Rate of compensation increase (as a percent) Defined Benefit Plan, Amortization of Net Prior Service Cost (Credit) Estimated prior service costs Defined Benefit Plan, Effect of One Percentage Point Decrease on Service and Interest Cost Components Effect of 1% decrease on aggregate of the service and interest cost components of net periodic benefit cost Defined Benefit Plan, Actuarial Gain (Loss) Actuarial loss (gain) Pension and Other Postretirement Benefit Plans, Amounts that Will be Amortized from Accumulated Other Comprehensive Income (Loss) in Next Fiscal Year [Abstract] Amount included in accumulated other comprehensive income and expected to be recognized in net periodic pension cost in next fiscal year Defined Benefit Plan, Amortization of Net Gains (Losses) Estimated net actuarial loss Defined Benefit Plan, Expected Future Benefit Payments, Year Two 2014 Defined Benefit Plan, Assumptions Used Calculating Net Periodic Benefit Cost, Expected Long-term Return on Assets Expected return on plan assets (as a percent) Defined Benefit Plan, Expected Future Benefit Payments, Year Five 2017 Pension and Other Postretirement Benefit Plans, Accumulated Other Comprehensive Income (Loss), before Tax Net amount recognized Defined Benefit Plan, Contributions by Employer Employer contributions Pension and Other Postretirement Benefit Plans, Accumulated Other Comprehensive Income (Loss), Net Gains (Losses), before Tax Net actuarial loss Discount rate (as a percent) Defined Benefit Plan, Assumptions Used Calculating Net Periodic Benefit Cost, Discount Rate Defined Benefit Plan, Amounts Recognized in Balance Sheet [Abstract] Amounts recognized in the consolidated balance sheet consist of: Defined Benefit Plan, Effect of One Percentage Point Decrease on Accumulated Postretirement Benefit Obligation Effect of 1% decrease on benefit obligation Defined Benefit Plan, Expected Future Benefit Payments, Year Four 2016 Defined Benefit Plan, Curtailments Liability gain due to Curtailment Curtailment benefit Curtailment benefit Defined Benefit Plan, Assets, Target Allocations [Abstract] Target allocation Defined Benefit Plan, Assumptions Used Calculating Benefit Obligation, Discount Rate Discount rate (as a percent) Defined Benefit Plan, Expected Future Benefit Payments, Next Twelve Months 2013 Defined Benefit Plan, Amortization of Gains (Losses) Recognized actuarial loss Defined Benefit Plan Disclosure [Line Items] PENSION AND OTHER POSTRETIREMENT BENEFITS Defined Benefit Plan, Contributions by Plan Participants Participant contributions Pension and Other Postretirement Benefit Plans, Accumulated Other Comprehensive Income (Loss), before Tax [Abstract] Amounts recognized in accumulated other comprehensive income before taxes: Defined Benefit Plan, Benefit Obligation Projected benefit obligation at the end of the period Projected benefit obligation at the beginning of the period Defined Benefit Plan, Target Plan Asset Allocations Target allocation percentage Defined Benefit Plan, Expected Future Benefit Payments, Five Fiscal Years Thereafter 2018-2022 Defined Benefit Plan, Weighted Average Assumptions Used in Calculating Benefit Obligation [Abstract] Assumptions used in computing the benefit obligation Defined Benefit Plan, Expected Future Benefit Payments, Fiscal Year Maturity [Abstract] Estimated future benefit payments Defined Benefit Plan, Expected Return on Plan Assets Expected return on plan assets Defined Benefit Plan, Health Care Cost Trend Rate Assumed for Next Fiscal Year Annual rate of increase in the per capita cost of covered health care benefits (as a percent) Defined Benefit Plan, Effect of One Percentage Point Increase on Service and Interest Cost Components Effect of 1% increase on aggregate of the service and interest cost components of net periodic benefit cost Defined Benefit Plans and Other Postretirement Benefit Plans [Axis] Defined Benefit Plan, Actual Plan Asset Allocations Weighted-average asset allocations (as a percent) Defined Benefit Plan, Interest Cost Interest cost Defined Benefit Plan, Weighted Average Assumptions Used in Calculating Net Periodic Benefit Cost [Abstract] Assumptions used to determine net periodic benefit cost Defined Benefit Plan, Fair Value of Plan Assets Fair value of plan assets at the beginning of the period Fair value of plan assets at the end of the period Fair value of pension plan investments Defined Benefit Plan, Net Periodic Benefit Cost Net periodic benefit cost Defined Benefit Plan, Recognized Net Gain (Loss) Due to Curtailments Curtailment (benefits) expense Defined Benefit Plan, Effect of One-Percentage Point Change in Assumed Health Care Cost Trend Rates [Abstract] Effects of 1% change in assumed health care cost trend rate Defined Benefit Plan, Service Cost Service cost Defined Benefit Plan, Funded Status of Plan Funded status Defined Benefit Plans and Other Postretirement Benefit Plans [Domain] Defined Contribution Plan, Cost Recognized Total expense Plan Amendments Defined Benefit Plan, Plan Amendments Defined Benefit Plan, Effect of One Percentage Point Increase on Accumulated Postretirement Benefit Obligation Effect of 1% increase on benefit obligation Defined Benefit Plan, Net Periodic Benefit Cost [Abstract] Components of the net periodic benefit cost Defined Benefit Plan, Estimated Future Employer Contributions in Next Fiscal Year Expected contributions in next fiscal year Defined Benefit Plan, Ultimate Health Care Cost Trend Rate For covered health care benefits, the ultimate rate to which the rate is assumed to decrease for 2019 and thereafter (2013 assumption) and for 2018 and thereafter (2012 assumption), as a percent Defined Benefit Pension Plan, Liabilities, Noncurrent Pension liability Defined Benefit Plan, Asset Categories [Axis] Pension and Other Postretirement Benefit Plans, Accumulated Other Comprehensive Income (Loss), Net Prior Service Cost (Credit), before Tax Prior service cost (benefit) Depreciation, Depletion and Amortization, Nonproduction DEPRECIATION AND AMORTIZATION Depreciation Depreciation Derivative, Cost of Hedge Net of Cash Received Net loss related to contracts initiated and settled, recorded in other (expense) income Derivative Liabilities, Current Derivatives Derivative Instrument Risk [Axis] Derivative [Line Items] Derivative financial instruments Derivative Instruments and Hedging Activities Disclosure [Text Block] DERIVATIVE FINANCIAL INSTRUMENTS Derivative, Remaining Maturity Remaining term of swap agreements Derivative [Table] DERIVATIVE FINANCIAL INSTRUMENTS Derivative Liabilities, Noncurrent Derivative liabilities, non-current Derivative, Description of Variable Rate Basis Variable rate of interest received Derivative, Fixed Interest Rate Fixed rate of derivatives paid (as a percent) Derivative Instruments, Gain (Loss) Reclassified from Accumulated OCI into Income, Effective Portion, Net Before - Tax (Loss) Reclassified from AOCI into Income (Effective Portion) Hedging Relationship [Axis] Derivative Instruments, Gain (Loss) Recognized in Income, Net Total Derivatives Not Designated as Hedging Instruments Derivative Contract Type [Domain] Derivative Instruments, Gain (Loss) [Line Items] Effect of derivatives in cash flow hedging relationships on the consolidated statement of income DERIVATIVE FINANCIAL INSTRUMENTS Derivative, Net Hedge Ineffectiveness Gain (Loss) Ineffective portion of interest rate swaps Derivative Instruments, Gain (Loss) by Hedging Relationship, by Income Statement Location, by Derivative Instrument Risk [Table] Derivative Instruments, Gain (Loss) Recognized in Other Comprehensive Income (Loss), Effective Portion, Net Before -Tax (Loss) Recognized in OCI on Derivative (Effective Portion) Derivative Instruments, Gain (Loss) Recognized in Income, Ineffective Portion and Amount Excluded from Effectiveness Testing, Net Before - Tax (Loss) Recognized in Income on Derivative (Ineffective Portion) Derivatives, Policy [Policy Text Block] Derivative Financial Instruments Derivatives, Fair Value [Line Items] Derivative instruments Description of New Accounting Pronouncements Not yet Adopted [Text Block] NEW ACCOUNTING PRONOUNCEMENTS Board of Directors Director [Member] Disclosure of Compensation Related Costs, Share-based Payments [Text Block] STOCK PLANS STOCK PLANS Dividend Declared [Member] Dividend declared Dividends, Common Stock, Cash Cash dividend ($.44, $.36 and $.12 per share for the year ended 2012, 2011 and 2010 respectively) Earnings Per Share, Diluted Diluted (in dollars per share) Earnings per share - Diluted Earnings Per Share, Basic, Other Disclosures [Abstract] Earnings per share, other disclosures Earnings Per Share, Basic Basic (in dollars per share) Earnings per share - Basic Earnings Per Share, Policy [Policy Text Block] Earnings per Share Earnings Per Share [Abstract] Earnings per share: Earnings per Share Effect of Exchange Rate on Cash and Cash Equivalents, Continuing Operations Effect of exchange rate changes on cash and cash equivalents Effective Income Tax Rate, Continuing Operations, Tax Rate Reconciliation [Abstract] Reconciliation of statutory federal income tax rate to the effective income tax rate Effective Income Tax Rate, Continuing Operations Effective tax rate (as a percent) Effective Income Tax Rate Reconciliation, Foreign Income Tax Rate Differential Effect of tax rates of other countries (as a percent) Effective Income Tax Rate Reconciliation, at Federal Statutory Income Tax Rate Federal statutory tax rate (as a percent) Effective Income Tax Rate Reconciliation, Tax Credits, Foreign Foreign Tax Credit-Amended Returns (as a percent) Effective Income Tax Rate Reconciliation, State and Local Income Taxes State taxes, net of federal effect (as a percent) Effective Income Tax Rate Reconciliation, Deductions, Qualified Production Activities Section 199 deduction (as a percent) Effective Income Tax Rate Reconciliation, Other Adjustments Other (as a percent) Employee-related Liabilities, Current Accrued employee compensation Employee Service Share-based Compensation, Nonvested Awards, Total Compensation Cost Not yet Recognized, Period for Recognition Weighted average remaining period over which cost to be recognized Employee Stock Option [Member] Stock options Employee Stock [Member] Employee Stock Purchase Plan Employee Service Share-based Compensation, Nonvested Awards, Total Compensation Cost Not yet Recognized Compensation cost related to nonvested awards not yet recognized Employee Severance [Member] Employee termination costs Revenue, Major Customer [Line Items] Sales to major customers Revenue from External Customer [Line Items] Net sales by product category STOCKHOLDERS' EQUITY Equity Component [Domain] Equity Funds [Member] Equity investment funds Equity Securities [Member] Equity Securities Estimate of Fair Value, Fair Value Disclosure [Member] Total Fair value Excess Tax Benefit (Tax Deficiency) from Share-based Compensation, Financing Activities Tax benefit from the exercise of stock options and vesting of equity awards Measurement Frequency [Axis] Fair Value, Hierarchy [Axis] Fair Value, Measurements, Recurring [Member] Recurring basis Fair Value, Measurement Frequency [Domain] Fair Value Measurements, Recurring and Nonrecurring [Table] Fair Value, Measurements, Fair Value Hierarchy [Domain] Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items] Assets and liabilities measured at fair value on a recurring basis FAIR VALUE MEASUREMENTS Fair Value Disclosures [Text Block] FAIR VALUE MEASUREMENTS Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items] Fair value of financial instruments Fair Value of Financial Instruments, Policy [Policy Text Block] Fair Value of Financial Instruments Fair Value, Disclosure Item Amounts [Domain] Fair Value, by Balance Sheet Grouping [Table] Fair Value, by Balance Sheet Grouping, Disclosure Item Amounts [Axis] Fair Value, Inputs, Level 3 [Member] Significant Unobservable Inputs (Level 3) Level 3 Fair Value, Inputs, Level 1 [Member] Quoted Prices in Active Markets for Identical Assets or Liabilities (Level 1) Level 1 Fair Value, Inputs, Level 2 [Member] Significant Other Observable Inputs (Level 2) Level 2 Fair Values Derivatives, Balance Sheet Location, by Derivative Contract Type [Table] Finite-Lived Intangible Assets, Major Class Name [Domain] Finite-Lived Intangible Assets, Amortization Expense, Year Five 2017 Finite-Lived Intangible Assets, Gross Gross Amount Finite-Lived Intangible Assets, Amortization Expense, Year Three 2015 Finite-Lived Intangible Assets, Net, Amortization Expense, Fiscal Year Maturity [Abstract] Estimated amortization expense for the deferred financing fees, trademarks, and other intangibles for each of the five succeeding years Finite-Lived Intangible Assets by Major Class [Axis] Finite-Lived Intangible Assets, Accumulated Amortization Accumulated Amortization Finite-Lived Intangible Assets, Amortization Expense, Next Twelve Months 2013 Finite-Lived Intangible Assets, Amortization Expense, Year Four 2016 Finite-Lived Intangible Assets, Amortization Expense, Year Two 2014 Finite-Lived Intangible Assets, Net Net Amount Fixed Income Funds [Member] Fixed income Funds Foreign Foreign Tax Authority [Member] Foreign Currency Transaction Gain (Loss), Unrealized Unrealized foreign currency loss (gain) Foreign currency contracts Foreign Exchange Contract [Member] Foreign currency contracts Foreign Currency Transaction Gain (Loss), before Tax Foreign exchange transaction (gain) loss Foreign Currency Transactions and Translations Policy [Policy Text Block] Foreign Currency Translation Foreign Currency Translation [Abstract] Foreign Currency Translation Gain (Loss) on Cash Flow Hedge Ineffectiveness, Net Expense related to ineffective portion Gain (Loss) on Sale of Property Plant Equipment (Gain) loss on disposal of fixed assets Goodwill Goodwill Balance at beginning of year Balance at end of year Goodwill Goodwill, Gross Goodwill Goodwill and Intangible Assets, Policy [Policy Text Block] Goodwill and Other Intangible Assets Goodwill, Translation Adjustments Increase in goodwill related to foreign currency translation Foreign currency translation adjustment Goodwill and Intangible Assets Disclosure [Text Block] GOODWILL AND OTHER INTANGIBLE ASSETS, NET Finalization of purchase accounting for prior year acquisition Goodwill, Purchase Accounting Adjustments Goodwill, Acquired During Period Goodwill acquired Goodwill [Roll Forward] Changes in the carrying amount of goodwill GOODWILL AND OTHER INTANGIBLE ASSETS, NET Goodwill, Period Increase (Decrease) Increase in goodwill as a result of acquisition Gross Profit Gross profit Gross profit Hedging Designation [Axis] Hedging Relationship [Domain] Hedging Designation [Domain] Incentive from Lessor Unamortized portion of cash abatements Income (Loss) from Continuing Operations before Equity Method Investments, Income Taxes, Extraordinary Items, Noncontrolling Interest [Abstract] Income before income tax expense Income (Loss) from Continuing Operations before Income Taxes, Foreign Foreign operations CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE INCOME Income Tax Disclosure [Text Block] INCOME TAXES INCOME TAXES Income Tax Authority [Axis] Income Tax Authority [Domain] Income (Loss) from Continuing Operations before Equity Method Investments, Income Taxes, Extraordinary Items, Noncontrolling Interest Income before income tax expense Income (Loss) from Continuing Operations before Income Taxes, Domestic U.S. operations Income Tax Examination, Penalties and Interest Expense Interest and penalties, net of deferred taxes Income Tax Expense (Benefit), Continuing Operations [Abstract] Income tax expense Income Tax Expense (Benefit) Income tax expense Income tax expense Income Tax Penalties and Interest [Abstract] Income tax penalties and interest Income Tax Examination, Penalties and Interest Accrued Accrued payment of interest and penalties Income Taxes Paid, Net Income taxes paid, net of refunds received Income Tax, Policy [Policy Text Block] Income Taxes Increase (Decrease) in Accounts Payable Accounts payable Increase (Decrease) in Other Current Assets Other current assets Increase (Decrease) in Other Current Liabilities Other current liabilities Increase (Decrease) in Accounts Receivable Customer receivables Increase (Decrease) in Other Noncurrent Assets and Liabilities, Net Other noncurrent assets and liabilities Increase (Decrease) in Operating Capital [Abstract] Changes in assets and liabilities: Increase (Decrease) in Inventories 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Actuarial (gain)/loss Other Other Nonoperating Income Other Liabilities, Current Other current liabilities Other current liabilities Other Nonoperating Income (Expense) Other (income) expense, net Other (income) expense, net Other Liabilities, Noncurrent Other noncurrent liabilities Other Liabilities Disclosure [Text Block] OTHER CURRENT LIABILITIES Other Sundry Liabilities, Current Other Other Postretirement Benefit Plans, Defined Benefit [Member] Other Benefits Other Comprehensive Income (Loss), Net of Tax, Portion Attributable to Parent [Abstract] Other comprehensive income (loss) Other Comprehensive Income (Loss), Net of Tax, Portion Attributable to Parent Net-of-Tax Amount Total other comprehensive income (loss) Other Comprehensive Income (Loss), Derivatives Qualifying as Hedges, Net of Tax, Portion Attributable to Parent Change in the fair value of interest rate swap contracts (net of income tax effect of $1,574 and $3,471 for the year ended 2011 and 2010 respectively) Change in 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(UNAUDITED) QUARTERLY RESULTS (UNAUDITED) Reportable Segment [Member] Reportable segments Range [Axis] Range [Domain] CUSTOMER RECEIVABLES, NET Reconciliation of Unrecognized Tax Benefits, Excluding Amounts Pertaining to Examined Tax Returns [Roll Forward] Summarizes the activity related to unrecognized tax benefits Repayments of Lines of Credit Repayment of revolving credit facilities Repayments of Long-term Debt Repayment of long-term debt Research and Development Expense Research and development expenses Research and Development Expense [Abstract] Research and Development Costs Research and Development Expense, Policy [Policy Text Block] Research and Development Costs Restricted Stock Units Restricted Stock Units (RSUs) [Member] Restricted Assets Disclosure [Text Block] RESTRICTED CASH Restricted Cash and Cash Equivalents Restricted cash to defer the payment of duties on imports into United Kingdom Restricted Stock [Member] Restricted stock awards Time-based restricted stock awards 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Additions Restructuring charges Restructuring Reserve, Settled with Cash Payments RESTRUCTURING CHARGES Restructuring Reserve [Roll Forward] Changes in the restructuring liability Restructuring Cost and Reserve [Line Items] Restructuring charges Restructuring Reserve, Accrual Adjustment Adjustments Restructuring Reserve Restructuring accrual Reserve balance at the end of the period Retained Earnings (Accumulated Deficit) Retained earnings Retained Earnings [Member] Retained Earnings Segment Reporting Information, Intersegment Revenue INTERSEGMENT SALES Revenues from External Customers and Long-Lived Assets [Line Items] Sales to clients attributed to the geographic areas based on the origin of sale Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range, Outstanding Options, Weighted Average Exercise Price Weighted Average Exercise Price (in dollars per share) Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range, 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[Table Text Block] Components of other income (expense) , net Schedule of Income before Income Tax, Domestic and Foreign [Table Text Block] Schedule of income before income tax expense Schedule of Net Funded Status [Table Text Block] Schedule of status of plans Schedule of Allocation of Plan Assets [Table Text Block] Schedule of pension plan investments measured at fair value Schedule of Share-based Payment Award, Stock Options, Valuation Assumptions [Table Text Block] Schedule of assumptions used in the Black Scholes option pricing model Schedule of Debt [Table Text Block] Schedule of long-term debt Schedule of Intangible Assets and Goodwill [Table Text Block] Schedule of the Company's other intangible assets Schedule of Inventory, Current [Table Text Block] Schedule of inventories Schedule of Effective Income Tax Rate Reconciliation [Table Text Block] Schedule of reconciliation of statutory federal income tax rate to the effective income tax rate Schedule of Expected Amortization Expense [Table Text Block] Schedule of estimated amortization expense based on the finite-lived intangible assets Schedule of Other Derivatives Not Designated as Hedging Instruments, Statements of Financial Performance and Financial Position, Location [Table Text Block] Effect of derivatives not designated as hedging instruments Schedule of Amounts Recognized in Balance Sheet [Table Text Block] Schedule of amounts related to the Company's pension plan recognized in consolidated balance sheet Schedule of Future Minimum Rental Payments for Operating Leases [Table Text Block] Schedule of future minimum rental payments required under operating leases Schedule of Quarterly Financial Information [Table Text Block] Schedule of selected unaudited consolidated statements of operations and comprehensive income data Schedule of Deferred Tax Assets and Liabilities [Table Text Block] Schedule of tax effects of temporary differences that give rise to the deferred tax assets and liabilities Schedule of Revenues from External Customers and Long-Lived Assets [Table] Schedule of Share-based Compensation, Restricted Stock and Restricted Stock Units Activity [Table Text Block] Schedule of restricted stock activity Schedule of Amounts Recognized in Other Comprehensive Income (Loss) [Table Text Block] Schedule of amounts related to the Company's pension plan recognized in other comprehensive income Schedule of Defined Benefit Plan Amounts Recognized in Other Comprehensive Income (Loss) [Table Text Block] Schedule of amounts related to other changes in the pension benefit obligation recognized in other comprehensive income Schedule of Weighted Average Number of Shares [Table Text Block] Reconciliation of number of shares used in the calculation of basic and diluted earnings (loss) per common share Schedule of Business Acquisitions, by Acquisition [Table] Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block] Schedule of components of accumulated other comprehensive income (loss) Schedule of Expected Benefit Payments [Table Text Block] Estimated future benefit payments under our pension and other postretirement plans Revenue from External Customers by Products and Services [Table Text Block] Schedule of Company's net sales by product category Revenue from External Customers by Products and Services [Table] Schedule of Revenue by Major Customers, by Reporting Segments [Table] Schedule of Defined Benefit Plans Disclosures [Table] Schedule of Goodwill [Table Text Block] Schedule of changes in the carrying amount of goodwill by reportable segment Schedule of Share-based Compensation, Shares Authorized under Stock Option Plans, by Exercise Price Range [Table Text Block] Schedule of stock options outstanding and exercisable by exercise price Schedule of Share-based Compensation, Shares Authorized under Stock Option Plans, by Exercise Price Range [Table] Schedule of Segment Reporting Information, by Segment [Table] Schedule of Share-based Compensation 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Options, Grants in Period, Weighted Average Exercise Price Granted (in dollars per share) Share-based Compensation Arrangements by Share-based Payment Award, Options, Expirations in Period, Weighted Average Exercise Price Expired (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Grants in Period Granted (in shares) Grants in period (in shares) Shares granted Share-based Compensation Arrangements by Share-based Payment Award, Options, Exercises in Period, Weighted Average Exercise Price Exercised (in dollars per share) Employee contribution as a percentage of eligible gross pay Share-based Compensation Arrangement by Share-based Payment Award, Maximum Employee Subscription Rate Share-based Compensation Arrangement by Share-based Payment Award, Options, Forfeitures and Expirations in Period, Weighted Average Exercise Price Forfeited (in dollars per share) Share-based Compensation Arrangement by Share-based 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Fair Value Weighted-average grant-date fair value of options granted (in dollars per share) Granted (in dollars per share) Grant-date fair value of options granted (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercises in Period, Total Intrinsic Value Exercised Total intrinsic value of options exercised Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercisable, Number Exercisable at end of year (in shares) Shares available for issuance Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Available for Grant Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding [Roll Forward] Number of Options Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Authorized Shares authorized for issuance Share-based Compensation Arrangement by Share-based Payment Award, Fair Value Assumptions and Methodology [Abstract] Assumptions used in the Black Scholes option pricing model Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Net of Forfeitures Granted (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Options, Forfeitures and Expirations in Period Forfeited (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Options, Forfeitures in Period Forfeited (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Grant Date Intrinsic Value Granted Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range, Number of Exercisable Options Number of Options (in shares) Exercise Price Range [Axis] Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range [Line Items] Stock options outstanding and exercisable Share-based Compensation Arrangement by Share-based Payment Award, Shares Purchased for Award Shares purchased by employee Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range [Domain] Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Weighted Average Exercise Price Outstanding at beginning of year (in dollars per share) Outstanding at end of year (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Intrinsic Value Outstanding at end of year Outstanding at beginning of year Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range, Number of Outstanding Options Number of Options (in shares) Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range, Lower Range Limit Range of exercise prices, low end of range (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Number Outstanding at beginning of year (in shares) Outstanding at end of year (in shares) Award Type [Domain] Share-based Compensation, Option and Incentive Plans Policy [Policy Text Block] Stock-Based Compensation Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range, Upper Range Limit Range of exercise prices, high end of range (in dollars per share) Shipping and Handling Cost, Policy [Policy Text Block] Shipping and Handling Significant Accounting Policies [Text Block] SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES Statement [Table] Scenario [Axis] Statement [Line Items] Statement Accumulated Other Comprehensive Income (Loss) CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY CONSOLIDATED STATEMENTS OF CASH FLOWS Business Segments [Axis] Equity Components [Axis] CONSOLIDATED BALANCE SHEETS Geographical [Axis] Stock Issued During Period, Value, Stock Options Exercised Exercise of stock options (93,839, 878,658 and 790,596 shares for the year ended 2012, 2011 and 2010 respectively) Exercise of stock options Stock Issued During Period, Shares, Share-based Compensation, Forfeited Stock-based compensation, forfeitures Stock Issued During Period, Shares, Share-based Compensation, Net of Forfeitures Shares issued under stock incentive plan Stock Repurchased During Period, Value Purchase of common stock (310,252, 768,780 and 869,065 shares for the year ended 2012, 2011 and 2010 respectively) Stock Issued During Period, Value, Share-based Compensation, Net of Forfeitures Shares issued under stock incentive plan (315,030, 762,004 and 50,446 shares for the year ended 2012, 2011 and 2010 respectively) Stock Repurchased During Period, Shares Purchase of common stock, shares Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercises in Period Exercised (in shares) Exercised (in shares) Exercise of stock options, shares Stock Issued During Period, Value, Employee Stock Purchase Plan Shares issued under employee stock purchase plan (2,567 and 3,251 shares for the year ended 2011 and 2010 respectively) Stock Issued During Period, Shares, Employee Stock Purchase Plans Shares issued under employee stock purchase plan Stockholders' Equity Attributable to Parent [Abstract] Stockholders' equity: Stockholders' Equity Attributable to Parent Total stockholders' equity Balance Balance STOCKHOLDERS' EQUITY Stockholders' Equity Note Disclosure [Text Block] Stockholders' Equity, Period Increase (Decrease) Subsequent Events [Text Block] SUBSEQUENT EVENTS SUBSEQUENT EVENTS Subsequent Event Type [Domain] Subsequent Event [Line Items] Subsequent event SUBSEQUENT EVENTS Subsequent Event Type [Axis] Subsequent Event [Table] Subsequent Event [Member] Subsequent Event Subsequent events Summary of Income Tax Contingencies [Table Text Block] Summarizes the activity related to the entity's unrecognized tax benefits Title of Individual with Relationship to Entity [Domain] Trademarks [Member] Trademarks Treasury Stock, Shares Treasury shares Type of Restructuring [Domain] Unionized Employees Concentration Risk [Member] Unionized employees concentration risk United States Pension Plans of US Entity, Defined Benefit [Member] Pension Benefits Unrealized Gain (Loss) on Derivatives Unrealized loss on derivatives Unrecognized Tax Benefits, Increases Resulting from Current Period Tax Positions Additions for tax positions related to the current year Unrecognized Tax Benefits Balance, beginning of the year Balance, end of the year Unrecognized Tax Benefits, Reductions Resulting from Lapse of Applicable Statute of Limitations Lapse of statute of limitations Unrecognized Tax Benefits, Decreases Resulting from Settlements with Taxing Authorities Settlements with taxing authorities Unrecognized Tax Benefits, Increases Resulting from Prior Period Tax Positions Additions for tax positions related to the prior year Unrecognized Tax Benefits, Decreases Resulting from Prior Period Tax Positions Decreases for tax positions related to the prior year Unrecognized Tax Benefits that Would Impact Effective Tax Rate Unrecognized tax benefits, which would reduce the effective tax rate if recognized Use of Estimates, Policy [Policy Text Block] Use of Estimates Valuation and Qualifying Accounts Disclosure [Table] Valuation Allowance, Deferred Tax Asset, Change in Amount Increase in valuation allowance to recognize the benefits associated with net operating loss carry forwards Valuation Allowances and Reserves [Domain] Valuation Allowances and Reserves, Adjustments Other Valuation Allowances and Reserves, Charged to Cost and Expense Additions Charged to Expenses Valuation Allowances and Reserves, Balance Balance at Beginning of Year Balance at End of Year Valuation Allowances and Reserves, Deductions Charge-Offs Valuation Allowance of Deferred Tax Assets [Member] Valuation allowance for deferred income tax assets SCHEDULE II VALUATION AND QUALIFYING ACCOUNTS Valuation and Qualifying Accounts Disclosure [Line Items] VALUATION AND QUALIFYING ACCOUNTS Valuation Allowances and Reserves Type [Axis] Weighted Average Number of Shares Outstanding, Diluted [Abstract] Weighted-average shares of common stock outstanding: Weighted Average Number of Shares Outstanding, Basic Basic (in shares) Weighted-average shares of common stock outstanding - basic Weighted Average Number of Shares Outstanding, Diluted Diluted (in shares) Weighted average shares outstanding - diluted Workforce Subject to Collective Bargaining Arrangements [Member] Workforce subject to collective bargaining arrangements Write off of Deferred Debt Issuance Cost Write off of deferred financing fees Write off of deferred financing fees Write-off of deferred financing fees Document and Entity Information Deferred financing fees and other intangibles Deferred Financing Fees and Other Intangible Assets [Member] Represents deferred financing fees and other intangible assets. Represents the 2010 Stock Incentive Plan adopted by entity. 2010 Stock Incentive Plan Stock Incentive Plan 2010 [Member] Commitments and Contingencies Commitments and Contingencies, Policy [Policy Text Block] Warranty Standard Product Warranty, Policy [Policy Text Block] Various Intangible Assets [Member] Various Represents information pertaining to various intangible assets. Share Based Compensation Arrangement by Share Based Payment Award Vesting on Third Anniversary of Grant Date Awards vesting on third anniversary of the grant date (in shares) Represents the awards vesting on the third anniversary of the date of grant. Vesting On Third Anniversary [Member] Third Anniversary 'Information for awards that may vest on the third anniversary. 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MB)]WB?-XC_OXCP-YD`MY4$R9BS^$D1LM9U!$C`]YDSOYDT,YD.]XE%-YE5NY M<$[YE6OYEG,YL95'EG=YF(OYF`N0+P`#-I-YFJOYF@-3(GP9F\-YG,LYCQ"$ M(Q`6F,]YGNOYGD^$(_@"FO-YH`OZH%<$)+PYH2-ZHBOZ/A@ZH"_ZHT-ZFA,$ C)/P>>:1;^J6G>23<.:9S>J=;>:,WI*>+^JB'M:4Q>D```#L_ ` end XML 21 R39.htm IDEA: XBRL DOCUMENT v2.4.0.6
STOCKHOLDERS' EQUITY (Tables)
12 Months Ended
Dec. 31, 2012
STOCKHOLDERS' EQUITY  
Schedule of components of accumulated other comprehensive income (loss)

 The components of accumulated other comprehensive income (loss) are as follows (in thousands):

 
  Beginning
Balance
  Before-Tax
Amount
  Tax Benefit
(Expense)
  Net-of-Tax
Amount
  Ending
Balance
 

December 31, 2010

                               

Pension and other post-retirement liability adjustment

  $ (24,420 ) $ 4,315   $ (2,056 ) $ 2,259   $ (22,161 )

Foreign currency translation adjustment

    21,937     (315 )       (315 )   21,622  

Change in the fair value of interest rate swap contracts

    (7,744 )   8,593     (3,471 )   5,122     (2,622 )
                       

Accumulated other comprehensive income (loss)

  $ (10,227 ) $ 12,593   $ (5,527 ) $ 7,066   $ (3,161 )
                       

December 31, 2011

                               

Pension and other post-retirement liability adjustment

  $ (22,161 ) $ (18,678 ) $ 7,239   $ (11,439 ) $ (33,600 )

Foreign currency translation adjustment

    21,622     (2,525 )       (2,525 )   19,097  

Change in the fair value of interest rate swap contracts

    (2,622 )   4,196     (1,574 )   2,622      
                       

Accumulated other comprehensive income (loss)

  $ (3,161 ) $ (17,007 ) $ 5,665   $ (11,342 ) $ (14,503 )
                       

December 31, 2012

                               

Pension and other post-retirement liability adjustment

  $ (33,600 ) $ (20,165 ) $ 7,807   $ (12,358 ) $ (45,958 )

Foreign currency translation adjustment

    19,097     1,981         1,981     21,078  
                       

Accumulated other comprehensive income (loss)

  $ (14,503 ) $ (18,184 ) $ 7,807   $ (10,377 ) $ (24,880 )
                       

XML 22 R54.htm IDEA: XBRL DOCUMENT v2.4.0.6
INVENTORIES (Details) (USD $)
Dec. 31, 2012
Dec. 31, 2011
INVENTORIES    
Raw materials $ 50,159,000 $ 46,399,000
Work in process 7,626,000 6,926,000
Finished goods 40,410,000 35,919,000
Inventories, Net 98,195,000 89,244,000
Inventory reserves for obsolescence and other estimated losses $ 6,900,000 $ 7,700,000
XML 23 R48.htm IDEA: XBRL DOCUMENT v2.4.0.6
QUARTERLY RESULTS (UNAUDITED) (Tables)
12 Months Ended
Dec. 31, 2012
QUARTERLY RESULTS (UNAUDITED)  
Schedule of selected unaudited consolidated statements of operations and comprehensive income data

 

 

 
  First
Quarter
  Second
Quarter
  Third
Quarter
  Fourth
Quarter
  Fiscal
Year
 
 
  (in thousands, except per share data)
 

2012

                               

Sales

  $ 196,662   $ 221,018   $ 219,794   $ 250,026   $ 887,499 (1)

Gross Profit

    63,053     74,407     74,216     82,675     294,350 (1)

Net Income

    7,257     13,055     12,197     17,492     50,001  

Earning per shares—Basic

  $ 0.16   $ 0.28   $ 0.26   $ 0.37   $ 1.07  

Earnings per share—Diluted

  $ 0.15   $ 0.28   $ 0.26   $ 0.37   $ 1.06  

2011

                               

Sales

  $ 220,858   $ 238,650   $ 239,543   $ 223,148   $ 922,200 (1)

Gross Profit

    68,401     76,493     78,851     70,650     294,397 (1)

Net Income

    9,202     12,975     18,389     17,443     58,011 (1)

Earning per shares—Basic

  $ 0.20   $ 0.28   $ 0.40   $ 0.38   $ 1.25 (1)

Earnings per share—Diluted

  $ 0.20   $ 0.28   $ 0.39   $ 0.37   $ 1.24  

(1)
Results do not add due to rounding.
XML 24 R70.htm IDEA: XBRL DOCUMENT v2.4.0.6
STOCK PLANS (Details) (USD $)
In Millions, except Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2012
item
Dec. 31, 2012
Stock options
Dec. 31, 2012
Stock options
Key employees
Dec. 31, 2009
Stock options
Key employees
Dec. 31, 2007
2007 Performance-based restricted stock awards
Key employees
Dec. 31, 2008
2008 Performance-based restricted stock awards
Key employees
One-fifth Per Year
Dec. 31, 2012
2008 Performance-based restricted stock awards
Key employees
Initial performance-based award vesting
One-fifth Per Year
Dec. 31, 2012
2008 Performance-based restricted stock awards
Key employees
Incremental performance-based award vesting
One-fifth Per Year
Dec. 31, 2012
2008 Performance-based restricted stock awards
Key employees
Performance-based award full vesting
Dec. 31, 2012
Time-based and performance-based restricted stock awards
Dec. 31, 2011
Time-based and performance-based restricted stock awards
Dec. 31, 2012
Time-based and performance-based restricted stock awards
One-third Per Year
Dec. 31, 2008
Time-based and performance-based restricted stock awards
Key employees
Dec. 31, 2012
Time-based restricted stock awards
One-third Per Year
Dec. 31, 2011
Time-based restricted stock awards
One-third Per Year
Dec. 31, 2010
Time-based restricted stock awards
Board of Directors
Dec. 31, 2009
Time-based restricted stock awards
Board of Directors
Dec. 31, 2010
Time-based restricted stock awards
Key employees
Dec. 31, 2009
Time-based restricted stock awards
Key employees
Dec. 31, 2008
Time-based restricted stock awards
Key employees
One-third Per Year
Dec. 31, 2008
Time-based restricted stock awards
Key employees
One-fifth Per Year
Dec. 31, 2011
2011 Performance-based restricted stock awards
One-third Per Year
Dec. 31, 2011
2011 Performance-based restricted stock awards
Initial performance-based award vesting
One-third Per Year
Dec. 31, 2011
2011 Performance-based restricted stock awards
Incremental performance-based award vesting
One-third Per Year
Dec. 31, 2012
Restricted Stock Units
Dec. 31, 2012
Restricted Stock Units
Key employees
Dec. 31, 2012
Restricted Stock Units
Key employees
Third Anniversary
Dec. 31, 2012
Restricted Stock Units
Key employees
One-sixth Per Year
Dec. 31, 2011
2007 Stock Incentive Plan
May 31, 2007
2007 Stock Incentive Plan
Dec. 31, 2011
2010 Stock Incentive Plan
May 31, 2010
2010 Stock Incentive Plan
Stock Plans                                                                
Number of Stock Incentive Plans 2                                                              
Shares authorized for issuance                                                           2,000,000   2,000,000
Shares available for issuance                                                         25,857   1,632,662  
Period over which options vest (in years)   5 years 5 years 4 years               3 years   3 years 3 years 3 years 3 years 3 years 4 years 3 years               6 years        
Amount of operating profit for vesting of shares             $ 156.0 $ 15.0 $ 216.0                           $ 77.0 $ 92.0                
Grants in period (in shares)         360,000 66,000       315,030 762,004 22,530 992,117 315,030 14,004 25,446 40,818 25,000 935,000 26,117 900,000 748,000     110,000 110,000 20,000 90,000        
Awards vesting on third anniversary of the grant date (in shares)                   292,500                                            
Percent of awards or options that vest each year             20.00% 20.00%       33.00%   33.00% 33.00% 33.00% 33.00% 33.00%   33.00% 20.00%   33.00% 33.00%       17.00%        
XML 25 R55.htm IDEA: XBRL DOCUMENT v2.4.0.6
PROPERTY, PLANT, AND EQUIPMENT (Details) (USD $)
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
PROPERTY, PLANT, AND EQUIPMENT      
Property, plant and equipment $ 378,392,000 $ 367,218,000  
Accumulated depreciation (253,554,000) (245,426,000)  
Property, plant and equipment, net 124,838,000 121,792,000 122,219,000
Computer software costs included in construction in progress 4,700,000 2,600,000  
Land and buildings
     
PROPERTY, PLANT, AND EQUIPMENT      
Property, plant and equipment 108,841,000 106,891,000  
Machinery and equipment
     
PROPERTY, PLANT, AND EQUIPMENT      
Property, plant and equipment 257,665,000 248,704,000  
Construction in progress
     
PROPERTY, PLANT, AND EQUIPMENT      
Property, plant and equipment $ 11,886,000 $ 11,623,000  
XML 26 R78.htm IDEA: XBRL DOCUMENT v2.4.0.6
SEGMENT AND GEOGRAPHIC REGION INFORMATION (Details 4) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Sales to major customers                      
Net sales $ 250,026 $ 219,794 $ 221,018 $ 196,662 $ 223,148 $ 239,543 $ 238,650 $ 220,858 $ 887,499 $ 922,200 $ 809,467
U.S., state and local governmental agencies
                     
Sales to major customers                      
Net sales                 $ 143,700 $ 180,100 $ 189,500
XML 27 R46.htm IDEA: XBRL DOCUMENT v2.4.0.6
SEGMENT AND GEOGRAPHIC REGION INFORMATION (Tables)
12 Months Ended
Dec. 31, 2012
SEGMENT AND GEOGRAPHIC REGION INFORMATION  
Schedule of certain financial information related to segments

The following information below categorizes certain financial information into the above noted segments for the years ended December 31, 2012, 2011, and 2010 (in thousands)

 
  2012   2011   2010  

SALES

                   

Office

  $ 633,321   $ 664,132   $ 562,304  

Studio

    147,550     152,724     151,917  

Coverings

    106,628     105,344     95,246  
               

Knoll, Inc

  $ 887,499   $ 922,200   $ 809,467  
               

INTERSEGMENT SALES(1)

                   

Office

  $ 1,727   $ 2,148   $ 2,113  

Studio

    5,299     5,953     5,845  

Coverings

    9,591     9,780     9,775  
               

Knoll, Inc

  $ 16,617   $ 17,881   $ 17,733  
               

DEPRECIATION AND AMORTIZATION

                   

Office

  $ 13,409   $ 14,259   $ 15,995  

Studio

    2,055     2,124     1,897  

Coverings

    1,083     1,355     1,569  
               

Knoll, Inc

  $ 16,547   $ 17,738   $ 19,461  
               

OPERATING PROFIT

                   

Office

  $ 48,639   $ 46,614   $ 32,628  

Studio

    21,786     23,022     20,880  

Coverings

    17,476     22,686     18,381  
               

Subtotal

    87,901     92,322     71,889  

Restructuring and other charges—primarily Office

        696     7,565  

Curtailment benefit

        5,445     338  
               

Knoll, Inc.(2)

  $ 87,901   $ 97,071   $ 64,662  
               

CAPITAL EXPENDITURES, NET

                   

Office

  $ 14,251   $ 14,142   $ 7,072  

Studio

    1,871     1,009     958  

Coverings

    423     24     282  
               

Knoll, Inc

    16,545     15,175     8,312  
               

(1)
Intersegment sales are presented on a cost plus basis which takes into consideration the effect of transfer prices between legal entities.

(2)
The Company does not allocate interest expense or other (income) expense, net to the reportable segments.
Schedule of Company's net sales by product category

 

 

 
  Year Ended December 31,  
 
  2012   2011   2010  
 
  (in thousands)
 

Office Systems

  $ 424,405   $ 440,395   $ 353,536  

Seating

    102,523     112,098     112,305  

Files and Storage

    77,695     85,404     72,475  

Studio

    147,550     152,724     151,917  

Coverings

    106,628     105,344     95,246  

Other

    28,698     26,235     23,988  
               

Total

  $ 887,499   $ 922,200   $ 809,467  
               
Schedule of information about the geographical areas in which the Company operates

 

 

 
  United
States
  Canada   Europe   Consolidated  
 
  (in thousands)
 

2012

                         

Sales to clients

  $ 774,654   $ 40,669   $ 72,176   $ 887,499  

Property, plant, and equipment, net

    80,953     29,064     14,821     124,838  

2011

                         

Sales to clients

  $ 797,834   $ 44,225   $ 80,141   $ 922,200  

Property, plant, and equipment, net

    77,230     29,110     15,452     121,792  

2010

                         

Sales to clients

  $ 688,914   $ 34,267   $ 86,286   $ 809,467  

Property, plant, and equipment, net

    75,228     31,435     15,556     122,219  
XML 28 R33.htm IDEA: XBRL DOCUMENT v2.4.0.6
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (Tables)
12 Months Ended
Dec. 31, 2012
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES  
Reconciliation of number of shares used in the calculation of basic and diluted earnings (loss) per common share

 

 

 
  December 31,  
 
  2012   2011   2010  
 
  (in thousands)
 

Weighted-average shares of common stock outstanding—basic

    46,635     46,250     45,600  

Potentially dilutive shares resulting from stock plans

    424     586     371  
               

Weighted-average common shares—diluted

    47,059     46,836     45,971  
               

Antidilutive equity awards not included in weighted average common shares-diluted

    596     164     1,701  
               
XML 29 R79.htm IDEA: XBRL DOCUMENT v2.4.0.6
OTHER INCOME (EXPENSE), NET (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Mar. 31, 2012
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
OTHER (INCOME) EXPENSE, NET        
Foreign exchange transaction (gain) loss   $ 2,834 $ (2,669) $ 5,525
Unrealized loss on derivatives       1,177
Write-off of deferred financing fees 500 477    
Other   (96) 1,161 (323)
Other (income) expense, net   $ 3,215 $ (1,508) $ 6,379
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STOCK PLANS (Details 4) (USD $)
In Millions, except Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Assumptions used in the Black Scholes option pricing model      
Expected volatility (as a percent) 51.00%    
Expected dividend yield (as a percent) 2.50%    
Expected term 6 years    
Risk-free rate (as a percent) 1.36%    
Exercise price (in dollars per share) $ 15.98    
Stock options
     
Stock Plans      
Grant-date fair value of options granted (in dollars per share) $ 6.26    
Assumptions used in the Black Scholes option pricing model      
Total fair value of options vested $ 1.0 $ 1.4 $ 1.5
Non-vested Stock Options      
Nonvested at beginning of year (in shares) 478,000    
Granted (in shares) 20,000    
Vested (in shares) (234,000)    
Forfeited (in shares) (20,000)    
Nonvested at end of year (in shares) 244,000 478,000  
Weighted Average Grant-Date Fair Value      
Nonvested at beginning of year (in dollars per share) $ 4.26    
Granted (in dollars per share) $ 6.26    
Vested (in dollars per share) $ 4.24    
Forfeited (in dollars per share) $ 4.32    
Nonvested at end of year (in dollars per share) $ 4.43 $ 4.26  
XML 32 R57.htm IDEA: XBRL DOCUMENT v2.4.0.6
OTHER CURRENT LIABILITIES (Details) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
OTHER CURRENT LIABILITIES    
Accrued employee compensation $ 33,974 $ 36,213
Accrued pension costs 20,645 16,875
Customer deposits 5,899 6,518
Warranty 7,852 8,146
Other 17,648 16,927
Other current liabilities $ 86,018 $ 84,679
XML 33 R76.htm IDEA: XBRL DOCUMENT v2.4.0.6
SEGMENT AND GEOGRAPHIC REGION INFORMATION (Details 2) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2012
item
Dec. 31, 2011
Dec. 31, 2010
SEGMENT AND GEOGRAPHIC REGION INFORMATION                      
Number of reportable segments                 3    
Net sales by product category                      
Net sales $ 250,026 $ 219,794 $ 221,018 $ 196,662 $ 223,148 $ 239,543 $ 238,650 $ 220,858 $ 887,499 $ 922,200 $ 809,467
Office Systems
                     
Net sales by product category                      
Net sales                 424,405 440,395 353,536
Seating
                     
Net sales by product category                      
Net sales                 102,523 112,098 112,305
Files and Storage
                     
Net sales by product category                      
Net sales                 77,695 85,404 72,475
Studio
                     
Net sales by product category                      
Net sales                 147,550 152,724 151,917
Coverings
                     
Net sales by product category                      
Net sales                 106,628 105,344 95,246
Other
                     
Net sales by product category                      
Net sales                 $ 28,698 $ 26,235 $ 23,988
XML 34 R81.htm IDEA: XBRL DOCUMENT v2.4.0.6
QUARTERLY RESULTS (UNAUDITED) (Details) (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
QUARTERLY RESULTS (UNAUDITED)                      
Sales $ 250,026 $ 219,794 $ 221,018 $ 196,662 $ 223,148 $ 239,543 $ 238,650 $ 220,858 $ 887,499 $ 922,200 $ 809,467
Gross profit 82,675 74,216 74,407 63,053 70,650 78,851 76,493 68,401 294,350 294,397 264,349
Net Income $ 17,492 $ 12,197 $ 13,055 $ 7,257 $ 17,443 $ 18,389 $ 12,975 $ 9,202 $ 50,001 $ 58,011 $ 28,024
Earnings per share - Basic $ 0.37 $ 0.26 $ 0.28 $ 0.16 $ 0.38 $ 0.40 $ 0.28 $ 0.20 $ 1.07 $ 1.25 $ 0.61
Earnings per share - Diluted $ 0.37 $ 0.26 $ 0.28 $ 0.15 $ 0.37 $ 0.39 $ 0.28 $ 0.20 $ 1.06 $ 1.24 $ 0.61
XML 35 R77.htm IDEA: XBRL DOCUMENT v2.4.0.6
SEGMENT AND GEOGRAPHIC REGION INFORMATION (Details 3) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Sales to clients attributed to the geographic areas based on the origin of sale                      
Sales to clients $ 250,026 $ 219,794 $ 221,018 $ 196,662 $ 223,148 $ 239,543 $ 238,650 $ 220,858 $ 887,499 $ 922,200 $ 809,467
Property, plant, and equipment, net 124,838       121,792       124,838 121,792 122,219
United States
                     
Sales to clients attributed to the geographic areas based on the origin of sale                      
Sales to clients                 774,654 797,834 688,914
Property, plant, and equipment, net 80,953       77,230       80,953 77,230 75,228
Canada
                     
Sales to clients attributed to the geographic areas based on the origin of sale                      
Sales to clients                 40,669 44,225 34,267
Property, plant, and equipment, net 29,064       29,110       29,064 29,110 31,435
Europe
                     
Sales to clients attributed to the geographic areas based on the origin of sale                      
Sales to clients                 72,176 80,141 86,286
Property, plant, and equipment, net $ 14,821       $ 15,452       $ 14,821 $ 15,452 $ 15,556
XML 36 R71.htm IDEA: XBRL DOCUMENT v2.4.0.6
STOCK PLANS (Details 2) (USD $)
In Thousands, except Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2012
Stock options
Dec. 31, 2011
Stock options
Dec. 31, 2010
Stock options
Dec. 31, 2012
Stock options
Key employees
Dec. 31, 2009
Stock options
Key employees
Dec. 31, 2012
Restricted stock
Dec. 31, 2011
Restricted stock
Dec. 31, 2008
Restricted stock
Key employees
Dec. 31, 2012
Restricted Stock Units
Dec. 31, 2012
Restricted Stock Units
Key employees
Number of Restricted Shares Granted                          
Outstanding at beginning of year (in shares)                 1,386,552        
Granted (in shares)                 315,030 762,004 992,117 110,000 110,000
Forfeited (in shares)                 (10,166)        
Vested (in shares)                 (625,427)        
Outstanding at end of year (in shares)                 1,386,552 1,386,552      
Weighted Average Fair Value                          
Outstanding at beginning of year (in dollars per share)                 $ 18.69        
Granted (in dollars per share) $ 15.98               $ 15.98     $ 14.04  
Forfeited (in dollars per share)                 $ 18.91        
Vested (in dollars per share)                 $ 18.89        
Outstanding at end of year (in dollars per share)                 $ 17.77 $ 18.69      
Number of Options                          
Outstanding at beginning of year (in shares)       1,540,193 2,505,101 3,407,761              
Granted (in shares)       20,000     20,000 935,000          
Exercised (in shares) (93,839) (878,658) (790,596) (93,839) (878,658) (790,596)              
Expired (in shares)       (37,070)                  
Forfeited (in shares)       (65,000) (86,250) (112,064)              
Outstanding at end of year (in shares)       1,364,284 1,540,193 2,505,101              
Exercisable at end of year (in shares)       1,120,284 1,062,193 1,683,101              
Weighted Average Exercise Price                          
Outstanding at beginning of year (in dollars per share)       $ 13.83 $ 14.22 $ 13.75              
Exercised (in dollars per share)       $ 11.09 $ 14.97 $ 12.20              
Granted (in dollars per share)       $ 15.98                  
Expired (in dollars per share)       $ 16.34                  
Forfeited (in dollars per share)       $ 16.76 $ 13.54 $ 14.20              
Outstanding at end of year (in dollars per share)       $ 13.84 $ 13.83 $ 14.22              
Exercisable at end of year (in dollars per share)       $ 14.46 $ 15.28 $ 15.67              
Weighted Average Remaining Contractual Term                          
Outstanding at end of year       3 years 6 months 11 days 4 years 4 months 6 days 4 years 5 months 19 days              
Exercisable at end of year       3 years 4 months 2 days 4 years 22 days 3 years 8 months 19 days              
Aggregate Intrinsic Value                          
Outstanding at beginning of year       $ 3,631,381 $ 7,742,565                
Exercised       426,278 4,731,919 905,051              
Expired       37,070                  
Forfeited       76,425 565,800 35,192              
Outstanding at end of year       3,686,098 3,631,381 7,742,565              
Exercisable at end of year       $ 2,608,058 $ 1,597,081 $ 2,961,443              
Vesting period       5 years     5 years 4 years          
Contractual life             10 years 7 years          
Weighted-average grant-date fair value of options granted (in dollars per share)       $ 6.26     $ 6.26            
XML 37 R25.htm IDEA: XBRL DOCUMENT v2.4.0.6
SEGMENT AND GEOGRAPHIC REGION INFORMATION
12 Months Ended
Dec. 31, 2012
SEGMENT AND GEOGRAPHIC REGION INFORMATION  
SEGMENT AND GEOGRAPHIC REGION INFORMATION

18. SEGMENT AND GEOGRAPHIC REGION INFORMATION

        Accounting Standards Codification 280, Segment Reporting, defines that a segment for reporting purposes is based on the financial performance measures that are regularly reviewed by the "Chief Operating Decision Maker" to assess segment performance and to make decisions about a public entity's allocation of resources. Based on this guidance, the Company reports its segment results based on the following reportable segments: (i) Office; (ii) Studio; and (iii) Coverings. The Office segment serves corporate, government, healthcare, retail and other customers in the United States and Canada providing a portfolio of office furnishing solutions including systems, seating, storage, and KnollExtra ergonomic accessories, and other products. The Studio segment includes KnollStudio®, Knoll Europe which sells primarily KnollStudio® products, and Richard Schultz® Design. The KnollStudio® portfolio includes a range of lounge seating; side, café and dining chairs; barstools; and conference, dining and occasional tables. Richard Schultz® Design provides high quality outdoor furniture. The Coverings segment includes, KnollTextiles®, Spinneybeck®, Edelman®Leather and FilzfeltTM. These businesses serve a wide range of customers offering high quality textiles, felt, and leather.

        The following information below categorizes certain financial information into the above noted segments for the years ended December 31, 2012, 2011, and 2010 (in thousands)

 
  2012   2011   2010  

SALES

                   

Office

  $ 633,321   $ 664,132   $ 562,304  

Studio

    147,550     152,724     151,917  

Coverings

    106,628     105,344     95,246  
               

Knoll, Inc

  $ 887,499   $ 922,200   $ 809,467  
               

INTERSEGMENT SALES(1)

                   

Office

  $ 1,727   $ 2,148   $ 2,113  

Studio

    5,299     5,953     5,845  

Coverings

    9,591     9,780     9,775  
               

Knoll, Inc

  $ 16,617   $ 17,881   $ 17,733  
               

DEPRECIATION AND AMORTIZATION

                   

Office

  $ 13,409   $ 14,259   $ 15,995  

Studio

    2,055     2,124     1,897  

Coverings

    1,083     1,355     1,569  
               

Knoll, Inc

  $ 16,547   $ 17,738   $ 19,461  
               

OPERATING PROFIT

                   

Office

  $ 48,639   $ 46,614   $ 32,628  

Studio

    21,786     23,022     20,880  

Coverings

    17,476     22,686     18,381  
               

Subtotal

    87,901     92,322     71,889  

Restructuring and other charges—primarily Office

        696     7,565  

Curtailment benefit

        5,445     338  
               

Knoll, Inc.(2)

  $ 87,901   $ 97,071   $ 64,662  
               

CAPITAL EXPENDITURES, NET

                   

Office

  $ 14,251   $ 14,142   $ 7,072  

Studio

    1,871     1,009     958  

Coverings

    423     24     282  
               

Knoll, Inc

    16,545     15,175     8,312  
               

(1)
Intersegment sales are presented on a cost plus basis which takes into consideration the effect of transfer prices between legal entities.

(2)
The Company does not allocate interest expense or other (income) expense, net to the reportable segments.

        Many of the Company's facilities manufacture products for all three reporting segments. Therefore, it is impractical to disclose asset information on a segment basis.

        The Company's net sales by product category were as follows:

 
  Year Ended December 31,  
 
  2012   2011   2010  
 
  (in thousands)
 

Office Systems

  $ 424,405   $ 440,395   $ 353,536  

Seating

    102,523     112,098     112,305  

Files and Storage

    77,695     85,404     72,475  

Studio

    147,550     152,724     151,917  

Coverings

    106,628     105,344     95,246  

Other

    28,698     26,235     23,988  
               

Total

  $ 887,499   $ 922,200   $ 809,467  
               

        The Company markets its products in the United States and internationally, with its principal international markets being Canada and Europe. The table below contains information about the geographical areas in which the Company operates. Sales to clients are attributed to the geographic areas based on the origin of sale.

 
  United
States
  Canada   Europe   Consolidated  
 
  (in thousands)
 

2012

                         

Sales to clients

  $ 774,654   $ 40,669   $ 72,176   $ 887,499  

Property, plant, and equipment, net

    80,953     29,064     14,821     124,838  

2011

                         

Sales to clients

  $ 797,834   $ 44,225   $ 80,141   $ 922,200  

Property, plant, and equipment, net

    77,230     29,110     15,452     121,792  

2010

                         

Sales to clients

  $ 688,914   $ 34,267   $ 86,286   $ 809,467  

Property, plant, and equipment, net

    75,228     31,435     15,556     122,219  

        A number of U.S., state and local governmental agencies purchase the Company's products, primarily from the Office segment. Sales to these entities and agencies amounted to approximately $143.7 million in 2012, $180.1 million in 2011, and $189.5 million in 2010.

XML 38 R50.htm IDEA: XBRL DOCUMENT v2.4.0.6
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (Details 2)
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Earnings per Share      
Weighted-average shares of common stock outstanding - basic 46,634,834 46,249,571 45,600,043
Potentially dilutive shares resulting from stock plans 424,000 586,000 371,000
Weighted average shares outstanding - diluted 47,059,186 46,835,712 45,970,680
Antidilutive equity awards not included in weighted average common shares-diluted 596,000 164,000 1,701,000
XML 39 R42.htm IDEA: XBRL DOCUMENT v2.4.0.6
INCOME TAXES (Tables)
12 Months Ended
Dec. 31, 2012
INCOME TAXES  
Schedule of income before income tax expense

 

 

 
  2012   2011   2010  
 
  (in thousands)
 

U.S. operations

  $ 59,478   $ 67,379   $ 32,123  

Foreign operations

    18,858     21,447     8,724  
               

Total

  $ 78,336   $ 88,826   $ 40,847  
               
Schedule of income tax expense

 

 

 
  2012   2011   2010  
 
  (in thousands)
 

Current:

                   

Federal

  $ 16,766   $ 16,794   $ 1,488  

State

    3,240     3,561     1,426  

Foreign

    3,936     7,900     2,834  
               

Total current:

    23,942     28,255     5,748  

Deferred

                   

Federal

  $ 2,934   $ 4,087   $ 7,044  

State

    608     695     420  

Foreign

    851     (2,222 )   (389 )
               

Total deferred

    4,393     2,560     7,075  
               

Income tax expense

  $ 28,335   $ 30,815   $ 12,823  
               
Schedule of tax effects of temporary differences that give rise to the deferred tax assets and liabilities

 

 

 
  December 31,
2012
  December 31,
2011
 
 
  (in thousands)
 

Deferred tax assets

             

Accounts receivable, principally due to allowance for doubtful accounts

  $ 1,986   $ 1,514  

Inventories

    3,340     2,762  

Net operating loss carryforwards

    8,433     8,888  

Accrued pension

    31,544     26,924  

Stock-based compensation

    4,966     7,343  

Compensation-related accruals

    3,209     3,103  

Warranty

    2,781     3,459  

Obligation for postretirement benefits other than pension

    4,187     4,467  

Accrued liabilities and other items

    4,755     4,037  
           

Gross deferred tax assets

    65,201     62,497  

Valuation allowance

    (7,798 )   (7,385 )
           

Net deferred tax assets

    57,403     55,112  
           

Deferred tax liabilities:

             

Intangibles

    84,518     82,841  

Plant and equipment

    11,206     11,361  
           

Gross deferred tax liabilities

    95,724     94,202  
           

Net deferred tax liabilities

  $ (38,321 ) $ (39,090 )
           
Schedule of reconciliation of statutory federal income tax rate to the effective income tax rate

 

 

 
  2012   2011   2010  

Federal statutory tax rate

    35.0 %   35.0 %   35.0 %

Increase (decrease) in the tax rate resulting from:

                   

State taxes, net of federal effect

    3.2     3.0     2.1  

Effect of tax rates of other countries

    (0.5 )   (2.2 )   (0.7 )

Foreign Tax Credit-Amended Returns

            (6.9 )

Section 199 deduction

    (1.5 )   (1.7 )   (0.4 )

Change in Contingency Reserve

    (1.9 )        

Other

    1.9     0.6     2.3  
               

Effective tax rate

    36.2 %   34.7 %   31.4 %
               
Summarizes the activity related to the entity's unrecognized tax benefits

 

 

 
  2012   2011   2010  
 
  (in thousands)
 

Balance, beginning of the year

  $ 2,044   $ 1,953   $ 1,821  

Additions for tax position related to the current year

    125     189     112  

Additions for tax position related to the prior year

    191         69  

Decreases for tax position related to the prior year

    (1,102 )       (46 )

Prior year reductions

                   

Settlements with taxing authorities

            (47 )

Lapse of statute of limitations

    (106 )   (137 )   (119 )

Change in exchange rate

        39     163  
               

Balance, end of the year

  $ 1,152   $ 2,044   $ 1,953  
               
XML 40 R75.htm IDEA: XBRL DOCUMENT v2.4.0.6
SEGMENT AND GEOGRAPHIC REGION INFORMATION (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Financial information of segments                      
SALES $ 250,026 $ 219,794 $ 221,018 $ 196,662 $ 223,148 $ 239,543 $ 238,650 $ 220,858 $ 887,499 $ 922,200 $ 809,467
INTERSEGMENT SALES                 16,617 17,881 17,733
DEPRECIATION AND AMORTIZATION                 16,547 17,738 19,461
OPERATING PROFIT                 87,901 97,071 64,662
Restructuring and other charges - primarily Office                   696 7,565
Curtailment benefit                   (5,445) (338)
CAPITAL EXPENDITURES, NET                 16,545 15,175 8,312
Reportable segments
                     
Financial information of segments                      
OPERATING PROFIT                 87,901 92,322 71,889
Office
                     
Financial information of segments                      
SALES                 633,321 664,132 562,304
INTERSEGMENT SALES                 1,727 2,148 2,113
DEPRECIATION AND AMORTIZATION                 13,409 14,259 15,995
OPERATING PROFIT                 48,639 46,614 32,628
CAPITAL EXPENDITURES, NET                 14,251 14,142 7,072
Studio
                     
Financial information of segments                      
SALES                 147,550 152,724 151,917
INTERSEGMENT SALES                 5,299 5,953 5,845
DEPRECIATION AND AMORTIZATION                 2,055 2,124 1,897
OPERATING PROFIT                 21,786 23,022 20,880
CAPITAL EXPENDITURES, NET                 1,871 1,009 958
Coverings
                     
Financial information of segments                      
SALES                 106,628 105,344 95,246
INTERSEGMENT SALES                 9,591 9,780 9,775
DEPRECIATION AND AMORTIZATION                 1,083 1,355 1,569
OPERATING PROFIT                 17,476 22,686 18,381
CAPITAL EXPENDITURES, NET                 $ 423 $ 24 $ 282
XML 41 R37.htm IDEA: XBRL DOCUMENT v2.4.0.6
OTHER CURRENT LIABILITIES (Tables)
12 Months Ended
Dec. 31, 2012
OTHER CURRENT LIABILITIES  
Schedule of other current liabilities

 

 
  December 31,
2012
  December 31,
2011
 
 
  (in thousands)
 

Accrued employee compensation

  $ 33,974   $ 36,213  

Accrued pension costs

    20,645     16,875  

Customer deposits

    5,899     6,518  

Warranty

    7,852     8,146  

Other

    17,648     16,927  
           

Other current liabilities

  $ 86,018   $ 84,679  
           
XML 42 R52.htm IDEA: XBRL DOCUMENT v2.4.0.6
RESTRICTED CASH (Details) (USD $)
In Millions, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
RESTRICTED CASH    
Restricted cash to defer the payment of duties on imports into United Kingdom $ 0.3 $ 0.3
XML 43 R67.htm IDEA: XBRL DOCUMENT v2.4.0.6
PENSION AND OTHER POSTRETIREMENT BENEFITS (Details 2) (Pension Benefits, USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
PENSION AND OTHER POSTRETIREMENT BENEFITS      
Fair value of pension plan investments $ 193,389 $ 159,231 $ 152,015
U.S. equity securities
     
PENSION AND OTHER POSTRETIREMENT BENEFITS      
Fair value of pension plan investments 99,840 79,773  
Non-U.S. equity securities
     
PENSION AND OTHER POSTRETIREMENT BENEFITS      
Fair value of pension plan investments 18,565 14,282  
Debt securities, fixed income funds and cash investment funds
     
PENSION AND OTHER POSTRETIREMENT BENEFITS      
Fair value of pension plan investments 74,984 65,176  
Level 1
     
PENSION AND OTHER POSTRETIREMENT BENEFITS      
Fair value of pension plan investments 193,389 159,231  
Level 1 | U.S. equity securities
     
PENSION AND OTHER POSTRETIREMENT BENEFITS      
Fair value of pension plan investments 99,840 79,773  
Level 1 | Non-U.S. equity securities
     
PENSION AND OTHER POSTRETIREMENT BENEFITS      
Fair value of pension plan investments 18,565 14,282  
Level 1 | Debt securities, fixed income funds and cash investment funds
     
PENSION AND OTHER POSTRETIREMENT BENEFITS      
Fair value of pension plan investments $ 74,984 $ 65,176  
XML 44 R61.htm IDEA: XBRL DOCUMENT v2.4.0.6
DERIVATIVE FINANCIAL INSTRUMENTS (Details 2) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2011
Dec. 31, 2010
Not designated as a hedging instrument
   
Effect of derivatives in cash flow hedging relationships on the consolidated statement of income    
Total Derivatives Not Designated as Hedging Instruments $ (1,153)  
Foreign currency contracts | Not designated as a hedging instrument
   
Effect of derivatives in cash flow hedging relationships on the consolidated statement of income    
Total Derivatives Not Designated as Hedging Instruments (1,153)  
Cash Flow Hedge Relationship
   
Effect of derivatives in cash flow hedging relationships on the consolidated statement of income    
Before -Tax (Loss) Recognized in OCI on Derivative (Effective Portion) 41 2,868
Before - Tax (Loss) Reclassified from AOCI into Income (Effective Portion) 4,237 10,284
Before - Tax (Loss) Recognized in Income on Derivative (Ineffective Portion)   1,177
Cash Flow Hedge Relationship | Interest rate swap contracts
   
Effect of derivatives in cash flow hedging relationships on the consolidated statement of income    
Before -Tax (Loss) Recognized in OCI on Derivative (Effective Portion) 41 2,868
Before - Tax (Loss) Reclassified from AOCI into Income (Effective Portion) 4,237 10,284
Before - Tax (Loss) Recognized in Income on Derivative (Ineffective Portion)   $ 1,177
XML 45 R47.htm IDEA: XBRL DOCUMENT v2.4.0.6
OTHER INCOME (EXPENSE), NET (Tables)
12 Months Ended
Dec. 31, 2012
OTHER (INCOME) EXPENSE, NET  
Components of other income (expense) , net

 

 

 
  Year Ended December 31,  
 
  2012   2011   2010  
 
  (in thousands)
 

Foreign exchanges transaction (gain) loss

  $ 2,834   $ (2,669 ) $ 5,525  
               

Unrealized loss on derivatives

            1,177  
               

Write-off of deferred financing fees

    477          
               

Other

    (96 )   1,161     (323 )
               

Other (income) expense, net

  $ 3,215   $ (1,508 ) $ 6,379  
               
XML 46 R9.htm IDEA: XBRL DOCUMENT v2.4.0.6
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
12 Months Ended
Dec. 31, 2012
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES  
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

2. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

Principles of Consolidation

        The consolidated financial statements of the Company include the accounts of Knoll, Inc. and its wholly owned subsidiaries. Intercompany transactions and balances have been eliminated in consolidation.

        The results of the European subsidiaries are reported and included in the consolidated financial statements on a one-month lag to allow for the timely preparation of consolidated information. The effect of this presentation is not material to the financial statements.

Cash and Cash Equivalents

        Cash and cash equivalents include cash on hand and highly liquid investments with maturities of three months or less at the date of purchase.

Revenue Recognition and Accounts Receivable

        The Company recognizes revenue when the earnings process is complete. This occurs when risk and title transfers, collectibility is reasonably assured and pricing is fixed and determinable. Accordingly, revenue is recognized when risk and title are transferred to the client, which primarily occurs at the time of shipment.

        The Company maintains allowances for doubtful accounts for estimated losses resulting from the inability of its clients and dealers to make required payments. The allowance is determined through an analysis of the aging of accounts receivable and assessments of risk that are based on historical trends and an evaluation of the impact of current and projected economic conditions. The Company evaluates the past-due status of its trade receivables based on the contractual terms of sale. If the financial condition of the Company's clients and dealers were to deteriorate, resulting in an impairment of their ability to make payments, additional allowances may be required. Accounts receivable are charged off against the allowance for doubtful accounts when the Company determines that recovery is unlikely. Losses have been consistent with the Company's expectations.

Inventories

        Inventories are stated at the lower of cost or market. Cost is determined using the first-in, first-out method. The Company reserves for inventory that, in its judgment, is impaired or obsolete. Obsolescence may be caused by the discontinuance of a product line, changes in product material specifications, replacement products in the marketplace and other competitive influences.

Property, Plant, Equipment and Depreciation

        Property, plant, and equipment are stated at cost, less accumulated depreciation. Depreciation is computed using the straight-line method over the estimated useful lives of the assets. The useful lives are as follows: 45 years for buildings and 2 to 12 years for machinery and equipment.

        The Company reviews the carrying values of its property and equipment for possible impairment whenever events or changes in circumstances indicate that the carrying value of an asset may not be recoverable based on undiscounted estimated cash flows expected to result from its use and eventual disposition. The factors considered by the Company in performing this assessment include current operating results, trends and other economic factors. In assessing the recoverability of the carrying value of the property and equipment, the Company must make assumptions regarding future cash flows and other factors. If these estimates or the related assumptions change in the future, the Company may be required to record an impairment loss for these assets.

Goodwill and Other Intangible Assets

        The Company records the excess of purchase price over the fair value of the tangible and identifiable intangible assets acquired as goodwill. Goodwill and indefinite-lived trademarks are tested for impairment at least annually and whenever events or circumstances occur indicating that a possible impairment may have been incurred. Goodwill is tested for impairment by determining the fair value of the Company's reporting units using an income approach which discounts future net cash flows to their present value at a rate that reflects the Company's cost of capital, otherwise known as the discounted cash flow method ("DCF"). These estimated fair values are based on financial projections and certain cash flow measures. The indefinite-lived trademarks are tested for impairment by comparing the carrying value to the fair value based on current revenue projections of the related operations, under the relief from royalty method. Any excess carrying value over the amount of fair value is recognized as an impairment. Any impairment would be recognized in full in the reporting period in which it has been identified.

        Finite-lived assets such as customer relationships, non-compete agreements, and licenses are amortized over their estimated useful lives. The Company reviews the carrying values of these assets for possible impairment whenever events or changes in circumstances indicate that the carrying value of an asset may not be recoverable based on undiscounted estimated cash flows expected to result from its use and eventual disposition. The Company continually evaluates the reasonableness of the useful lives of these assets.

Business Combinations

        The purchase price of an acquired company is allocated between tangible and intangible assets acquired and liabilities assumed from the acquired business based on their estimated fair values, with the residual of the purchase price recorded as goodwill. The results of operations of the acquired businesses are included in the Company's operating results from the dates of acquisition.

Deferred Financing Fees

        Deferred financing costs that are incurred by the Company in connection with the issuance of debt are deferred and amortized to interest expense over the life of the underlying indebtedness.

Shipping and Handling

        Amounts billed to clients for shipping and handling of products are classified as sales. Costs incurred by the Company for shipping and handling are classified as cost of sales.

Research and Development Costs

        Research and development expenses, which are expensed as incurred and included as a component of selling, general, and administrative expenses, were $15.3 million for 2012, $15.4 million for 2011, and $14.6 million for 2010.

Income Taxes

        Deferred tax assets and liabilities are recognized using enacted tax rates to measure the effect of temporary differences between book and tax bases on recorded assets and liabilities. Deferred tax assets are reduced by a valuation allowance, if it is more likely than not some portion or all of the deferred tax assets will not be recognized.

        The Company evaluates tax positions to determine whether the benefits of tax positions are more likely than not of being sustained upon audit based on the technical merits of the tax position. The Company reports a liability for unrecognized tax benefits resulting from uncertain tax positions taken, or expected to be taken, in an income tax return. The Company recognizes interest and penalties, if any, related to unrecognized tax benefits in income tax expense. The Company accrues for interest and penalties in other noncurrent liabilities within the consolidated balance sheet.

Fair Value of Financial Instruments

        Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (an exit price). The Company uses a market approach (generally, data from market transactions), an income approach (generally, present value techniques and option-pricing models), and/or a cost approach (generally, replacement cost) to measure the fair value of an asset or liability. These valuation approaches incorporate inputs such as observable, independent market data and/or unobservable data that management believes are predicated on the assumptions market participants would use to price an asset or liability. These inputs may incorporate, as applicable, certain risks such as nonperformance risk, which includes credit risk. When unobservable inputs are significant to the fair value measurement, a contract is classified as Level 3.

Derivative Financial Instruments

        The Company occasionally utilizes derivative instruments to mitigate volatility related to interest rates and foreign currency exposures. The Company does not hold or issue derivative financial instruments for trading or speculative purposes. The Company recognizes derivatives as either assets or liabilities in the accompanying consolidated balance sheet and measures those instruments at fair value. Changes in the fair value of those instruments are reported in accumulated other comprehensive income if they qualify for hedge accounting or in earnings if they do not qualify for hedge accounting. Derivatives qualify for hedge accounting if they are designated as hedge instruments and if the hedge is highly effective in achieving offsetting changes in the fair value or cash flows of the asset or liability hedged. Accordingly, gains and losses from changes in derivative fair value of effective hedges are deferred and reported in accumulated other comprehensive income until the underlying transaction affects earnings.

Commitments and Contingencies

        The Company establishes reserves for the estimated cost of environmental and legal contingencies when such expenditures are probable and reasonably estimable. A significant amount of judgment and use of estimates is required to quantify the ultimate exposure in these matters. The Company engages outside experts as deemed necessary or appropriate to assist in the evaluation of exposure. From time to time, as information becomes available regarding changes in circumstances for ongoing issues as well as information regarding emerging issues, the potential liability is reassessed and reserve balances are adjusted as necessary. Revisions to the estimates of potential liability, and actual expenditures related to environmental and legal contingencies, could have a material impact on the results of operations or financial position.

Warranty

        The Company offers a warranty for all of its products. The specific terms and conditions of those warranties vary depending upon the product sold. The Company estimates the costs that may be incurred under its warranties and records a liability in the amount of such costs at the time product revenue is recognized. Factors that affect the Company's liability include historical product-failure experience and estimated repair costs for identified matters for each specific product category. The Company periodically assesses the adequacy of its recorded warranty liabilities and adjusts the amounts as necessary. Adjustments to recorded reserves for pre-existing warranties are not material for each period presented.

Concentration of Credit Risk

        The Company's accounts receivables are primarily due from a network independent dealers and direct customers. The Company monitors and manages the credit risk associated with the individual dealers and direct customers. The independent dealers are responsible for assessing and assuming credit risk of their customers and may require their customers to provide deposits or other credit enhancement measures. Historically, the Company has had a concentration of federal and local government receivables, however, they carry minimal credit risk.

Foreign Currency Translation

        Results of foreign operations are translated into U.S. dollars using average exchange rates during the period, while assets and liabilities are translated into U.S. dollars using the exchange rates as of the balance sheet date. The resulting translation adjustments are recorded in accumulated other comprehensive income (loss).

        Transaction gains and losses resulting from exchange rate changes on transactions denominated in currencies other than the functional currency are included in other (income) expense, net, in the period in which the change occurs.

Stock-Based Compensation

        The Company accounts for stock-based compensation according to applicable accounting guidance, which requires the Company to expense the cost of employee services received in exchange for an award of equity instruments based on the grant-date fair value of the award. This expense is recognized over the applicable vesting period.

Stock Options

        The fair value for stock options is estimated at the date of grant using an option pricing model, which requires management to make certain assumptions based on both historical and current data. The assumptions include expected term of the options, risk-free interest rate, expected volatility, and dividend yield. The expected term represents the expected amount of time that options granted are expected to be outstanding, based on historical and forecasted exercise behavior. The risk-free rate is based on the rate at grant date of zero-coupon U.S. Treasury Notes with a term equal to the expected term of the option. Expected volatility is estimated based on the historical volatility of the Company's stock price. The Company's dividend yield is based on historical data. Forfeitures are estimated at the date of grant based on historical experience.

Restricted Stock and Restricted Stock Units

        The fair value of restricted stock and restricted stock units is based on the closing market price of the Company's common stock on the date of grant. The Company recognizes compensation expense relating to restricted stock and restricted stock units ratably over the vesting period.

Earnings per Share

        Basic earnings per share excludes the dilutive effect of (i) common shares that could potentially be issued due to the exercise of stock options, and (ii) unvested restricted stock and restricted stock units and is computed by dividing net income by the weighted-average number of common shares outstanding for the period. Diluted earnings per share includes the effect of shares and potential shares issued under the stock incentive plans. The following table sets forth the reconciliation from basic to dilutive average common shares:

 
  December 31,  
 
  2012   2011   2010  
 
  (in thousands)
 

Weighted-average shares of common stock outstanding—basic

    46,635     46,250     45,600  

Potentially dilutive shares resulting from stock plans

    424     586     371  
               

Weighted-average common shares—diluted

    47,059     46,836     45,971  
               

Antidilutive equity awards not included in weighted average common shares-diluted

    596     164     1,701  
               

Use of Estimates

        The preparation of the consolidated financial statements in conformity with United States generally accepted accounting principles requires management to make estimates and assumptions that affect the reported amounts in the consolidated financial statements and accompanying notes. Actual results may differ from such estimates.

New Accounting Pronouncements

        In June 2011, the FASB issued amendments to guidance regarding the presentation of comprehensive income. The amendments eliminate the option to present components of other comprehensive income ("OCI") as part of the statement of changes in stockholders' equity. The amendments require an entity to present the total of comprehensive income, the components of net income, and the components of other comprehensive income either in a single continuous statement or in two separate, but consecutive statements. The amendments also require the entity to present on the face of the financial statements any reclassification adjustments for items that are reclassified from OCI to net income in the statement(s) where the components of net income and the components of OCI are presented. The amendments do not change the items that must be reported in OCI, when an item of OCI must be reclassed to net income or the option to present components of OCI either net of related tax effects or before related tax effects. The amendments, excluding the specific requirement to present on the face of the financial statements any reclassification adjustments for items that are reclassified from OCI to net income in the statement(s) where the components of net income and the components of OCI are presented which was deferred by the FASB in December 2011, are effective for fiscal years, and interim periods within those years, beginning after December 15, 2011 and are to be applied retrospectively. The Company adopted the guidance as of January 1, 2012, except for the deferred requirement to present reclassification adjustments in the statement(s) where the components of net income and the components of OCI are presented. The Company has presented comprehensive income in a single continuous statement.

XML 47 R62.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONTINGENT LIABILITIES AND COMMITMENTS (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
item
Dec. 31, 2011
Dec. 31, 2010
Changes in the Company's warranty reserve      
Balance, beginning of the year $ 8,146 $ 8,090 $ 9,773
Provision for warranty claims 6,488 7,007 4,808
Warranty claims paid (6,887) (6,950) (6,478)
Increase due to acquisition 106    
Foreign currency translation adjustment (1) (1) (13)
Balance, end of the period $ 7,852 $ 8,146 $ 8,090
CONTINGENT LIABILITIES AND COMMITMENTS      
Total number of employees 3,211    
Contingent liabilities and commitments, additional disclosure      
Total number of hourly employees covered in an agreement 197    
Carpenters Union, Local 1615
     
CONTINGENT LIABILITIES AND COMMITMENTS      
Total number of employees 197    
Italy Unions
     
CONTINGENT LIABILITIES AND COMMITMENTS      
Total number of employees 199    
Workforce subject to collective bargaining arrangements | Unionized employees concentration risk
     
CONTINGENT LIABILITIES AND COMMITMENTS      
Percentage of employees represented by unions 12.30%    
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M/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^ M/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^ M/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^ M/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^ M/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`\+W1R/@T*("`@("`@/'1R(&-L M87-S/3-$'0^ M/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^ M/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^ M/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^ M/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^ M/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^ M/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^ M/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^ M/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S2P@<&QA;G0L(&%N9"!E<75I M<&UE;G0L(&YE=#PO=&0^#0H@("`@("`@(#QT9"!C;&%S7!E.B!T97AT M+VAT;6P[(&-H87)S970](G5S+6%S8VEI(@T*#0H\:'1M;#X-"B`@/&AE860^ M#0H@("`@/$U%5$$@:'1T<"UE<75I=CTS1$-O;G1E;G0M5'EP92!C;VYT96YT M/3-$)W1E>'0O:'1M;#L@8VAA'0O:F%V87-C3X-"B`@("`\=&%B;&4@8VQA'0^ 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M;G-E'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S M'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S M'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`\+W1R/@T*("`@("`@ M/'1R(&-L87-S/3-$6EN9R!A8V-O=6YT'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C M;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`@(#QT9"!C M;&%S'0^/'-P86X^/"]S<&%N/CPO=&0^#0H@("`@("`\+W1R/@T* M("`@("`@/'1R(&-L87-S/3-$&UL/@T*+2TM+2TM/5].97AT4&%R=%\R9F9A.38R,U]E >-S,V7S0Q,F%?8F4W-%\U,3(W939C9C8W9#,M+0T* ` end XML 49 R43.htm IDEA: XBRL DOCUMENT v2.4.0.6
LEASES (Tables)
12 Months Ended
Dec. 31, 2012
LEASES  
Schedule of future minimum rental payments required under operating leases

Future minimum rental payments required, excluding maintenance and other miscellaneous charges, under those operating leases are as follows (in thousands):

 
  Future Minimum
Rental Payments
 

2013

  $ 14,136  

2014

    11,765  

2015

    13,324  

2016

    12,192  

2017

    10,562  

Subsequent years

    42,456  
       

Total minimum lease payments

  $ 104,435  
       

XML 50 R29.htm IDEA: XBRL DOCUMENT v2.4.0.6
QUARTERLY RESULTS (UNAUDITED)
12 Months Ended
Dec. 31, 2012
QUARTERLY RESULTS (UNAUDITED)  
QUARTERLY RESULTS (UNAUDITED)

22. QUARTERLY RESULTS (UNAUDITED)

        The following tables contain selected unaudited Consolidated Statements of Operations and Comprehensive Income data for each quarter for the years ended December 31, 2012 and 2011. The operating results for any quarter are not necessarily indicative of results for any future period.

 
  First
Quarter
  Second
Quarter
  Third
Quarter
  Fourth
Quarter
  Fiscal
Year
 
 
  (in thousands, except per share data)
 

2012

                               

Sales

  $ 196,662   $ 221,018   $ 219,794   $ 250,026   $ 887,499 (1)

Gross Profit

    63,053     74,407     74,216     82,675     294,350 (1)

Net Income

    7,257     13,055     12,197     17,492     50,001  

Earning per shares—Basic

  $ 0.16   $ 0.28   $ 0.26   $ 0.37   $ 1.07  

Earnings per share—Diluted

  $ 0.15   $ 0.28   $ 0.26   $ 0.37   $ 1.06  

2011

                               

Sales

  $ 220,858   $ 238,650   $ 239,543   $ 223,148   $ 922,200 (1)

Gross Profit

    68,401     76,493     78,851     70,650     294,397 (1)

Net Income

    9,202     12,975     18,389     17,443     58,011 (1)

Earning per shares—Basic

  $ 0.20   $ 0.28   $ 0.40   $ 0.38   $ 1.25 (1)

Earnings per share—Diluted

  $ 0.20   $ 0.28   $ 0.39   $ 0.37   $ 1.24  

(1)
Results do not add due to rounding.
XML 51 R28.htm IDEA: XBRL DOCUMENT v2.4.0.6
FAIR VALUE MEASUREMENTS
12 Months Ended
Dec. 31, 2012
FAIR VALUE MEASUREMENTS  
FAIR VALUE MEASUREMENTS

21. FAIR VALUE MEASUREMENTS

Fair Value

        Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. Accounting Standards Codification 820, "Fair Value Measurements and Disclosures," established a hierarchy that prioritizes fair value measurements based on types of inputs used for the various valuation techniques (market approach, income approach, and cost approach). The hierarchy is intended to increase consistency and comparability in fair value measurements and related disclosures. The fair value hierarchy is based on inputs to valuation techniques that are used to measure fair value that are either observable or unobservable. Observable inputs reflect assumptions market participants would use in pricing an asset or liability based on market data obtained from independent sources while unobservable inputs reflect a reporting entity's pricing based upon their own market assumptions. The Company uses the following valuation techniques to measure fair value for its financial assets and financial liabilities:

Level 1   Inputs are unadjusted quoted prices in active markets for identical assets or liabilities.

Level 2

 

Inputs are quoted prices for similar assets or liabilities in an active market, quoted prices for identical or similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable and market-corroborated inputs which are derived principally from or corroborated by observable market data.

Level 3

 

Inputs are derived from valuation techniques in which one or more significant inputs or value drivers are unobservable.

Financial Instruments

        The fair value of the Company's cash and cash equivalents, accounts receivable and accounts payable approximate carrying value due to their short maturities.

        The fair value of the Company's long-term debt approximates its carrying value, as it is variable rate debt and the current terms are comparable to market terms as of the balance sheet dates and are classified as Level 2.

XML 52 R56.htm IDEA: XBRL DOCUMENT v2.4.0.6
GOODWILL AND OTHER INTANGIBLE ASSETS, NET (Details) (USD $)
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Intangible assets      
Gross Amount $ 230,236,000 $ 230,740,000  
Accumulated Amortization (7,738,000) (10,061,000)  
Net Amount 222,498,000 220,679,000  
Amortization expense 1,000,000 1,300,000 1,400,000
Changes in the carrying amount of goodwill      
Balance at beginning of year 76,571,000    
Goodwill acquired 2,996,000    
Finalization of purchase accounting for prior year acquisition 524,000    
Foreign currency translation adjustment 241,000    
Balance at end of year 80,332,000 76,571,000  
Office Segment
     
Changes in the carrying amount of goodwill      
Balance at beginning of year 37,930,000    
Foreign currency translation adjustment 241,000    
Balance at end of year 38,171,000    
Studio Segment
     
Changes in the carrying amount of goodwill      
Balance at beginning of year 2,206,000    
Goodwill acquired 2,996,000    
Balance at end of year 5,202,000    
Coverings Segment
     
Changes in the carrying amount of goodwill      
Balance at beginning of year 36,435,000    
Finalization of purchase accounting for prior year acquisition 524,000    
Balance at end of year 36,959,000    
Trademarks
     
Indefinite-lived intangible assets:      
Gross Amount 216,721,000 213,881,000  
Net Amount 216,721,000 213,881,000  
Deferred financing fees and other intangibles
     
Estimated amortization expense for the deferred financing fees, trademarks, and other intangibles for each of the five succeeding years      
2013 746,000    
2014 766,000    
2015 739,000    
2016 687,000    
2017 651,000    
Various
     
Finite-lived intangible assets:      
Gross Amount 13,515,000 16,859,000  
Accumulated Amortization (7,738,000) (10,061,000)  
Net Amount $ 5,777,000 $ 6,798,000  
XML 53 R44.htm IDEA: XBRL DOCUMENT v2.4.0.6
PENSION AND OTHER POSTRETIREMENT BENEFITS (Tables)
12 Months Ended
Dec. 31, 2012
PENSION AND OTHER POSTRETIREMENT BENEFITS  
Schedule of status of plans

The year-end status of these plans was as follows (in thousands):

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2012   2011  

Change in projected benefit obligation:

                         

Projected benefit obligation at December 31

  $ 232,442   $ 196,820   $ 11,885   $ 26,783  

Service cost

    7,209     10,634     50     476  

Interest cost

    11,819     11,211     457     1,114  

Plan Amendments

                (12,218 )

Participant contributions

    15     137         699  

Actuarial loss (gain)

    31,551     23,180     (292 )   (2,939 )

Benefits paid

    (4,620 )   (4,179 )   433     (2,030 )

Liability gain due to Curtailment

        (5,361 )   (1,387 )    
                   

Projected benefit obligation at December 31

  $ 278,416   $ 232,442   $ 11,146   $ 11,885  
                   

Accumulated benefit obligation, December 31

  $ 271,116   $ 226,051   $   $  
                   

Change in plan assets:

                         

Fair value of plan assets at December 31

  $ 159,231   $ 152,015   $   $  

Actual return on plan assets

    21,888     1,277          

Employer contributions

    16,875     9,981     954     1,331  

Participant contributions

    15     137     433     699  

Benefits paid

    (4,620 )   (4,179 )   (1,387 )   (2,030 )
                   

Fair value of plan assets at December 31

  $ 193,389   $ 159,231   $   $  
                   

Funded status

  $ (85,027 ) $ (73,211 ) $ (11,146 ) $ (11,885 )
                   
Schedule of assumptions used in computing the benefit obligation

Assumptions used in computing the benefit obligation as of December 31, 2012 and 2011 were as follows:

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2012   2011  

Discount rate

    4.30 - 4.40 %   5.10 - 5.15 %   2.25 - 4.25 %   3.40 - 5.05 %

Expected return on plan assets

    7.10     7.10     N/A     N/A  

Rate of compensation increase

    2.50     2.50     N/A     N/A  
Schedule of pension plan investments measured at fair value

The following table presents the fair value of the Company's pension plan investments as of December 31, 2012 and 2011 (in thousands).

 
  Level 1   Level 2   Level 3   Total  

Equity Securities

                         

U.S. equity securities

  $ 99,840           $ 99,840  

Non-U.S. equity securities

    18,565             18,565  

Debt Securities

                         

Fixed income funds and cash investment funds

    74,984             74,984  
                   

December 31, 2012

  $ 193,389           $ 193,389  
                   

Equity Securities

                         

U.S. equity securities

  $ 79,773           $ 79,773  

Non-U.S. equity securities

    14,282             14,282  

Debt Securities

                         

Fixed income funds and cash investment funds

    65,176             65,176  
                   

December 31, 2011

  $ 159,231           $ 159,231  
                   
Schedule of amounts related to the Company's pension plan recognized in consolidated balance sheet

 

 

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2012   2011  
 
  (in thousands)
 

Amounts recognized in the consolidated balance sheet consist of:

                         

Current liabilities

  $ (20,645 ) $ (16,875 ) $ (1,141 ) $ (1,229 )

Noncurrent liabilities

    (64,382 )   (56,336 )   (10,005 )   (10,656 )
                   

Net amount recognized

  $ (85,027 ) $ (73,211 ) $ (11,146 ) $ (11,885 )
                   
Schedule of amounts related to the Company's pension plan recognized in other comprehensive income

 

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2012   2011  
 
  (in thousands)
 

Amounts recognized in accumulated other comprehensive income before taxes:

                         

Net actuarial loss

  $ 79,996   $ 61,918   $ 3,263   $ 4,539  

Prior service cost (benefit)

    25     39     (8,418 )   (11,793 )
                   

Net amount recognized

  $ 80,021   $ 61,957   $ (5,155 ) $ (7,254 )
                   
Schedule of amounts related to other changes in the pension benefit obligation recognized in other comprehensive income

The following table sets forth other changes in the benefit obligation recognized in other comprehensive income for the Company's pension and other postretirement benefits plans (in thousands):

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2012   2011  

Net actuarial (gain)/loss

  $ 22,187   $ 29,546   $ (292 ) $ (2,939 )

Prior service cost/(credit)

                (12,218 )

Amortization of:

                         

Prior service cost/(credit)

    (14 )   (101 )   3,375     7,268  

Actuarial (gain)/loss

    (4,108 )   (1,996 )   (983 )   (882 )
                   

Total recognized in OCI

  $ 18,065   $ 27,449   $ 2,100   $ (8,771 )
                   
Schedule of components of the net periodic benefit cost

The following table sets forth the components of the net periodic benefit cost for the Company's pension and other postretirement benefits plans (in thousands):

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2010   2012   2011   2010  

Service cost

  $ 7,209   $ 10,634   $ 10,401   $ 50   $ 476   $ 452  

Interest cost

    11,819     11,211     10,811     457     1,114     1,481  

Expected return on plan assets

    (12,523 )   (13,008 )   (11,671 )            

Amortization of prior service cost

    14     32     61     (3,375 )   (1,754 )   (1,205 )

Recognized actuarial loss

    4,108     1,996     1,058     983     882     553  

Curtailment (benefit) expense

        69             (5,514 )   (338 )
                           

Net periodic benefit cost

  $ 10,627   $ 10,934   $ 10,660   $ (1,885 ) $ (4,796 ) $ 943  
                           
Schedule of assumptions used to determine net periodic benefit cost

Assumptions used to determine net periodic benefit cost for the years ended December 31, 2012, 2011, and 2010 were as follows:

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2010   2012   2011   2010  

Discount rate

    5.10 - 5.15 %   4.95 - 5.75 %   6.10 %   3.40 - 5.05 %   3.50 - 4.65 %   6.10 %

Expected return on plan assets

    7.10     8.20     8.15     N/A     N/A     N/A  

Rate of compensation increase

    2.50     2.50     4.00     N/A     N/A     N/A  
Schedule of weighted-average asset allocations by asset category

 

 

 
  Plan Assets at
December 31,
 
 
  2012   2011  

Asset Category:

             

Temporary investment funds

    3 %   4 %

Equity investment funds

    61     59  

Fixed income funds

    36     37  
           

Total

    100 %   100 %
           
Estimated future benefit payments under our pension and other postretirement plans

 

 

 
  Pension Benefits   Other Benefits  
 
  (in thousands)
 

2013

  $ 6,124   $ 1,141  

2014

    7,134     1,224  

2015

    8,252     1,212  

2016

    9,439     1,068  

2017

    10,747     946  

2018 - 2022

    76,037     3,486  
XML 54 R30.htm IDEA: XBRL DOCUMENT v2.4.0.6
SUBSEQUENT EVENTS
12 Months Ended
Dec. 31, 2012
SUBSEQUENT EVENTS  
SUBSEQUENT EVENTS

23. SUBSEQUENT EVENTS

        On February 8, 2013, under the Company's Stock Incentive Plans, the Company granted 302,056 restricted stock awards. 22,056 of these awards were granted to the Company's Board of Directors and vest one-third over each of the next three years. 280,000 of these awards were granted to certain key employees and cliff vest on the third anniversary of the grant date. In certain conditions vesting may be accelerated as defined in the restricted share agreements. The Company determined the fair value of the shares on the date of grant and is recognizing compensation expense ratably over the vesting period.

XML 55 R31.htm IDEA: XBRL DOCUMENT v2.4.0.6
SCHEDULE II VALUATION AND QUALIFYING ACCOUNTS
12 Months Ended
Dec. 31, 2012
SCHEDULE II VALUATION AND QUALIFYING ACCOUNTS  
SCHEDULE II VALUATION AND QUALIFYING ACCOUNTS
SCHEDULE II KNOLL, INC. VALUATION AND QUALIFYING ACCOUNTS (In Thousands)


SCHEDULE II

VALUATION AND QUALIFYING ACCOUNTS

(In Thousands)

Description
  Balance at
Beginning
of Year
  Additions
Charged to
Expenses
  Charge-Offs   Other(1)   Balance at
End of Year
 

Allowance for doubtful accounts:

                               

Year ended December 31, 2010

    5,094     1,476     2,917     (8 )   3,645  

Year ended December 31, 2011

    3,645     1,726     1,170     2     4,203  

Year ended December 31, 2012

    4,203     1,443     133     1     5,514  

Allowance for other non-trade receivables:

                               

Year ended December 31, 2010

    118         118          

Year ended December 31, 2011

                     

Year ended December 31, 2012

                     

Reserve for inventory valuation:

                               

Year ended December 31, 2010

    8,437     2,210     1,911     (439 )   8,297  

Year ended December 31, 2011

    8,297     1,515     2,057     (12 )   7,743  

Year ended December 31, 2012

    7,743     1,309     2,146     10     6,916  

Valuation allowance for deferred income tax assets:

                               

Year ended December 31, 2010

    8,314     (106 )       (702 )   7,506  

Year ended December 31, 2011

    7,506     219         (340 )   7,385  

Year ended December 31, 2012

    7,385     646           (233 )   7,798  

(1)
Primarily the impact of currency changes
XML 56 R8.htm IDEA: XBRL DOCUMENT v2.4.0.6
NATURE OF OPERATIONS
12 Months Ended
Dec. 31, 2012
NATURE OF OPERATIONS  
NATURE OF OPERATIONS

1. NATURE OF OPERATIONS

        Knoll, Inc. and its subsidiaries (the "Company" or "Knoll") are engaged in the design, manufacture and sale of office furniture products and accessories, modern outdoor furniture, as well as the sale of fine leather, textiles, and felt, focusing on the middle to high-end segments of the contract furniture market. The Company has operations in the United States ("U.S."), Canada, and Europe and sells its products primarily through its direct sales representatives and independent dealers.

XML 57 R32.htm IDEA: XBRL DOCUMENT v2.4.0.6
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (Policies)
12 Months Ended
Dec. 31, 2012
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES  
Principles of Consolidation

Principles of Consolidation

        The consolidated financial statements of the Company include the accounts of Knoll, Inc. and its wholly owned subsidiaries. Intercompany transactions and balances have been eliminated in consolidation.

        The results of the European subsidiaries are reported and included in the consolidated financial statements on a one-month lag to allow for the timely preparation of consolidated information. The effect of this presentation is not material to the financial statements.

Cash and Cash Equivalents

Cash and Cash Equivalents

        Cash and cash equivalents include cash on hand and highly liquid investments with maturities of three months or less at the date of purchase.

Revenue Recognition and Accounts Receivable

Revenue Recognition and Accounts Receivable

        The Company recognizes revenue when the earnings process is complete. This occurs when risk and title transfers, collectibility is reasonably assured and pricing is fixed and determinable. Accordingly, revenue is recognized when risk and title are transferred to the client, which primarily occurs at the time of shipment.

        The Company maintains allowances for doubtful accounts for estimated losses resulting from the inability of its clients and dealers to make required payments. The allowance is determined through an analysis of the aging of accounts receivable and assessments of risk that are based on historical trends and an evaluation of the impact of current and projected economic conditions. The Company evaluates the past-due status of its trade receivables based on the contractual terms of sale. If the financial condition of the Company's clients and dealers were to deteriorate, resulting in an impairment of their ability to make payments, additional allowances may be required. Accounts receivable are charged off against the allowance for doubtful accounts when the Company determines that recovery is unlikely. Losses have been consistent with the Company's expectations.

Inventories

Inventories

        Inventories are stated at the lower of cost or market. Cost is determined using the first-in, first-out method. The Company reserves for inventory that, in its judgment, is impaired or obsolete. Obsolescence may be caused by the discontinuance of a product line, changes in product material specifications, replacement products in the marketplace and other competitive influences.

Property, Plant, Equipment and Depreciation

Property, Plant, Equipment and Depreciation

        Property, plant, and equipment are stated at cost, less accumulated depreciation. Depreciation is computed using the straight-line method over the estimated useful lives of the assets. The useful lives are as follows: 45 years for buildings and 2 to 12 years for machinery and equipment.

        The Company reviews the carrying values of its property and equipment for possible impairment whenever events or changes in circumstances indicate that the carrying value of an asset may not be recoverable based on undiscounted estimated cash flows expected to result from its use and eventual disposition. The factors considered by the Company in performing this assessment include current operating results, trends and other economic factors. In assessing the recoverability of the carrying value of the property and equipment, the Company must make assumptions regarding future cash flows and other factors. If these estimates or the related assumptions change in the future, the Company may be required to record an impairment loss for these assets.

Goodwill and Other Intangible Assets

Goodwill and Other Intangible Assets

        The Company records the excess of purchase price over the fair value of the tangible and identifiable intangible assets acquired as goodwill. Goodwill and indefinite-lived trademarks are tested for impairment at least annually and whenever events or circumstances occur indicating that a possible impairment may have been incurred. Goodwill is tested for impairment by determining the fair value of the Company's reporting units using an income approach which discounts future net cash flows to their present value at a rate that reflects the Company's cost of capital, otherwise known as the discounted cash flow method ("DCF"). These estimated fair values are based on financial projections and certain cash flow measures. The indefinite-lived trademarks are tested for impairment by comparing the carrying value to the fair value based on current revenue projections of the related operations, under the relief from royalty method. Any excess carrying value over the amount of fair value is recognized as an impairment. Any impairment would be recognized in full in the reporting period in which it has been identified.

        Finite-lived assets such as customer relationships, non-compete agreements, and licenses are amortized over their estimated useful lives. The Company reviews the carrying values of these assets for possible impairment whenever events or changes in circumstances indicate that the carrying value of an asset may not be recoverable based on undiscounted estimated cash flows expected to result from its use and eventual disposition. The Company continually evaluates the reasonableness of the useful lives of these assets.

Business Combinations

Business Combinations

        The purchase price of an acquired company is allocated between tangible and intangible assets acquired and liabilities assumed from the acquired business based on their estimated fair values, with the residual of the purchase price recorded as goodwill. The results of operations of the acquired businesses are included in the Company's operating results from the dates of acquisition.

Deferred Financing Fees

Deferred Financing Fees

        Deferred financing costs that are incurred by the Company in connection with the issuance of debt are deferred and amortized to interest expense over the life of the underlying indebtedness.

Shipping and Handling

Shipping and Handling

        Amounts billed to clients for shipping and handling of products are classified as sales. Costs incurred by the Company for shipping and handling are classified as cost of sales.

Research and Development Costs

Research and Development Costs

        Research and development expenses, which are expensed as incurred and included as a component of selling, general, and administrative expenses, were $15.3 million for 2012, $15.4 million for 2011, and $14.6 million for 2010.

Income Taxes

Income Taxes

        Deferred tax assets and liabilities are recognized using enacted tax rates to measure the effect of temporary differences between book and tax bases on recorded assets and liabilities. Deferred tax assets are reduced by a valuation allowance, if it is more likely than not some portion or all of the deferred tax assets will not be recognized.

        The Company evaluates tax positions to determine whether the benefits of tax positions are more likely than not of being sustained upon audit based on the technical merits of the tax position. The Company reports a liability for unrecognized tax benefits resulting from uncertain tax positions taken, or expected to be taken, in an income tax return. The Company recognizes interest and penalties, if any, related to unrecognized tax benefits in income tax expense. The Company accrues for interest and penalties in other noncurrent liabilities within the consolidated balance sheet.

Fair Value of Financial Instruments

Fair Value of Financial Instruments

        Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (an exit price). The Company uses a market approach (generally, data from market transactions), an income approach (generally, present value techniques and option-pricing models), and/or a cost approach (generally, replacement cost) to measure the fair value of an asset or liability. These valuation approaches incorporate inputs such as observable, independent market data and/or unobservable data that management believes are predicated on the assumptions market participants would use to price an asset or liability. These inputs may incorporate, as applicable, certain risks such as nonperformance risk, which includes credit risk. When unobservable inputs are significant to the fair value measurement, a contract is classified as Level 3.

Derivative Financial Instruments

Derivative Financial Instruments

        The Company occasionally utilizes derivative instruments to mitigate volatility related to interest rates and foreign currency exposures. The Company does not hold or issue derivative financial instruments for trading or speculative purposes. The Company recognizes derivatives as either assets or liabilities in the accompanying consolidated balance sheet and measures those instruments at fair value. Changes in the fair value of those instruments are reported in accumulated other comprehensive income if they qualify for hedge accounting or in earnings if they do not qualify for hedge accounting. Derivatives qualify for hedge accounting if they are designated as hedge instruments and if the hedge is highly effective in achieving offsetting changes in the fair value or cash flows of the asset or liability hedged. Accordingly, gains and losses from changes in derivative fair value of effective hedges are deferred and reported in accumulated other comprehensive income until the underlying transaction affects earnings.

Commitments and Contingencies

Commitments and Contingencies

        The Company establishes reserves for the estimated cost of environmental and legal contingencies when such expenditures are probable and reasonably estimable. A significant amount of judgment and use of estimates is required to quantify the ultimate exposure in these matters. The Company engages outside experts as deemed necessary or appropriate to assist in the evaluation of exposure. From time to time, as information becomes available regarding changes in circumstances for ongoing issues as well as information regarding emerging issues, the potential liability is reassessed and reserve balances are adjusted as necessary. Revisions to the estimates of potential liability, and actual expenditures related to environmental and legal contingencies, could have a material impact on the results of operations or financial position.

Warranty

Warranty

        The Company offers a warranty for all of its products. The specific terms and conditions of those warranties vary depending upon the product sold. The Company estimates the costs that may be incurred under its warranties and records a liability in the amount of such costs at the time product revenue is recognized. Factors that affect the Company's liability include historical product-failure experience and estimated repair costs for identified matters for each specific product category. The Company periodically assesses the adequacy of its recorded warranty liabilities and adjusts the amounts as necessary. Adjustments to recorded reserves for pre-existing warranties are not material for each period presented.

Concentration of Credit Risk

Concentration of Credit Risk

        The Company's accounts receivables are primarily due from a network independent dealers and direct customers. The Company monitors and manages the credit risk associated with the individual dealers and direct customers. The independent dealers are responsible for assessing and assuming credit risk of their customers and may require their customers to provide deposits or other credit enhancement measures. Historically, the Company has had a concentration of federal and local government receivables, however, they carry minimal credit risk.

Foreign Currency Translation

Foreign Currency Translation

        Results of foreign operations are translated into U.S. dollars using average exchange rates during the period, while assets and liabilities are translated into U.S. dollars using the exchange rates as of the balance sheet date. The resulting translation adjustments are recorded in accumulated other comprehensive income (loss).

        Transaction gains and losses resulting from exchange rate changes on transactions denominated in currencies other than the functional currency are included in other (income) expense, net, in the period in which the change occurs.

Stock-Based Compensation

Stock-Based Compensation

        The Company accounts for stock-based compensation according to applicable accounting guidance, which requires the Company to expense the cost of employee services received in exchange for an award of equity instruments based on the grant-date fair value of the award. This expense is recognized over the applicable vesting period.

Stock Options

        The fair value for stock options is estimated at the date of grant using an option pricing model, which requires management to make certain assumptions based on both historical and current data. The assumptions include expected term of the options, risk-free interest rate, expected volatility, and dividend yield. The expected term represents the expected amount of time that options granted are expected to be outstanding, based on historical and forecasted exercise behavior. The risk-free rate is based on the rate at grant date of zero-coupon U.S. Treasury Notes with a term equal to the expected term of the option. Expected volatility is estimated based on the historical volatility of the Company's stock price. The Company's dividend yield is based on historical data. Forfeitures are estimated at the date of grant based on historical experience.

Restricted Stock and Restricted Stock Units

        The fair value of restricted stock and restricted stock units is based on the closing market price of the Company's common stock on the date of grant. The Company recognizes compensation expense relating to restricted stock and restricted stock units ratably over the vesting period.

Earnings per Share

Earnings per Share

        Basic earnings per share excludes the dilutive effect of (i) common shares that could potentially be issued due to the exercise of stock options, and (ii) unvested restricted stock and restricted stock units and is computed by dividing net income by the weighted-average number of common shares outstanding for the period. Diluted earnings per share includes the effect of shares and potential shares issued under the stock incentive plans. The following table sets forth the reconciliation from basic to dilutive average common shares:

 
  December 31,  
 
  2012   2011   2010  
 
  (in thousands)
 

Weighted-average shares of common stock outstanding—basic

    46,635     46,250     45,600  

Potentially dilutive shares resulting from stock plans

    424     586     371  
               

Weighted-average common shares—diluted

    47,059     46,836     45,971  
               

Antidilutive equity awards not included in weighted average common shares-diluted

    596     164     1,701  
               
Use of Estimates

Use of Estimates

        The preparation of the consolidated financial statements in conformity with United States generally accepted accounting principles requires management to make estimates and assumptions that affect the reported amounts in the consolidated financial statements and accompanying notes. Actual results may differ from such estimates.

New Accounting Pronouncements

New Accounting Pronouncements

        In June 2011, the FASB issued amendments to guidance regarding the presentation of comprehensive income. The amendments eliminate the option to present components of other comprehensive income ("OCI") as part of the statement of changes in stockholders' equity. The amendments require an entity to present the total of comprehensive income, the components of net income, and the components of other comprehensive income either in a single continuous statement or in two separate, but consecutive statements. The amendments also require the entity to present on the face of the financial statements any reclassification adjustments for items that are reclassified from OCI to net income in the statement(s) where the components of net income and the components of OCI are presented. The amendments do not change the items that must be reported in OCI, when an item of OCI must be reclassed to net income or the option to present components of OCI either net of related tax effects or before related tax effects. The amendments, excluding the specific requirement to present on the face of the financial statements any reclassification adjustments for items that are reclassified from OCI to net income in the statement(s) where the components of net income and the components of OCI are presented which was deferred by the FASB in December 2011, are effective for fiscal years, and interim periods within those years, beginning after December 15, 2011 and are to be applied retrospectively. The Company adopted the guidance as of January 1, 2012, except for the deferred requirement to present reclassification adjustments in the statement(s) where the components of net income and the components of OCI are presented. The Company has presented comprehensive income in a single continuous statement.

XML 58 R83.htm IDEA: XBRL DOCUMENT v2.4.0.6
SCHEDULE II VALUATION AND QUALIFYING ACCOUNTS (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Allowance for doubtful accounts
     
Movement in valuation and qualifying accounts      
Balance at Beginning of Year $ 4,203 $ 3,645 $ 5,094
Additions Charged to Expenses 1,443 1,726 1,476
Charge-Offs 133 1,170 2,917
Other 1 2 (8)
Balance at End of Year 5,514 4,203 3,645
Allowance for other non-trade receivables
     
Movement in valuation and qualifying accounts      
Balance at Beginning of Year     118
Charge-Offs     118
Reserve for inventory valuation
     
Movement in valuation and qualifying accounts      
Balance at Beginning of Year 7,743 8,297 8,437
Additions Charged to Expenses 1,309 1,515 2,210
Charge-Offs 2,146 2,057 1,911
Other 10 (12) (439)
Balance at End of Year 6,916 7,743 8,297
Valuation allowance for deferred income tax assets
     
Movement in valuation and qualifying accounts      
Balance at Beginning of Year 7,385 7,506 8,314
Additions Charged to Expenses 646 219 (106)
Other (233) (340) (702)
Balance at End of Year $ 7,798 $ 7,385 $ 7,506
XML 59 R40.htm IDEA: XBRL DOCUMENT v2.4.0.6
DERIVATIVE FINANCIAL INSTRUMENTS (Tables)
12 Months Ended
Dec. 31, 2012
DERIVATIVE FINANCIAL INSTRUMENTS  
Effect of derivatives in cash flow hedging relationships

The effects of derivatives in cash flow hedging relationships for the twelve months ended December 31, 2012, 2011, and 2010 were as follows (in thousands):

Derivatives in Cash Flow Hedge Relationship
  Before—Tax Loss
Recognized in
OCI on Derivatives
(Effective Portion)
  Locations of Loss
Reclassified from
AOCI into Income
(Effective Portion)
  Before—Tax Loss
Reclassified from
AOCI into Income
(Effective Portion)
  Locations of Loss
Recognized in Income
on Derivatives
(Ineffective Portion)
  Before—Tax Loss
Recognized in Income
on Derivatives
(Ineffective Portion)
 

December 31, 2012

                           

Interest rate swap contracts

  $       $       $  
                       

Total

  $   Interest Expense   $   Other (income) expense, net   $  
                       

December 31, 2011

                           

Interest rate swap contracts

  $ 41       $ 4,237       $  
                       

Total

  $ 41   Interest Expense   $ 4,237   Other (income) expense, net   $  
                       

December 31, 2010

                           

Interest rate swap contracts

  $ 2,868   Interest Expense   $ 10,284   Other (income) expense, net   $ 1,177  
                       

Total

  $ 2,868       $ 10,284       $ 1,177  
                       
Effect of derivatives not designated as hedging instruments

The effect of derivatives not designated as hedging instruments for the twelve months ended December 31, 2011 was as follows (in thousands):

Derivatives Not Designanted as Hedging Instruments
  Locations of (Gain) Loss Recognized
in Income on Derivative
  2011  

Foreign currency contracts

  Other (income) expense, net   $ (1,153 )
           

Total

      $ (1,153 )
           
XML 60 R53.htm IDEA: XBRL DOCUMENT v2.4.0.6
CUSTOMER RECEIVABLES, NET (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
CUSTOMER RECEIVABLES, NET    
Allowance for doubtful accounts 5.5 4.2
Customer receivables | Concentration of risk by customer | U.S. government and agencies
   
Customer receivables    
Percentage of gross customer receivables 11.30% 18.80%
XML 61 R72.htm IDEA: XBRL DOCUMENT v2.4.0.6
STOCK PLANS (Details 3) (USD $)
12 Months Ended
Dec. 31, 2012
$10.24 $15.00
 
Range of Exercise Prices  
Range of exercise prices, low end of range (in dollars per share) $ 10.24
Range of exercise prices, high end of range (in dollars per share) $ 15.00
Options Outstanding  
Number of Options (in shares) 1,014,784
Weighted Average Remaining Contractual Life 3 years 5 months 23 days
Weighted Average Exercise Price (in dollars per share) $ 11.73
Options Exercisable  
Number of Options (in shares) 790,784
Weighted Average Exercise Price (in dollars per share) $ 12.06
$15.01 $18.77
 
Range of Exercise Prices  
Range of exercise prices, low end of range (in dollars per share) $ 15.01
Range of exercise prices, high end of range (in dollars per share) $ 18.77
Options Outstanding  
Number of Options (in shares) 194,500
Weighted Average Remaining Contractual Life 3 years 3 months 22 days
Weighted Average Exercise Price (in dollars per share) $ 17.81
Options Exercisable  
Number of Options (in shares) 174,500
Weighted Average Exercise Price (in dollars per share) $ 18.02
$18.78 $23.47
 
Range of Exercise Prices  
Range of exercise prices, low end of range (in dollars per share) $ 18.78
Range of exercise prices, high end of range (in dollars per share) $ 23.47
Options Outstanding  
Number of Options (in shares) 155,000
Weighted Average Remaining Contractual Life 4 years 1 month 10 days
Weighted Average Exercise Price (in dollars per share) $ 22.68
Options Exercisable  
Number of Options (in shares) 155,000
Weighted Average Exercise Price (in dollars per share) $ 22.68
$10.24 $23.47
 
Range of Exercise Prices  
Range of exercise prices, low end of range (in dollars per share) $ 10.24
Range of exercise prices, high end of range (in dollars per share) $ 23.47
Options Outstanding  
Number of Options (in shares) 1,364,284
Weighted Average Remaining Contractual Life 3 years 6 months 11 days
Weighted Average Exercise Price (in dollars per share) $ 13.84
Options Exercisable  
Number of Options (in shares) 1,120,284
Weighted Average Exercise Price (in dollars per share) $ 14.46
XML 62 R2.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED BALANCE SHEETS (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Current assets:    
Cash and cash equivalents $ 29,956 $ 28,263
Customer receivables, net 105,877 126,078
Inventories 98,195 89,244
Deferred income taxes 13,061 10,688
Prepaid and other current assets 11,433 10,620
Total current assets 258,522 264,893
Property, plant, and equipment, net 124,838 121,792
Goodwill 80,332 76,571
Intangible assets, net 222,498 220,679
Other non-trade receivables 3,700 3,248
Other noncurrent assets 5,163 908
Total Assets 695,053 688,091
Current liabilities:    
Accounts payable 83,600 83,824
Income taxes payable 6,327 14,625
Other current liabilities 86,018 84,679
Total current liabilities 175,945 183,128
Long-term debt 193,000 212,000
Deferred income taxes 51,382 49,778
Postretirement benefits other than pensions 10,005 10,656
Pension liability 64,836 56,873
Other noncurrent liabilities 11,785 10,233
Total liabilities 506,953 522,668
Commitments and contingent liabilities      
Stockholders' equity:    
Common stock, $0.01 par value; 200,000,000 shares authorized; 62,266,755 issued and 47,840,562 outstanding (net of 14,426,193 treasury shares) at December 31, 2012 and 61,854,474 shares issued and 47,748,699 outstanding (net of 14,105,775 treasury shares) at December 31, 2011 479 477
Additional paid-in-capital 27,751 23,631
Retained earnings 184,750 155,818
Accumulated other comprehensive income (loss) (24,880) (14,503)
Total stockholders' equity 188,100 165,423
Total Liabilities and Stockholders' Equity $ 695,053 $ 688,091
XML 63 R45.htm IDEA: XBRL DOCUMENT v2.4.0.6
STOCK PLANS (Tables)
12 Months Ended
Dec. 31, 2012
STOCK PLANS  
Schedule of restricted stock activity

 

 

 
  Restricted
Stock
  Weighted
Average
Fair Value
  Restricted
Stock Units
  Weighted
Average
Fair Value
 

Outstanding at December 31, 2011

    1,386,552   $ 18.69       $  

Granted

    315,030     15.98     110,000     14.04  

Forefeited

    (10,166 )   18.91          

Vested

    (625,427 )   18.89          
                       

Outstanding at December 31, 2012

    1,065,989   $ 17.77     110,000   $ 14.04  
                       
Schedule of assumptions used in the Black Scholes option pricing model

 

 

Expected volatility

    51 %

Expected dividend yield

    2.50 %

Expected term (in years)

    6  

Risk-free interest rate

    1.36 %

Exercise price

  $ 15.98  
Schedule of stock options activity

 

 

 
  Number of
Options
  Weighted
Average
Exercise
Price
  Weighted
Average
Remaining
Contractual
Life (years)
  Aggregate
Intrinsic Value
 

Outstanding at December 31, 2009

    3,407,761   $ 13.75         $  

Exercised

    (790,596 )   12.20           905,051  

Forfeited

    (112,064 )   14.20           35,192  
                   

Outstanding at December 31, 2010

    2,505,101   $ 14.22     4.47   $ 7,742,565  
                   

Exercisable at December 31, 2010

    1,683,101   $ 15.67     3.72   $ 2,961,443  
                   

Outstanding at December 31, 2010

    2,505,101   $ 14.22         $ 7,742,565  

Exercised

    (878,658 )   14.97           4,731,919  

Forfeited

    (86,250 )   13.54           565,800  
                   

Outstanding at December 31, 2011

    1,540,193   $ 13.83     4.35   $ 3,631,381  
                   

Exercisable at December 31, 2011

    1,062,193   $ 15.28     4.06   $ 1,597,081  
                   

Outstanding at December 31, 2011

    1,540,193   $ 13.83         $ 3,631,381  

Granted

    20,000     15.98            

Exercised

    (93,839 )   11.09           426,278  

Expired

    (37,070 )   16.34           37,070  

Forfeited

    (65,000 )   16.76           76,425  
                   

Outstanding at December 31, 2012

    1,364,284   $ 13.84     3.53   $ 3,686,098  
                   

Exercisable at December 31, 2012

    1,120,284   $ 14.46     3.34   $ 2,608,058  
                   
Schedule of stock options outstanding and exercisable by exercise price

The following table summarizes information regarding stock options outstanding and exercisable at December 31, 2012:

 
  Options Outstanding   Options Exercisable  
Ranges of Exercise Prices
  Number of
Options
  Weighted
Average
Remaining
Contractual
Life (years)
  Weighted
Average
Exercise
Price
  Number of
Options
  Weighted
Average
Exercise
Price
 

$10.24 - $15.00

    1,014,784     3.48   $ 11.73     790,784   $ 12.06  

$15.01 - $18.77

    194,500     3.31     17.81     174,500     18.02  

$18.78 - $23.47

    155,000     4.11     22.68     155,000     22.68  
                             

$10.24 - $23.47

    1,364,284     3.53   $ 13.84     1,120,284   $ 14.46  
                             
Schedule of non-vested options

 

 

 
  Number of
Options
  Weighted
Average
Grant-Date
Fair Value
 

Nonvested at December 31, 2011

    478,000   $ 4.26  

Granted

    20,000     6.26  

Vested

    (234,000 )   4.24  

Forfeited

    (20,000 )   4.32  
             

Nonvested at December 31, 2012

    244,000   $ 4.43  
             
XML 64 R6.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY (Parenthetical) (USD $)
In Thousands, except Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY      
Change in the fair value of interest rate swap contracts, income tax effect (in dollars)   $ 1,574 $ 3,471
Pension and other post-retirement liabilities, income tax effect (in dollars) $ 7,807 $ 7,239 $ 2,056
Exercise of stock options, shares 93,839 878,658 790,596
Shares issued under stock incentive plan 315,030 762,004 50,446
Shares issued under employee stock purchase plan   2,567 3,251
Shares issued to Board of Directors in lieu of cash 3,391 2,739 3,603
Cash dividend (in dollars per share) $ 0.44 $ 0.36 $ 0.12
Purchase of common stock, shares 310,252 768,780 869,065
XML 65 R59.htm IDEA: XBRL DOCUMENT v2.4.0.6
STOCKHOLDERS' EQUITY (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Preferred Stock      
Preferred stock authorized for issuance (in shares) 10,000,000    
Par value of preferred stock authorized for issuance (in dollars per share) $ 1.00    
Changes in accumulated other comprehensive income (loss), net of tax      
Beginning Balance $ (14,503) $ (3,161) $ (10,227)
Before-Tax Amount (18,184) (17,007) 12,593
Tax Benefit (Expense) 7,807 5,665 (5,527)
Net-of-Tax Amount (10,377) (11,342) 7,066
Ending Balance (24,880) (14,503) (3,161)
Pension and other post-retirement liability adjustment
     
Changes in accumulated other comprehensive income (loss), net of tax      
Beginning Balance (33,600) (22,161) (24,420)
Before-Tax Amount (20,165) (18,678) 4,315
Tax Benefit (Expense) 7,807 7,239 (2,056)
Net-of-Tax Amount (12,358) (11,439) 2,259
Ending Balance (45,958) (33,600) (22,161)
Foreign currency translation adjustment
     
Changes in accumulated other comprehensive income (loss), net of tax      
Beginning Balance 19,097 21,622 21,937
Before-Tax Amount 1,981 (2,525) (315)
Net-of-Tax Amount 1,981 (2,525) (315)
Ending Balance 21,078 19,097 21,622
Change in the fair value of interest rate swap contracts
     
Changes in accumulated other comprehensive income (loss), net of tax      
Beginning Balance   (2,622) (7,744)
Before-Tax Amount   4,196 8,593
Tax Benefit (Expense)   (1,574) (3,471)
Net-of-Tax Amount   2,622 5,122
Ending Balance     $ (2,622)
XML 66 R35.htm IDEA: XBRL DOCUMENT v2.4.0.6
PROPERTY, PLANT, AND EQUIPMENT (Tables)
12 Months Ended
Dec. 31, 2012
PROPERTY, PLANT, AND EQUIPMENT  
Schedule of property, plant and equipment

 

 

 
  December 31,
2012
  December 31,
2011
 
 
  (in thousands)
 

Land and buildings

  $ 108,841   $ 106,891  

Machinery and equipment

    257,665     248,704  

Construction in progress

    11,886     11,623  
           

Property, plant and equipment

    378,392     367,218  

Accumulated depreciation

    (253,554 )   (245,426 )
           

Property, plant and equipment, net

  $ 124,838   $ 121,792  
           
XML 67 R65.htm IDEA: XBRL DOCUMENT v2.4.0.6
LEASES (Details) (USD $)
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
LEASES      
Unamortized portion of cash abatements $ 4,800,000 $ 4,400,000  
Amount of per year increase in lease expenses 1,500,000    
Rent expense 15,900,000 16,000,000 15,800,000
Future minimum rental payments required under operating leases      
2013 14,136,000    
2014 11,765,000    
2015 13,324,000    
2016 12,192,000    
2017 10,562,000    
Subsequent years 42,456,000    
Total minimum rental payments $ 104,435,000    
XML 68 R22.htm IDEA: XBRL DOCUMENT v2.4.0.6
LEASES
12 Months Ended
Dec. 31, 2012
LEASES  
LEASES

15. LEASES

        The Company has commitments under operating leases for certain machinery and equipment as well as manufacturing, warehousing, showroom and other facilities used in its operations. Some of the leases contain renewal provisions and generally require the Company to pay certain operating expenses, including utilities, insurance and taxes, which are subject to escalation. At times the Company enters into lease agreements which contain a provision for cash abatements related to certain leasehold improvements. These abatements are recognized on a straight-line basis as a reduction to rent expense over the lease term. The unamortized portions as of December 31, 2012 and 2011 were $4.8 million and $4.4 million, respectively. During the third quarter of 2012, the Company entered into a new lease agreement to move the location of its New York City showroom and offices. The lease term commenced in December 2012 and ends August 2025. As a result of this new lease, there will be an approximately $1.5 million per year increase in rent expense in future periods. Total rent expense for 2012, 2011, and 2010 was $15.9 million, $16.0 million, and $15.8 million, respectively. Future minimum rental payments required, excluding maintenance and other miscellaneous charges, under those operating leases are as follows (in thousands):

 
  Future Minimum
Rental Payments
 

2013

  $ 14,136  

2014

    11,765  

2015

    13,324  

2016

    12,192  

2017

    10,562  

Subsequent years

    42,456  
       

Total minimum lease payments

  $ 104,435  
       
XML 69 R36.htm IDEA: XBRL DOCUMENT v2.4.0.6
GOODWILL AND OTHER INTANGIBLE ASSETS, NET (Tables)
12 Months Ended
Dec. 31, 2012
GOODWILL AND OTHER INTANGIBLE ASSETS, NET  
Schedule of the Company's other intangible assets

Information regarding the Company's other intangible assets are as follows (in thousands):

 
  December 31, 2012   December 31, 2011  
 
  Gross
Amount
  Accumulated
Amortization
  Net
Amount
  Gross
Amount
  Accumulated
Amortization
  Net
Amount
 

Indefinite-lived intangible assets:

                                     

Trademarks

  $ 216,721   $   $ 216,721   $ 213,881   $   $ 213,881  

Finite-lived intangible assets:

                                     

Various

    13,515     (7,738 )   5,777     16,859     (10,061 )   6,798  
                           

Total

  $ 230,236   $ (7,738 ) $ 222,498   $ 230,740   $ (10,061 ) $ 220,679  
                           
Schedule of estimated amortization expense based on the finite-lived intangible assets

The expected amortization expense based on the finite-lived intangible assets as of December 31, 2012 is as follows (in thousands):

 
  Estimated
Amortization
 

2013

  $ 746  

2014

    766  

2015

    739  

2016

    687  

2017

    651  
Schedule of changes in the carrying amount of goodwill by reportable segment

The changes in the carrying amount of goodwill by reportable segment are as follows (in thousands):

 
  Office
Segment
  Studio
Segment
  Coverings
Segment
  Total  

Balance, December 31, 2011

  $ 37,930   $ 2,206   $ 36,435   $ 76,571  

Goodwill acquired

        2,996         2,996  

Finalization of purchase accounting for prior year acquisition

            524     524  

Foreign currency translation adjustment

    241             241  
                   

Balance, December 31, 2012

  $ 38,171   $ 5,202   $ 36,959   $ 80,332  
                   
XML 70 R24.htm IDEA: XBRL DOCUMENT v2.4.0.6
STOCK PLANS
12 Months Ended
Dec. 31, 2012
STOCK PLANS  
STOCK PLANS

17. STOCK PLANS

        As of December 31, 2012, the Company sponsors two stock incentive plans under which awards denominated or payable in shares or options to purchase shares of Knoll common stock may be granted to officers, certain other employees, directors and consultants of the Company. In May 2007, the Company approved the 2007 Stock Incentive Plan which authorized the issuance of 2,000,000 shares of common stock. As of December 31, 2012, 25,857 shares remained available for issuance under this plan. In May of 2010, the Company approved the 2010 Stock Incentive Plan which authorized the issuance of 2,000,000 shares of common stock. As of December 31, 2012, 1,632,662 shares remained available for issuance under this plan.

        A Stock Option Committee currently consisting of the Compensation Committee of the Company's Board of Directors ("Stock Option Committee") has sole discretion concerning administration of the plans, including selection of individuals to receive awards, types of awards, the terms and conditions of the awards and the time at which awards will be granted.

Restricted Stock and Restricted Stock Units

        In 2007, the Company granted restricted stock awards to certain key employees aggregating 360,000 shares of common stock. These awards provided for the delivery of shares of common stock to award recipients upon the satisfaction of certain vesting requirements. The Company determined the fair value of the shares on the date of grant and recognized compensation expense ratably over the vesting period. These awards are all vested as of December 31, 2012.

        In 2008, the Company granted restricted stock awards to certain key employees and the Company's Board of Directors aggregating 992,117 shares of common stock. These awards provide for the delivery of shares of common stock to award recipients upon the satisfaction of certain vesting requirements. 900,000 of these shares will vest as to one-fifth of the shares underlying each award on each grant date anniversary, without regard to operating profit targets. 26,117 of these shares granted in 2008 vested one-third over each of the subsequent three years, without regard to operating profit targets. 66,000 of these shares will vest as to one-fifth of the restricted shares underlying each award to the extent that Knoll's operating profit for the period is equal to $156.0 million. An additional one-fifth will vest based on additional increments to operating profit of $15.0 million with full vesting upon the achievement of $216.0 million in operating profit. In any event, the awards will fully vest on the fifth anniversary of the date of the grant. In certain conditions vesting may be accelerated as defined in the restricted share agreements. The Company determined the fair value of the shares on the date of grant and is recognizing compensation expense ratably over the vesting period.

        In 2009, the Company granted restricted stock awards to the Company's Board of Directors aggregating 40,818 shares of common stock. These awards provided for the delivery of shares of common stock to award recipients upon the satisfaction of certain vesting requirements. These shares vested one-third over each of the subsequent three years, without regard to operating profit targets. The Company determined the fair value of the shares on the date of grant and recognized compensation expense ratably over the vesting period. In certain conditions vesting may be accelerated as defined in the restricted share agreements.

        In 2010, the Company granted restricted stock awards to the Company's Board of Directors aggregating 25,446 shares of common stock. These awards provide for the delivery of shares of common stock to award recipients upon the satisfaction of certain vesting requirements. These shares vest one-third over each of the subsequent three years, without regard to operating profit targets. The Company determined the fair value of the shares on the date of grant and is recognizing compensation expense ratably over the vesting period. In addition, the Company granted 25,000 restricted stock awards to a certain key employee. These shares cliff vest on the third anniversary of the grant date. In certain conditions vesting may be accelerated as defined in the restricted share agreements. The Company determined the fair value of the shares on the date of grant and is recognizing compensation expense ratably over the vesting period.

        In 2011, the Company granted restricted stock awards to certain key employees and the Company's Board of Directors aggregating 762,004 shares of common stock. These awards provide for the delivery of shares of common stock to award recipients upon the satisfaction of certain vesting requirements. 748,000 of these shares vested as to one-third of the shares underlying each award since Knoll's operating profit was equal to $77 million. An additional one-third would have vested if Knoll's annual operating profit was equal to $92 million. In any event, the awards will fully vest on the third anniversary of the date of grant. The remaining 14,004 shares granted in 2011 will vest as to one-third over each of the subsequent three years, without regard to operating targets. In certain conditions vesting may be accelerated as defined in the restricted share agreements. The Company determined the fair value of the shares on the date of grant and is recognizing compensation expense ratably over the vesting period.

        In 2012, the Company granted restricted stock awards to certain key employees and the Company's Board of Directors aggregating 315,030 shares of common stock. These awards provide for the delivery of shares of common stock to award recipients upon the satisfaction of certain vesting requirements. 292,500 of these awards cliff vest on the third anniversary of the grant date. 22,530 of these awards will vest as to the one-third over each of the subsequent three years, without regard to operating targets. In certain conditions vesting may be accelerated as defined in the restricted share agreements. In addition, during 2012 the Company granted 110,000 restricted stock units to certain key employees. These awards provide for the delivery of shares of common stock to award recipients upon the satisfaction of certain vesting requirements. 90,000 of these awards vest as to one-sixth over each of the subsequent six years, without regard to operating targets. 20,000 of these awards cliff vest on the third anniversary of the grant date. In certain conditions vesting may be accelerated as defined in the restricted unit agreements. The Company determined the fair value of the awards on the date of grant and is recognizing compensation expense ratably over the vesting period.

        The following table summarizes the Company's restricted stock and restricted stock units activity during the year:

 
  Restricted
Stock
  Weighted
Average
Fair Value
  Restricted
Stock Units
  Weighted
Average
Fair Value
 

Outstanding at December 31, 2011

    1,386,552   $ 18.69       $  

Granted

    315,030     15.98     110,000     14.04  

Forefeited

    (10,166 )   18.91          

Vested

    (625,427 )   18.89          
                       

Outstanding at December 31, 2012

    1,065,989   $ 17.77     110,000   $ 14.04  
                       

Stock Options

        The Company recognizes compensation expense using the graded vesting attribution method which treats each option grant as multiple grants each with its own requisite service period.

        In 2009, the Company granted 935,000 stock options to certain key employees of the Company. These options vest ratably over a four-year period on the anniversary of the grant date. The contractual life of these options is 7 years. In addition, the options have accelerated vesting provisions upon a change of control of the Company.

        In 2012, the Company granted 20,000 stock options to certain key employees of the Company. These options vest ratably over a five-year period on the anniversary of the grant date. The contractual life of these options is 10 years. In addition, the options have accelerated vesting provisions upon a change of control of the Company. The grant-date fair value of these options granted was $6.26 based on the following assumptions used in the Black Scholes option pricing model:

Expected volatility

    51 %

Expected dividend yield

    2.50 %

Expected term (in years)

    6  

Risk-free interest rate

    1.36 %

Exercise price

  $ 15.98  

        The following table summarizes the Company's stock option activity for the preceding three years.

 
  Number of
Options
  Weighted
Average
Exercise
Price
  Weighted
Average
Remaining
Contractual
Life (years)
  Aggregate
Intrinsic Value
 

Outstanding at December 31, 2009

    3,407,761   $ 13.75         $  

Exercised

    (790,596 )   12.20           905,051  

Forfeited

    (112,064 )   14.20           35,192  
                   

Outstanding at December 31, 2010

    2,505,101   $ 14.22     4.47   $ 7,742,565  
                   

Exercisable at December 31, 2010

    1,683,101   $ 15.67     3.72   $ 2,961,443  
                   

Outstanding at December 31, 2010

    2,505,101   $ 14.22         $ 7,742,565  

Exercised

    (878,658 )   14.97           4,731,919  

Forfeited

    (86,250 )   13.54           565,800  
                   

Outstanding at December 31, 2011

    1,540,193   $ 13.83     4.35   $ 3,631,381  
                   

Exercisable at December 31, 2011

    1,062,193   $ 15.28     4.06   $ 1,597,081  
                   

Outstanding at December 31, 2011

    1,540,193   $ 13.83         $ 3,631,381  

Granted

    20,000     15.98            

Exercised

    (93,839 )   11.09           426,278  

Expired

    (37,070 )   16.34           37,070  

Forfeited

    (65,000 )   16.76           76,425  
                   

Outstanding at December 31, 2012

    1,364,284   $ 13.84     3.53   $ 3,686,098  
                   

Exercisable at December 31, 2012

    1,120,284   $ 14.46     3.34   $ 2,608,058  
                   

        The following table summarizes information regarding stock options outstanding and exercisable at December 31, 2012:

 
  Options Outstanding   Options Exercisable  
Ranges of Exercise Prices
  Number of
Options
  Weighted
Average
Remaining
Contractual
Life (years)
  Weighted
Average
Exercise
Price
  Number of
Options
  Weighted
Average
Exercise
Price
 

$10.24 - $15.00

    1,014,784     3.48   $ 11.73     790,784   $ 12.06  

$15.01 - $18.77

    194,500     3.31     17.81     174,500     18.02  

$18.78 - $23.47

    155,000     4.11     22.68     155,000     22.68  
                             

$10.24 - $23.47

    1,364,284     3.53   $ 13.84     1,120,284   $ 14.46  
                             

        A summary of the status of the Company's non-vested options as of December 31, 2012, and changes during the year ended December 31, 2012, is presented below.

 
  Number of
Options
  Weighted
Average
Grant-Date
Fair Value
 

Nonvested at December 31, 2011

    478,000   $ 4.26  

Granted

    20,000     6.26  

Vested

    (234,000 )   4.24  

Forfeited

    (20,000 )   4.32  
             

Nonvested at December 31, 2012

    244,000   $ 4.43  
             

        The total fair value of options vested during the years 2012, 2011, and 2010 was $1.0 million, $1.4 million, and $1.5 million, respectively.

        Compensation costs related to stock-based compensation for the years ended December 31, 2012, 2011, and 2010 totaled $10.4 million pre-tax ($6.6 million after-tax), $9.7 million pre-tax ($5.9 million after-tax), and $9.2 million pre-tax ($5.6 million after-tax), respectively, and are included within selling, general, and administrative expenses.

        At December 31, 2012 and December 31, 2011, the total compensation cost related to non-vested awards not yet recognized equaled $12.9 million and $16.8 million, respectively, including $0.3 million and $0.6 million for stock options, respectively, and $12.7 million and $16.2 million for restricted stock awards and restricted stock units, respectively. The weighted average remaining period over which the cost is to be recognized is 1.5 years.

Other Stock-Based Compensation Plans

        On December 31, 2011 the Company terminated its Employee Stock Purchase Plan (ESPP) whereby employees of the Company were able to purchase shares of Knoll common stock at a discounted rate. The discount rate was 5% off the average of the high and low sale price per share on the last trading day of the purchase period. Employees were able to contribute 1-10% of their eligible gross pay up to a $25,000 annual stock value limit. In 2011 and 2010 employees purchased 2,567 and 3,251 shares, respectively, in accordance with the terms of the ESPP.

XML 71 R68.htm IDEA: XBRL DOCUMENT v2.4.0.6
PENSIONS AND OTHER POSTRETIREMENT BENEFITS (Details 3) (USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Weighted-average asset allocations        
Weighted-average asset allocations (as a percent)   100.00% 100.00%  
Temporary investment funds
       
Weighted-average asset allocations        
Weighted-average asset allocations (as a percent)   3.00% 4.00%  
Equity investment funds
       
Weighted-average asset allocations        
Weighted-average asset allocations (as a percent)   61.00% 59.00%  
Target allocation        
Target allocation percentage   60.00%    
Fixed income Funds
       
Weighted-average asset allocations        
Weighted-average asset allocations (as a percent)   36.00% 37.00%  
Target allocation        
Target allocation percentage   40.00%    
Pension Benefits
       
Amounts recognized in the consolidated balance sheet consist of:        
Current liabilities   $ (20,645,000) $ (16,875,000)  
Noncurrent liabilities   (64,382,000) (56,336,000)  
Net amount recognized   (85,027,000) (73,211,000)  
Amounts recognized in accumulated other comprehensive income before taxes:        
Net actuarial loss   79,996,000 61,918,000  
Prior service cost (benefit)   25,000 39,000  
Net amount recognized   80,021,000 61,957,000  
Total amount recognized in OCI        
Net actuarial (gain)/loss   22,187,000 29,546,000  
Amortization of:        
Prior service cost/(credit)   (14,000) (101,000)  
Actuarial (gain)/loss   (4,108,000) (1,996,000)  
Total recognized in OCI   18,065,000 27,449,000  
Amount included in accumulated other comprehensive income and expected to be recognized in net periodic pension cost in next fiscal year        
Estimated net actuarial loss 8,623,000      
Estimated prior service costs 14,000      
Components of the net periodic benefit cost        
Service cost   7,209,000 10,634,000 10,401,000
Interest cost   11,819,000 11,211,000 10,811,000
Expected return on plan assets   (12,523,000) (13,008,000) (11,671,000)
Amortization of prior service cost   14,000 32,000 61,000
Recognized actuarial loss   4,108,000 1,996,000 1,058,000
Curtailment (benefits) expense     69,000  
Net periodic benefit cost   10,627,000 10,934,000 10,660,000
Assumptions used to determine net periodic benefit cost        
Discount rate (as a percent)       6.10%
Expected return on plan assets (as a percent)   7.10% 8.20% 8.15%
Rate of compensation increase (as a percent)   2.50% 2.50% 4.00%
Estimated future benefit payments        
Expected contributions in next fiscal year   20,600,000    
2013   6,124,000    
2014   7,134,000    
2015   8,252,000    
2016   9,439,000    
2017   10,747,000    
2018-2022   76,037,000    
Pension Benefits | Maximum
       
Assumptions used to determine net periodic benefit cost        
Discount rate (as a percent)   5.15% 5.75%  
Pension Benefits | Minimum
       
Assumptions used to determine net periodic benefit cost        
Discount rate (as a percent)   5.10% 4.95%  
Other Benefits
       
Amounts recognized in the consolidated balance sheet consist of:        
Current liabilities   (1,141,000) (1,229,000)  
Noncurrent liabilities   (10,005,000) (10,656,000)  
Net amount recognized   (11,146,000) (11,885,000)  
Amounts recognized in accumulated other comprehensive income before taxes:        
Net actuarial loss   3,263,000 4,539,000  
Prior service cost (benefit)   (8,418,000) (11,793,000)  
Net amount recognized   (5,155,000) (7,254,000)  
Total amount recognized in OCI        
Net actuarial (gain)/loss   (292,000) (2,939,000)  
Prior service cost/(credit)     (12,218,000)  
Amortization of:        
Prior service cost/(credit)   3,375,000 7,268,000  
Actuarial (gain)/loss   (983,000) (882,000)  
Total recognized in OCI   2,100,000 (8,771,000)  
Components of the net periodic benefit cost        
Service cost   50,000 476,000 452,000
Interest cost   457,000 1,114,000 1,481,000
Amortization of prior service cost   (3,375,000) (1,754,000) (1,205,000)
Recognized actuarial loss   983,000 882,000 553,000
Curtailment (benefits) expense     (5,514,000) (338,000)
Net periodic benefit cost   (1,885,000) (4,796,000) 943,000
Assumptions used to determine net periodic benefit cost        
Discount rate (as a percent)       6.10%
Assumed health care cost trend rates        
Annual rate of increase in the per capita cost of covered health care benefits (as a percent) 8.00% 8.50%    
Annual rate of increase in the per capita cost of covered prescription drug benefits (as a percent) 7.00% 8.50%    
For covered health care benefits, the ultimate rate to which the rate is assumed to decrease for 2019 and thereafter (2013 assumption) and for 2018 and thereafter (2012 assumption), as a percent 5.00% 5.00%    
For covered prescription drug benefits, the ultimate rate to which the rate is assumed to decrease for 2017 and thereafter (2013 assumption) and for 2019 and thereafter (2012 assumption), as a percent 5.00% 5.00%    
Effects of 1% change in assumed health care cost trend rate        
Effect of 1% increase on benefit obligation   313,000    
Effect of 1% increase on aggregate of the service and interest cost components of net periodic benefit cost   18,000    
Effect of 1% decrease on benefit obligation   305,000    
Effect of 1% decrease on aggregate of the service and interest cost components of net periodic benefit cost   18,000    
Estimated future benefit payments        
Expected contributions in next fiscal year   1,100,000    
2013   1,141,000    
2014   1,224,000    
2015   1,212,000    
2016   1,068,000    
2017   946,000    
2018-2022   $ 3,486,000    
Other Benefits | Maximum
       
Assumptions used to determine net periodic benefit cost        
Discount rate (as a percent)   5.05% 4.65%  
Other Benefits | Minimum
       
Assumptions used to determine net periodic benefit cost        
Discount rate (as a percent)   3.40% 3.50%  
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XML 73 R7.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
CASH FLOWS FROM OPERATING ACTIVITES      
Net income $ 50,001 $ 58,011 $ 28,024
Adjustments to reconcile net income to cash provided by operating activities:      
Depreciation 14,632 15,373 17,433
Amortization expense (including deferred financing fees) 1,915 2,365 2,028
Provision for deferred taxes 4,393 2,560 7,075
Write-off of fixed assets due to restructuring     2,962
Write-off of deferred financing fees 477    
Unrealized foreign currency loss (gain) 1,338 (2,551) 2,050
Ineffective portion of interest rate swaps     1,177
Curtailment benefit   (5,445) (338)
Stock-based compensation 10,356 9,671 9,208
Other non-cash items (412) 139 108
Changes in assets and liabilities:      
Customer receivables 20,131 991 (14,676)
Inventories (7,512) (4,158) (6,032)
Accounts payable (563) (17,695) 28,051
Current and deferred income taxes (15,831) 3,075 9,340
Other current assets (3,920) 881 (2,768)
Other current liabilities 815 1,738 8,735
Other noncurrent assets and liabilities (5,252) 1,966 (2,745)
Cash provided by operating activities 70,568 66,921 89,632
CASH FLOWS FOR INVESTING ACTIVITIES      
Capital expenditures, net (16,545) (15,175) (8,312)
Purchase of business, net of cash acquired (5,968) (832)  
Purchase of intangibles (488) (325) (725)
Cash used in investing activities (23,001) (16,332) (9,037)
CASH FLOWS FOR FINANCING ACTIVITIES      
Proceeds from revolving credit facilities 562,000 334,000 213,000
Repayment of revolving credit facilities (581,000) (367,000) (263,000)
Repayment of long-term debt   (135) (134)
Payment of financing fees (2,848)    
Payment of dividends (20,537) (16,658) (5,496)
Proceeds from the issuance of common stock 1,091 13,238 9,737
Purchase of common stock for treasury (4,676) (15,026) (12,073)
Tax benefit from the exercise of stock options and vesting of equity awards 179 1,668 479
Cash used in financing activities (45,791) (49,913) (57,487)
Effect of exchange rate changes on cash and cash equivalents (83) 652 (2,134)
Increase in cash and cash equivalents 1,693 1,328 20,974
Cash and cash equivalents at beginning of period 28,263 26,935 5,961
Cash and cash equivalents at end of period $ 29,956 $ 28,263 $ 26,935
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CONSOLIDATED BALANCE SHEETS (Parenthetical) (USD $)
Dec. 31, 2012
Dec. 31, 2011
CONSOLIDATED BALANCE SHEETS    
Common stock, par value (in dollars per share) $ 0.01 $ 0.01
Common stock, shares authorized 200,000,000 200,000,000
Common stock, shares issued 62,266,755 61,854,474
Common stock, shares outstanding 47,840,562 47,748,699
Treasury shares 14,426,193 14,105,775
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INDEBTEDNESS
12 Months Ended
Dec. 31, 2012
INDEBTEDNESS  
INDEBTEDNESS

10. INDEBTEDNESS

        The Company's long-term debt is summarized as follows (in thousands):

 
  December 31,
2012
  December 31,
2011
 

Revolving credit facility

  $ 193,000   $ 212,000  

Revolving Credit Facilities

        On February 3, 2012, the Company amended and restated its credit facility, dated June 29, 2007, with a new $450.0 million credit facility maturing on February 3, 2017. The Company may use the line of credit for general corporate purposes, including strategic acquisitions, stock buy-backs and cash dividends. Under the Company's credit agreement dated February 3, 2012, the Company can increase its credit facility by up to $200.0 million subject to certain limitations and satisfaction of certain conditions, including compliance with certain financial covenants.

        Loans made pursuant to the credit facility may be borrowed, repaid and re-borrowed from time to time until February 3, 2017, subject to satisfaction of certain conditions on the date of any such borrowing. Obligations under the credit facility are secured by a first priority security interest in (i) the capital stock of each present and future subsidiary (with limitations on foreign subsidiaries) and (ii) all present and future property and assets of the Company (with various limitations and exceptions). Borrowings under the credit facility bear interest, at the Company's election, at (i) the Eurocurrency Rate (as defined in the credit agreement), plus additional percentage points based on the Company's leverage ratio or (ii) the Base Rate (a rate based on the higher of (a) the prime rate announced from time-to-time by Bank of America, N.A., (b) the Federal Reserve System's federal funds rate, plus .50% or (c) the Eurocurrency Rate plus 1.00%; Base Rate is defined in detail in the credit agreement), plus additional percentage points based on the Company's leverage ratio. The interest rates were 1.96% and 1.15% as of December 31, 2012 and 2011, respectively.

        The credit agreement contains a letter of credit sub facility that allows for the issuance of letters of credit and swing-line loans. Subject to the ability to increase the credit facility by up to $200.0 million as mentioned above, the sum of the outstanding revolver balance plus any outstanding letters of credit and swing-line loans cannot exceed $450.0 million. The amount available for borrowing under the revolving credit facility is reduced by the total outstanding letters of credit and swing-line loans. The Company had letters of credit outstanding totaling $6.3 million and $3.0 million at December 31, 2012 and 2011, respectively.

        The Company is required to pay an annual commitment fee equal to a rate per annum calculated as the product of the applicable rate based upon the Company's leverage ratio as set forth in the credit agreement, times the unused portion of the revolving credit facility. In addition, the Company is required to pay an annual letter of credit fee equal to the applicable rate as set forth in the credit agreement times the daily maximum amount available to be drawn under such letter of credit.

        In addition, the credit agreement also contains various affirmative and negative covenants that among other things, limit, subject to certain exceptions, the incurrence of additional indebtedness in excess of a specified amount in any fiscal year. The Company was in compliance with the credit agreement covenants at December 31, 2012.

Deferred Financing Fees

        In connection with the refinancing of the Company's previous credit facility during the first quarter of 2012, the Company wrote-off $0.5 million of unamortized deferred financing fees associated with the previous credit facility and incurred $2.8 million in new financing fees that will be amortized as a component of interest expense over the life of the new facility through February 2017. Deferred financing fees, net of accumulated amortization, totaled $2.6 million and $0.9 million as of December 31 2012 and 2011, respectively. Amortization expense related to the deferred financing fees, included in interest expense, was $0.6 million for each of the years ended December 31, 2012, 2011, and 2010.

Others

        The Company also has several revolving credit agreements with various European financial institutions. These credit agreements provide credit primarily for overdraft and working capital purposes. As of December 31, 2012, total credit available under such agreements was approximately $11.8 million. There is currently no expiration date on these agreements. The interest rates on borrowings are variable and are based on the monetary market rate that is linked to each country's prime rate. The Company had no outstanding borrowings under the European credit facilities as of December 31, 2012 or 2011.

Interest Paid

        During 2012, 2011, and 2010, the Company made interest payments, including any amounts related to the Company's interest rate swap agreements, totaling $5.4 million, $9.8 million, and $17.0 million, respectively.

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Document and Entity Information (USD $)
12 Months Ended
Dec. 31, 2012
Feb. 22, 2013
Jun. 30, 2012
Document and Entity Information      
Entity Registrant Name KNOLL INC    
Entity Central Index Key 0001011570    
Document Type 10-K    
Document Period End Date Dec. 31, 2012    
Amendment Flag false    
Current Fiscal Year End Date --12-31    
Entity Well-known Seasoned Issuer Yes    
Entity Voluntary Filers No    
Entity Current Reporting Status Yes    
Entity Filer Category Large Accelerated Filer    
Entity Public Float     $ 611,711,000
Entity Common Stock, Shares Outstanding   48,183,615  
Document Fiscal Year Focus 2012    
Document Fiscal Period Focus FY    
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MM!T@U7T/.:&H]O2I6N.B5Z!GF6.M:_D^%!$6/)WM5(8!K!@HPI0?LEPC`LT2 MYZMR3&JD1+?!D$4>#/I;&YSA`)8;:V*/^,F.<6WUK:ZM)RVU"<<(IP>:- M&A;1;

 
  Beginning
Balance
  Before-Tax
Amount
  Tax Benefit
(Expense)
  Net-of-Tax
Amount
  Ending
Balance
 

December 31, 2010

                               

Pension and other post-retirement liability adjustment

  $ (24,420 ) $ 4,315   $ (2,056 ) $ 2,259   $ (22,161 )

Foreign currency translation adjustment

    21,937     (315 )       (315 )   21,622  

Change in the fair value of interest rate swap contracts

    (7,744 )   8,593     (3,471 )   5,122     (2,622 )
                       

Accumulated other comprehensive income (loss)

  $ (10,227 ) $ 12,593   $ (5,527 ) $ 7,066   $ (3,161 )
                       

December 31, 2011

                               

Pension and other post-retirement liability adjustment

  $ (22,161 ) $ (18,678 ) $ 7,239   $ (11,439 ) $ (33,600 )

Foreign currency translation adjustment

    21,622     (2,525 )       (2,525 )   19,097  

Change in the fair value of interest rate swap contracts

    (2,622 )   4,196     (1,574 )   2,622      
                       

Accumulated other comprehensive income (loss)

  $ (3,161 ) $ (17,007 ) $ 5,665   $ (11,342 ) $ (14,503 )
                       

December 31, 2012

                               

Pension and other post-retirement liability adjustment

  $ (33,600 ) $ (20,165 ) $ 7,807   $ (12,358 ) $ (45,958 )

Foreign currency translation adjustment

    19,097     1,981         1,981     21,078  
                       

Accumulated other comprehensive income (loss)

  $ (14,503 ) $ (18,184 ) $ 7,807   $ (10,377 ) $ (24,880 )
                       
XML 79 R80.htm IDEA: XBRL DOCUMENT v2.4.0.6
RESTRUCTURING CHARGES (Details) (USD $)
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Restructuring charges      
Restructuring and other charges   $ 696,000 $ 7,565,000
Payments 200,000 2,100,000 3,000,000
Restructuring accrual 200,000    
Employee termination costs
     
Restructuring charges      
Additions 3,900,000    
Facility realignment
     
Restructuring charges      
Additions 1,500,000    
Write-off of fixed assets
     
Restructuring charges      
Additions $ 3,000,000    
XML 80 R4.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE INCOME (USD $)
In Thousands, except Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE INCOME      
Sales $ 887,499 $ 922,200 $ 809,467
Cost of sales 593,149 627,803 545,118
Gross profit 294,350 294,397 264,349
Selling, general, and administrative expenses 206,449 202,075 192,460
Restructuring and other charges   696 7,565
Curtailment benefit   5,445 338
Operating profit 87,901 97,071 64,662
Interest expense 6,350 9,753 17,436
Other (income) expense, net 3,215 (1,508) 6,379
Income before income tax expense 78,336 88,826 40,847
Income tax expense 28,335 30,815 12,823
Net income 50,001 58,011 28,024
Earnings per share:      
Basic (in dollars per share) $ 1.07 $ 1.25 $ 0.61
Diluted (in dollars per share) $ 1.06 $ 1.24 $ 0.61
Weighted-average shares of common stock outstanding:      
Basic (in shares) 46,634,834 46,249,571 45,600,043
Diluted (in shares) 47,059,186 46,835,712 45,970,680
Net income 50,001 58,011 28,024
Other comprehensive income (loss)      
Pension and other post-retirement liability adjustment, net of tax (12,358) (11,439) 2,259
Foreign currency translation adjustment 1,981 (2,525) (315)
Change in the fair value of interest rate swap contracts, net of tax   2,622 5,122
Total other comprehensive income (loss) (10,377) (11,342) 7,066
Total comprehensive income $ 39,624 $ 46,669 $ 35,090
XML 81 R12.htm IDEA: XBRL DOCUMENT v2.4.0.6
CUSTOMER RECEIVABLES, NET
12 Months Ended
Dec. 31, 2012
CUSTOMER RECEIVABLES, NET  
CUSTOMER RECEIVABLES, NET

5. CUSTOMER RECEIVABLES, NET

        Customer receivables are presented net of an allowance for doubtful accounts of $5.5 million and $4.2 million at December 31, 2012 and 2011, respectively. Management performs ongoing credit evaluations of its clients and generally does not require collateral. As of December 31, 2012 and 2011, the U.S. government and agencies thereof, represented approximately 11.3% and 18.8%, respectively, of gross customer receivables.

XML 82 R11.htm IDEA: XBRL DOCUMENT v2.4.0.6
RESTRICTED CASH
12 Months Ended
Dec. 31, 2012
RESTRICTED CASH  
RESTRICTED CASH

4. RESTRICTED CASH

        Included in the Company's consolidated balance sheet in cash and cash equivalents is $0.3 million of restricted cash at December 31, 2012 and 2011. This $0.3 million bond is held in the United Kingdom in order to defer the payment of duties on imports into United Kingdom.

XML 83 R23.htm IDEA: XBRL DOCUMENT v2.4.0.6
PENSION AND OTHER POSTRETIREMENT BENEFITS
12 Months Ended
Dec. 31, 2012
PENSION AND OTHER POSTRETIREMENT BENEFITS  
PENSION AND OTHER POSTRETIREMENT BENEFITS

16. PENSION AND OTHER POSTRETIREMENT BENEFITS

        The Company has two domestic defined benefit pension plans and two plans providing for other postretirement benefits, including medical and life insurance coverage. One of the pension plans and one of the other postretirement benefits plans cover eligible U.S. nonunion employees while the other pension plan and other postretirement benefits plan cover eligible U.S. union employees. The Company uses a December 31 measurement date for both of these plans.

        Both the pension plans and the other postretirement benefit plans were modified during the year ended December 31, 2011. Participants who had 70 or greater points (age plus completed years of service) could elect to stay in the pension and accrue additional benefits or receive the Company's 401K match which was reinstated as of January 1, 2012. Those with less than 70 points were removed from the pension plan and will not accrue any additional benefits after December 31, 2011. However, these individuals will receive the Company's 401K match commencing in 2012. The Company's other postretirement benefit plans are in the process of being eliminated. As a result of these modifications to the post retirement benefit plans, the Company recorded a $5.4 million curtailment benefit during the year ended December 31, 2011.

        The year-end status of these plans was as follows (in thousands):

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2012   2011  

Change in projected benefit obligation:

                         

Projected benefit obligation at December 31

  $ 232,442   $ 196,820   $ 11,885   $ 26,783  

Service cost

    7,209     10,634     50     476  

Interest cost

    11,819     11,211     457     1,114  

Plan Amendments

                (12,218 )

Participant contributions

    15     137         699  

Actuarial loss (gain)

    31,551     23,180     (292 )   (2,939 )

Benefits paid

    (4,620 )   (4,179 )   433     (2,030 )

Liability gain due to Curtailment

        (5,361 )   (1,387 )    
                   

Projected benefit obligation at December 31

  $ 278,416   $ 232,442   $ 11,146   $ 11,885  
                   

Accumulated benefit obligation, December 31

  $ 271,116   $ 226,051   $   $  
                   

Change in plan assets:

                         

Fair value of plan assets at December 31

  $ 159,231   $ 152,015   $   $  

Actual return on plan assets

    21,888     1,277          

Employer contributions

    16,875     9,981     954     1,331  

Participant contributions

    15     137     433     699  

Benefits paid

    (4,620 )   (4,179 )   (1,387 )   (2,030 )
                   

Fair value of plan assets at December 31

  $ 193,389   $ 159,231   $   $  
                   

Funded status

  $ (85,027 ) $ (73,211 ) $ (11,146 ) $ (11,885 )
                   

        Assumptions used in computing the benefit obligation as of December 31, 2012 and 2011 were as follows:

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2012   2011  

Discount rate

    4.30 - 4.40 %   5.10 - 5.15 %   2.25 - 4.25 %   3.40 - 5.05 %

Expected return on plan assets

    7.10     7.10     N/A     N/A  

Rate of compensation increase

    2.50     2.50     N/A     N/A  

        The following table presents the fair value of the Company's pension plan investments as of December 31, 2012 and 2011 (in thousands).

 
  Level 1   Level 2   Level 3   Total  

Equity Securities

                         

U.S. equity securities

  $ 99,840           $ 99,840  

Non-U.S. equity securities

    18,565             18,565  

Debt Securities

                         

Fixed income funds and cash investment funds

    74,984             74,984  
                   

December 31, 2012

  $ 193,389           $ 193,389  
                   

Equity Securities

                         

U.S. equity securities

  $ 79,773           $ 79,773  

Non-U.S. equity securities

    14,282             14,282  

Debt Securities

                         

Fixed income funds and cash investment funds

    65,176             65,176  
                   

December 31, 2011

  $ 159,231           $ 159,231  
                   

        See Note 21 of the consolidated financial statements for the description of the levels of the fair value hierarchy.

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2012   2011  
 
  (in thousands)
 

Amounts recognized in the consolidated balance sheet consist of:

                         

Current liabilities

  $ (20,645 ) $ (16,875 ) $ (1,141 ) $ (1,229 )

Noncurrent liabilities

    (64,382 )   (56,336 )   (10,005 )   (10,656 )
                   

Net amount recognized

  $ (85,027 ) $ (73,211 ) $ (11,146 ) $ (11,885 )
                   

Amounts recognized in accumulated other comprehensive income before taxes:

                         

Net actuarial loss

  $ 79,996   $ 61,918   $ 3,263   $ 4,539  

Prior service cost (benefit)

    25     39     (8,418 )   (11,793 )
                   

Net amount recognized

  $ 80,021   $ 61,957   $ (5,155 ) $ (7,254 )
                   

        The following table sets forth other changes in the benefit obligation recognized in other comprehensive income for the Company's pension and other postretirement benefits plans (in thousands):

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2012   2011  

Net actuarial (gain)/loss

  $ 22,187   $ 29,546   $ (292 ) $ (2,939 )

Prior service cost/(credit)

                (12,218 )

Amortization of:

                         

Prior service cost/(credit)

    (14 )   (101 )   3,375     7,268  

Actuarial (gain)/loss

    (4,108 )   (1,996 )   (983 )   (882 )
                   

Total recognized in OCI

  $ 18,065   $ 27,449   $ 2,100   $ (8,771 )
                   

        The estimated net actuarial loss, and prior service cost, for the defined benefit pension plans included in accumulated other comprehensive income and expected to be recognized in net periodic pension cost during the fiscal year ended December 31, 2013 is $8,623,000 and $14,000, respectively.

        The following table sets forth the components of the net periodic benefit cost for the Company's pension and other postretirement benefits plans (in thousands):

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2010   2012   2011   2010  

Service cost

  $ 7,209   $ 10,634   $ 10,401   $ 50   $ 476   $ 452  

Interest cost

    11,819     11,211     10,811     457     1,114     1,481  

Expected return on plan assets

    (12,523 )   (13,008 )   (11,671 )            

Amortization of prior service cost

    14     32     61     (3,375 )   (1,754 )   (1,205 )

Recognized actuarial loss

    4,108     1,996     1,058     983     882     553  

Curtailment (benefit) expense

        69             (5,514 )   (338 )
                           

Net periodic benefit cost

  $ 10,627   $ 10,934   $ 10,660   $ (1,885 ) $ (4,796 ) $ 943  
                           

        Assumptions used to determine net periodic benefit cost for the years ended December 31, 2012, 2011, and 2010 were as follows:

 
  Pension Benefits   Other Benefits  
 
  2012   2011   2010   2012   2011   2010  

Discount rate

    5.10 - 5.15 %   4.95 - 5.75 %   6.10 %   3.40 - 5.05 %   3.50 - 4.65 %   6.10 %

Expected return on plan assets

    7.10     8.20     8.15     N/A     N/A     N/A  

Rate of compensation increase

    2.50     2.50     4.00     N/A     N/A     N/A  

        The expected long-term rate of return on assets is based on management's expectations of long-term average rates of return to be earned on the investment portfolio. In establishing this assumption, management considers historical and expected returns for the asset classes in which the plan assets are invested.

        For purposes of measuring the benefit obligation associated with the Company's other postretirement benefit plans as of December 31, 2012, as well as the assumed rate for 2013, an 8.00% annual rate of increase in the per capita cost of covered health care benefits was assumed and a 7.00% annual rate of increase in the per capita cost of covered prescription drug benefits was assumed. The rates were then assumed to decrease to an ultimate rate of 5% for 2019 and 2017, respectively, and thereafter. For purposes of measuring the net periodic benefit cost for 2012 associated with the Company's other postretirement benefits plans, an 8.50% annual rate of increase in the per capita cost of covered medical benefits was assumed (both medical and prescription drug). The rate was then assumed to decrease to an ultimate rate of 5% for 2018 for the medical plan and 2019 for the prescription drug plan and thereafter. Increasing the assumed health care cost trend rate by 1.0% would increase the benefit obligation as of December 31, 2012 by $313,000 and increase the aggregate of the service and interest cost components of net periodic benefit cost for 2012 by $18,000. Decreasing the assumed health care cost trend rate by 1.0% would decrease the benefit obligation as of December 31, 2012 by $305,000 and decrease the aggregate of the service and interest cost components of net periodic benefit cost for 2012 by $18,000.

        The Company's pension plans' weighted-average asset allocations as of December 31, 2012 and 2011, by asset category were as follows:

 
  Plan Assets at
December 31,
 
 
  2012   2011  

Asset Category:

             

Temporary investment funds

    3 %   4 %

Equity investment funds

    61     59  

Fixed income funds

    36     37  
           

Total

    100 %   100 %
           

        The Company's pension plans' investment policy includes an asset mix based on the Company's risk posture. The investment policy states a target allocation of 60% equity funds and 40% fixed income funds. Inclusion of the fixed income funds is to provide growth through income and these funds should primarily invest in fixed income instruments of the U.S. Treasury and government agencies and investment-grade corporate bonds. The equity fund investments can consist of a broadly diversified domestic equity fund, an actively managed domestic equity fund and an actively managed international equity fund. The purpose of these funds is to provide the opportunity for capital appreciation, income, and the ability to diversify investments outside the U.S. equity market. Mutual funds are used as the plans' investment vehicle since they have clearly stated investment objectives and guidelines, offer a high degree of investment flexibility, offer competitive long-term results, and are cost effective for small asset balances.

        The Company expects to contribute $20.6 million to its pension plans and approximately $1.1 million to its other postretirement benefit plans in 2013. Estimated future benefit payments under the pension and other postretirement plans are as follows:

 
  Pension Benefits   Other Benefits  
 
  (in thousands)
 

2013

  $ 6,124   $ 1,141  

2014

    7,134     1,224  

2015

    8,252     1,212  

2016

    9,439     1,068  

2017

    10,747     946  

2018 - 2022

    76,037     3,486  

        The Company also sponsors a 401(k) retirement savings plan for all U.S. employees. Under this plan, participants may defer a portion of their earnings up to the annual contribution limits established by the Internal Revenue Service. For associates who do not participate in the Company's pension plans, the plan allows for the Company to make a fixed matching contribution of 50.0% of participant contributions up to the first 6.0% of compensation for both nonunion and union employees; however, matching contributions were suspended in 2011 and 2010. The fixed matched was reinstated beginning January 1, 2012. For participants who are union or nonunion employees and no longer participate in a Knoll pension plan, the plan also provides for a discretionary employer contribution based on the Company's profits, as determined by the Company's board of directors. In addition, the plan also provides for an additional employer contribution for individuals who are nearing retirement age and no longer participate in a Knoll pension plan. The plan also provides that the Company may make discretionary contributions of common stock to participant accounts on behalf of all actively employed U.S. participants. Company contributions generally vest ratably over a five-year period. A Knoll common stock fund consisting of 1,000,000 shares of common stock into which participants may invest the compensation they elect to defer was established on December 14, 2004. Participant contributions into the Knoll common stock fund are generally limited to no more than 10% of their total account balance in the plan. Participant contributions in the Knoll common stock fund may be transferred into other investment alternatives or distributed in the form of shares of Knoll common stock if so invested at the time of distribution.

        The Company's total expense under the 401(k) plan for U.S. employees was $3.0 million for 2012. In 2011 and 2010, the Company did not match any 401(k) contributions.

        Employees of the Canadian, Belgium and United Kingdom operations participate in defined contribution pension plans sponsored by the Company. The Company's expense related to these plans for 2012, 2011, and 2010 was $1.3 million, $1.2 million, and $1.1 million, respectively.

XML 84 R19.htm IDEA: XBRL DOCUMENT v2.4.0.6
DERIVATIVE FINANCIAL INSTRUMENTS
12 Months Ended
Dec. 31, 2012
DERIVATIVE FINANCIAL INSTRUMENTS  
DERIVATIVE FINANCIAL INSTRUMENTS

12. DERIVATIVE FINANCIAL INSTRUMENTS

Interest Rate Swaps

        The Company occasionally uses derivative financial instruments to reduce its exposure to adverse fluctuations in interest rates.

        On May 21, 2008, the Company entered into four interest rate swap agreements for purposes of managing its risk in interest rate fluctuations. These agreements each hedged a notional amount of $150.0 million of the Company's borrowings under the revolving credit facility. Two of the agreements were effective June 9, 2009 and expired on June 9, 2010. On these two agreements, the Company paid a fixed rate of 3.51% and received a variable rate of interest equal to three-month London Interbank Offered Rate (LIBOR), as determined on the last day of each quarterly settlement period. The other two agreements were effective on June 9, 2010 and expired on June 9, 2011. The Company paid a fixed rate of 4.10% on these two agreements and received a variable rate of interest equal to three-month LIBOR as determined on the last day of each quarterly settlement period.

        The Company elected to apply hedge accounting to these swap agreements. Changes in the fair value of the effective portion of the interest rate swap agreements was recorded as a component of accumulated other comprehensive income (loss). The net amount received or paid upon quarterly settlements was recorded as an adjustment to interest expense, with a corresponding adjustment in accumulated other comprehensive income (loss).

        The Company had no outstanding interest rate swap contracts as of December 31, 2012 and 2011.

        The effects of derivatives in cash flow hedging relationships for the twelve months ended December 31, 2012, 2011, and 2010 were as follows (in thousands):

Derivatives in Cash Flow Hedge Relationship
  Before—Tax Loss
Recognized in
OCI on Derivatives
(Effective Portion)
  Locations of Loss
Reclassified from
AOCI into Income
(Effective Portion)
  Before—Tax Loss
Reclassified from
AOCI into Income
(Effective Portion)
  Locations of Loss
Recognized in Income
on Derivatives
(Ineffective Portion)
  Before—Tax Loss
Recognized in Income
on Derivatives
(Ineffective Portion)
 

December 31, 2012

                           

Interest rate swap contracts

  $       $       $  
                       

Total

  $   Interest Expense   $   Other (income) expense, net   $  
                       

December 31, 2011

                           

Interest rate swap contracts

  $ 41       $ 4,237       $  
                       

Total

  $ 41   Interest Expense   $ 4,237   Other (income) expense, net   $  
                       

December 31, 2010

                           

Interest rate swap contracts

  $ 2,868   Interest Expense   $ 10,284   Other (income) expense, net   $ 1,177  
                       

Total

  $ 2,868       $ 10,284       $ 1,177  
                       

        The Company will continue to review its exposure to interest rate fluctuations and evaluate whether it should manage such exposure through derivative transactions.

Foreign Currency Contracts

        From time to time, the Company enters into foreign currency forward exchange contracts and foreign currency option contracts to manage its exposure to foreign exchange rates associated with short-term operating receivables of a Canadian subsidiary that are payable by the U.S. operations. The terms of these contracts are generally less than a year. Changes in the fair value of such contracts are reported in earnings as a component of other (income) expense, net. The Company did not enter into any foreign currency contracts during 2012 or 2010. There were no outstanding exchange rate contracts as of December 31, 2012 or 2011.

        During 2011, the Company entered into multiple foreign currency contracts. The effect of derivatives not designated as hedging instruments for the twelve months ended December 31, 2011 was as follows (in thousands):

Derivatives Not Designanted as Hedging Instruments
  Locations of (Gain) Loss Recognized
in Income on Derivative
  2011  

Foreign currency contracts

  Other (income) expense, net   $ (1,153 )
           

Total

      $ (1,153 )
           
XML 85 R15.htm IDEA: XBRL DOCUMENT v2.4.0.6
GOODWILL AND OTHER INTANGIBLE ASSETS, NET
12 Months Ended
Dec. 31, 2012
GOODWILL AND OTHER INTANGIBLE ASSETS, NET  
GOODWILL AND OTHER INTANGIBLE ASSETS, NET

8. GOODWILL AND OTHER INTANGIBLE ASSETS, NET

        Information regarding the Company's other intangible assets are as follows (in thousands):

 
  December 31, 2012   December 31, 2011  
 
  Gross
Amount
  Accumulated
Amortization
  Net
Amount
  Gross
Amount
  Accumulated
Amortization
  Net
Amount
 

Indefinite-lived intangible assets:

                                     

Trademarks

  $ 216,721   $   $ 216,721   $ 213,881   $   $ 213,881  

Finite-lived intangible assets:

                                     

Various

    13,515     (7,738 )   5,777     16,859     (10,061 )   6,798  
                           

Total

  $ 230,236   $ (7,738 ) $ 222,498   $ 230,740   $ (10,061 ) $ 220,679  
                           

        The Company's amortization expense related to finite-lived intangible assets was $1.0 million, $1.3 million, and $1.4 million for the years ended December 31, 2012, 2011, and 2010, respectively. The expected amortization expense based on the finite-lived intangible assets as of December 31, 2012 is as follows (in thousands):

 
  Estimated
Amortization
 

2013

  $ 746  

2014

    766  

2015

    739  

2016

    687  

2017

    651  

        The changes in the carrying amount of goodwill by reportable segment are as follows (in thousands):

 
  Office
Segment
  Studio
Segment
  Coverings
Segment
  Total  

Balance, December 31, 2011

  $ 37,930   $ 2,206   $ 36,435   $ 76,571  

Goodwill acquired

        2,996         2,996  

Finalization of purchase accounting for prior year acquisition

            524     524  

Foreign currency translation adjustment

    241             241  
                   

Balance, December 31, 2012

  $ 38,171   $ 5,202   $ 36,959   $ 80,332  
                   
XML 86 R60.htm IDEA: XBRL DOCUMENT v2.4.0.6
DERIVATIVE FINANCIAL INSTRUMENTS (Details) (USD $)
In Millions, unless otherwise specified
0 Months Ended
May 21, 2008
item
Interest rate swap contracts
 
Derivative financial instruments  
Number of interest rate agreements 4
Agreements which were effective on June 9, 2009 and expired on June 9, 2010
 
Derivative financial instruments  
Number of interest rate agreements 2
Fixed rate of derivatives paid (as a percent) 3.51%
Variable rate of interest received three-month LIBOR
Agreements which were effective on June 9, 2010 and expired on June 9, 2011
 
Derivative financial instruments  
Number of interest rate agreements 2
Notional amount of each agreement 150.0
Fixed rate of derivatives paid (as a percent) 4.10%
Variable rate of interest received three-month LIBOR
XML 87 R13.htm IDEA: XBRL DOCUMENT v2.4.0.6
INVENTORIES
12 Months Ended
Dec. 31, 2012
INVENTORIES  
INVENTORIES

6. INVENTORIES

 
  December 31,
2012
  December 31,
2011
 
 
  (in thousands)
 

Raw materials

  $ 50,159   $ 46,399  

Work-in-process

    7,626     6,926  

Finished goods

    40,410     35,919  
           

 

  $ 98,195   $ 89,244  
           

        Inventory reserves for obsolescence and other estimated losses were $6.9 million and $7.7 million at December 31, 2012 and 2011, respectively, and have been included in the amounts above.

XML 88 R14.htm IDEA: XBRL DOCUMENT v2.4.0.6
PROPERTY, PLANT, AND EQUIPMENT
12 Months Ended
Dec. 31, 2012
PROPERTY, PLANT, AND EQUIPMENT  
PROPERTY, PLANT, AND EQUIPMENT

7. PROPERTY, PLANT, AND EQUIPMENT

 
  December 31,
2012
  December 31,
2011
 
 
  (in thousands)
 

Land and buildings

  $ 108,841   $ 106,891  

Machinery and equipment

    257,665     248,704  

Construction in progress

    11,886     11,623  
           

Property, plant and equipment

    378,392     367,218  

Accumulated depreciation

    (253,554 )   (245,426 )
           

Property, plant and equipment, net

  $ 124,838   $ 121,792  
           

        Included in construction in progress are computer software costs of $4.7 million and $2.6 million as of December 31, 2012 and December 31, 2011, respectively.

XML 89 R16.htm IDEA: XBRL DOCUMENT v2.4.0.6
OTHER CURRENT LIABILITIES
12 Months Ended
Dec. 31, 2012
OTHER CURRENT LIABILITIES  
OTHER CURRENT LIABILITIES

9. OTHER CURRENT LIABILITIES

 
  December 31,
2012
  December 31,
2011
 
 
  (in thousands)
 

Accrued employee compensation

  $ 33,974   $ 36,213  

Accrued pension costs

    20,645     16,875  

Customer deposits

    5,899     6,518  

Warranty

    7,852     8,146  

Other

    17,648     16,927  
           

Other current liabilities

  $ 86,018   $ 84,679  
           
XML 90 R64.htm IDEA: XBRL DOCUMENT v2.4.0.6
INCOME TAXES (Details 2) (USD $)
3 Months Ended 12 Months Ended
Jun. 30, 2010
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
INCOME TAXES        
Income taxes paid, net of refunds received   $ 26,700,000 $ 13,500,000 $ 500,000
Reconciliation of statutory federal income tax rate to the effective income tax rate        
Federal statutory tax rate (as a percent)   35.00% 35.00% 35.00%
Increase (decrease) in the tax rate resulting from:        
State taxes, net of federal effect (as a percent)   3.20% 3.00% 2.10%
Effect of tax rates of other countries (as a percent)   (0.50%) (2.20%) (0.70%)
Foreign Tax Credit-Amended Returns (as a percent)       (6.90%)
Section 199 deduction (as a percent)   (1.50%) (1.70%) (0.40%)
Change in Contingency Reserve   (1.90%)    
Other (as a percent)   1.90% 0.60% 2.30%
Effective tax rate (as a percent)   36.20% 34.70% 31.40%
Benefit realized, including interest due and net of taxes, as a result of the filing of amended Federal Income Tax Returns in order to claim Foreign Tax Credits 2,800,000      
Foreign earnings that are expected to be reinvested indefinitely   117,200,000    
Unrecognized tax benefits, which would reduce the effective tax rate if recognized   1,200,000 2,000,000  
Summarizes the activity related to unrecognized tax benefits        
Balance, beginning of the year   2,044,000 1,953,000 1,821,000
Additions for tax positions related to the current year   125,000 189,000 112,000
Additions for tax positions related to the prior year   191,000   69,000
Decreases for tax positions related to the prior year   (1,102,000)   (46,000)
Settlements with taxing authorities       (47,000)
Lapse of statute of limitations   (106,000) (137,000) (119,000)
Change in exchange rate     39,000 163,000
Balance, end of the year   1,152,000 2,044,000 1,953,000
Income tax penalties and interest        
Reduction in accrual for interest and penalties   600,000    
Interest and penalties, net of deferred taxes     100,000 100,000
Accrued payment of interest and penalties   100,000 700,000  
Foreign
       
Operating loss carryforwards        
Net operating loss carryforwards   31,200,000    
Increase in valuation allowance to recognize the benefits associated with net operating loss carry forwards   $ 600,000    
Foreign | Low end of range
       
Operating loss carryforwards        
Period for net operating loss carryforwards to be carried forward   5 years    
XML 91 R66.htm IDEA: XBRL DOCUMENT v2.4.0.6
PENSION AND OTHER POSTRETIREMENT BENEFITS (Details) (USD $)
12 Months Ended
Dec. 31, 2012
item
Dec. 31, 2011
Dec. 31, 2010
PENSION AND OTHER POSTRETIREMENT BENEFITS      
Requisite points for participation 70    
Gain on modification to pension plans and other postretirement plan   $ 5,400,000  
Change in projected benefit obligation:      
Liability gain due to Curtailment   5,445,000 338,000
Pension Benefits
     
PENSION AND OTHER POSTRETIREMENT BENEFITS      
Number of plans 2    
Number of plans covering nonunion employees 1    
Change in projected benefit obligation:      
Projected benefit obligation at the beginning of the period 232,442,000 196,820,000  
Service cost 7,209,000 10,634,000 10,401,000
Interest cost 11,819,000 11,211,000 10,811,000
Participant contributions 15,000 137,000  
Actuarial loss (gain) 31,551,000 23,180,000  
Benefits paid (4,620,000) (4,179,000)  
Liability gain due to Curtailment   (5,361,000)  
Projected benefit obligation at the end of the period 278,416,000 232,442,000 196,820,000
Accumulated benefit obligation at the end of the period 271,116,000 226,051,000  
Change in plan assets:      
Fair value of plan assets at the beginning of the period 159,231,000 152,015,000  
Actual return on plan assets 21,888,000 1,277,000  
Employer contributions 16,875,000 9,981,000  
Participant contributions 15,000 137,000  
Benefits paid (4,620,000) (4,179,000)  
Fair value of plan assets at the end of the period 193,389,000 159,231,000 152,015,000
Funded status (85,027,000) (73,211,000)  
Assumptions used in computing the benefit obligation      
Expected return on plan assets (as a percent) 7.10% 7.10%  
Rate of compensation increase (as a percent) 2.50% 2.50%  
Pension Benefits | Maximum
     
Assumptions used in computing the benefit obligation      
Discount rate (as a percent) 4.40% 5.15%  
Pension Benefits | Minimum
     
Assumptions used in computing the benefit obligation      
Discount rate (as a percent) 4.30% 5.10%  
Other Benefits
     
PENSION AND OTHER POSTRETIREMENT BENEFITS      
Number of plans 2    
Number of plans covering nonunion employees 1    
Change in projected benefit obligation:      
Projected benefit obligation at the beginning of the period 11,885,000 26,783,000  
Service cost 50,000 476,000 452,000
Interest cost 457,000 1,114,000 1,481,000
Plan Amendments   (12,218,000)  
Participant contributions   699,000  
Actuarial loss (gain) (292,000) (2,939,000)  
Benefits paid 433,000 (2,030,000)  
Liability gain due to Curtailment (1,387,000)    
Projected benefit obligation at the end of the period 11,146,000 11,885,000 26,783,000
Change in plan assets:      
Employer contributions 954,000 1,331,000  
Participant contributions 433,000 699,000  
Benefits paid (1,387,000) (2,030,000)  
Funded status (11,146,000) $ (11,885,000)  
Other Benefits | Maximum
     
Assumptions used in computing the benefit obligation      
Discount rate (as a percent) 4.25% 5.05%  
Other Benefits | Minimum
     
Assumptions used in computing the benefit obligation      
Discount rate (as a percent) 2.25% 3.40%  
XML 92 R63.htm IDEA: XBRL DOCUMENT v2.4.0.6
INCOME TAXES (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Income before income tax expense      
U.S. operations $ 59,478 $ 67,379 $ 32,123
Foreign operations 18,858 21,447 8,724
Income before income tax expense 78,336 88,826 40,847
Current:      
Federal 16,766 16,794 1,488
State 3,240 3,561 1,426
Foreign 3,936 7,900 2,834
Total current: 23,942 28,255 5,748
Deferred      
Federal 2,934 4,087 7,044
State 608 695 420
Foreign 851 (2,222) (389)
Total deferred 4,393 2,560 7,075
Income tax expense 28,335 30,815 12,823
Deferred tax assets      
Accounts receivable, principally due to allowance for doubtful accounts 1,986 1,514  
Inventories 3,340 2,762  
Net operating loss carryforwards 8,433 8,888  
Accrued pension 31,544 26,924  
Stock-based compensation 4,966 7,343  
Compensation-related accruals 3,209 3,103  
Warranty 2,781 3,459  
Obligation for postretirement benefits other than pension 4,187 4,467  
Accrued liabilities and other items 4,755 4,037  
Gross deferred tax assets 65,201 62,497  
Valuation allowance (7,798) (7,385)  
Net deferred tax assets 57,403 55,112  
Deferred tax liabilities:      
Intangibles 84,518 82,841  
Plant and equipment 11,206 11,361  
Gross deferred tax liabilities 95,724 94,202  
Net deferred tax liabilities $ (38,321) $ (39,090)  
XML 93 R34.htm IDEA: XBRL DOCUMENT v2.4.0.6
INVENTORIES (Tables)
12 Months Ended
Dec. 31, 2012
INVENTORIES  
Schedule of inventories

 

 

 
  December 31,
2012
  December 31,
2011
 
 
  (in thousands)
 

Raw materials

  $ 50,159   $ 46,399  

Work-in-process

    7,626     6,926  

Finished goods

    40,410     35,919  
           

 

  $ 98,195   $ 89,244  
           
XML 94 R51.htm IDEA: XBRL DOCUMENT v2.4.0.6
ACQUISITIONS (Details) (USD $)
In Millions, unless otherwise specified
0 Months Ended
Mar. 01, 2012
Richard Schultz Design Inc
Mar. 01, 2012
Richard Schultz Design Inc
Trademarks
Mar. 01, 2012
Richard Schultz Design Inc
Customer relationships
Mar. 01, 2012
Richard Schultz Design Inc
Non-competition agreements
Dec. 30, 2011
Filzfelt
Acquisitions          
Cash purchase price $ 6.0        
Intangible assets acquired   2.8 0.2 0.2  
Goodwill recognized on acquisition $ 3.0       $ 1.3
Period over which goodwill for tax purpose will be amortized 15 years        
XML 95 R21.htm IDEA: XBRL DOCUMENT v2.4.0.6
INCOME TAXES
12 Months Ended
Dec. 31, 2012
INCOME TAXES  
INCOME TAXES

14. INCOME TAXES

        Income before income tax expense consists of the following:

 
  2012   2011   2010  
 
  (in thousands)
 

U.S. operations

  $ 59,478   $ 67,379   $ 32,123  

Foreign operations

    18,858     21,447     8,724  
               

Total

  $ 78,336   $ 88,826   $ 40,847  
               

        Income tax expense is comprised of the following:

 
  2012   2011   2010  
 
  (in thousands)
 

Current:

                   

Federal

  $ 16,766   $ 16,794   $ 1,488  

State

    3,240     3,561     1,426  

Foreign

    3,936     7,900     2,834  
               

Total current:

    23,942     28,255     5,748  

Deferred

                   

Federal

  $ 2,934   $ 4,087   $ 7,044  

State

    608     695     420  

Foreign

    851     (2,222 )   (389 )
               

Total deferred

    4,393     2,560     7,075  
               

Income tax expense

  $ 28,335   $ 30,815   $ 12,823  
               

        The following table sets forth the tax effects of temporary differences that give rise to the deferred tax assets and liabilities:

 
  December 31,
2012
  December 31,
2011
 
 
  (in thousands)
 

Deferred tax assets

             

Accounts receivable, principally due to allowance for doubtful accounts

  $ 1,986   $ 1,514  

Inventories

    3,340     2,762  

Net operating loss carryforwards

    8,433     8,888  

Accrued pension

    31,544     26,924  

Stock-based compensation

    4,966     7,343  

Compensation-related accruals

    3,209     3,103  

Warranty

    2,781     3,459  

Obligation for postretirement benefits other than pension

    4,187     4,467  

Accrued liabilities and other items

    4,755     4,037  
           

Gross deferred tax assets

    65,201     62,497  

Valuation allowance

    (7,798 )   (7,385 )
           

Net deferred tax assets

    57,403     55,112  
           

Deferred tax liabilities:

             

Intangibles

    84,518     82,841  

Plant and equipment

    11,206     11,361  
           

Gross deferred tax liabilities

    95,724     94,202  
           

Net deferred tax liabilities

  $ (38,321 ) $ (39,090 )
           

        Income taxes paid, net of refunds received, by the Company during 2012, 2011, and 2010 totaled $26.7 million, $13.5 million, and $0.5 million respectively.

        As of December 31, 2012, the Company had net operating loss carryforwards totaling approximately $31.2 million in the United Kingdom, Germany, and Italy. The net operating loss carryforwards may be carried forward for a period of 5 years in Italy and indefinitely in the United Kingdom and Germany. The Company provides a valuation allowance against certain net foreign deferred tax assets (principally the net operating loss carryforwards) due to the uncertainty that they can be realized.

        During 2012, the Company increased the valuation allowance by $0.6 million in connection with the benefits associated with net operating loss carry forwards that the Company concluded would not be realized. This entire amount was reflected as a foreign deferred income tax expense for the current year.

        The following table sets forth a reconciliation of the statutory federal income tax rate to the effective income tax rate:

 
  2012   2011   2010  

Federal statutory tax rate

    35.0 %   35.0 %   35.0 %

Increase (decrease) in the tax rate resulting from:

                   

State taxes, net of federal effect

    3.2     3.0     2.1  

Effect of tax rates of other countries

    (0.5 )   (2.2 )   (0.7 )

Foreign Tax Credit-Amended Returns

            (6.9 )

Section 199 deduction

    (1.5 )   (1.7 )   (0.4 )

Change in Contingency Reserve

    (1.9 )        

Other

    1.9     0.6     2.3  
               

Effective tax rate

    36.2 %   34.7 %   31.4 %
               

        During the second quarter of 2010, the Company filed amended Federal Income Tax Returns in order to claim Foreign Tax Credits for the years 2005 through 2008. The Company realized a $2.8 million benefit, during the year ended December 31, 2010 as a result of the filing of these amended returns. During the fourth quarter of 2012, the Company received the refund claimed.

        The Company has not made provisions for U.S. federal and state income taxes as of December 31, 2012 on approximately $117.2 million of foreign earnings that are expected to be reinvested indefinitely. Upon distribution of those earnings in the form of dividends or otherwise, the Company would be subject to U.S. federal and state income taxes (subject to an adjustment for foreign tax credits) and withholding taxes payable to the various foreign countries.

        As of December 31, 2012 and 2011, the Company had unrecognized tax benefits of approximately $1.2 million and $2.0 million, respectively. The entire amount of the unrecognized tax benefits would reduce the effective tax rate if recognized.

        The following table summarizes the activity related to our unrecognized tax benefits during 2012, 2011, and 2010:

 
  2012   2011   2010  
 
  (in thousands)
 

Balance, beginning of the year

  $ 2,044   $ 1,953   $ 1,821  

Additions for tax position related to the current year

    125     189     112  

Additions for tax position related to the prior year

    191         69  

Decreases for tax position related to the prior year

    (1,102 )       (46 )

Prior year reductions

                   

Settlements with taxing authorities

            (47 )

Lapse of statute of limitations

    (106 )   (137 )   (119 )

Change in exchange rate

        39     163  
               

Balance, end of the year

  $ 1,152   $ 2,044   $ 1,953  
               

        As a result of the decrease in unrecognized tax benefits during the year ended December 31, 2012, the Company reduced the accrual for interest and penalties by $0.6 million, net of deferred taxes. During 2011 and 2010, the Company recognized approximately $0.1 million of interest and penalties, net of deferred taxes. The Company has accrued approximately $0.1 million for the payment of interest and penalties at December 31, 2012, and $0.7 million for the payment of interest and penalties at December 31, 2011.

        As of December 31, 2012, the Company is subject to U.S. Federal Income Tax examination for the tax years 2009 through 2012, and to non-U.S. income tax examination for the tax years 2004 to 2012. In addition, the Company is subject to state and local income tax examinations for the tax years 2004 through 2012.

        There are no tax positions included in unrecognized tax benefits at December 31, 2012 for which it is reasonably possible that the total amounts could significantly change during the next twelve months.

XML 96 R26.htm IDEA: XBRL DOCUMENT v2.4.0.6
OTHER (INCOME) EXPENSE, NET
12 Months Ended
Dec. 31, 2012
OTHER (INCOME) EXPENSE, NET  
OTHER (INCOME) EXPENSE, NET

19. OTHER (INCOME) EXPENSE, NET

        The components of other (income) expense, net are as follows:

 
  Year Ended December 31,  
 
  2012   2011   2010  
 
  (in thousands)
 

Foreign exchanges transaction (gain) loss

  $ 2,834   $ (2,669 ) $ 5,525  
               

Unrealized loss on derivatives

            1,177  
               

Write-off of deferred financing fees

    477          
               

Other

    (96 )   1,161     (323 )
               

Other (income) expense, net

  $ 3,215   $ (1,508 ) $ 6,379  
               
XML 97 R49.htm IDEA: XBRL DOCUMENT v2.4.0.6
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES      
Lag period for including results of European subsidiaries in consolidated financial statements 1 month    
Cash and Cash Equivalents      
Maximum term of original maturity to classify instruments as cash and cash equivalents 3 months    
Research and Development Costs      
Research and development expenses $ 15.3 $ 15.4 $ 14.6
Buildings
     
Property, Plant, Equipment and Depreciation      
Useful life 45 years    
Machinery and equipment | Maximum
     
Property, Plant, Equipment and Depreciation      
Useful life 12 years    
Machinery and equipment | Minimum
     
Property, Plant, Equipment and Depreciation      
Useful life 2 years    
XML 98 R41.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONTINGENT LIABILITIES AND COMMITMENTS (Tables)
12 Months Ended
Dec. 31, 2012
CONTINGENT LIABILITIES AND COMMITMENTS  
Schedule of changes in the warranty reserve

Changes in the Company's warranty reserve during the years ended December 31, 2012, 2011, and 2010 were as follows:

 
  2012   2011   2010  
 
  (in thousands)
 

Balance, beginning of the year

  $ 8,146   $ 8,090   $ 9,773  

Provision for warranty claims

    6,488     7,007     4,808  

Warranty claims paid

    (6,887 )   (6,950 )   (6,478 )

Increase due to acquisition

    106          

Foreign currency translation adjustment

    (1 )   (1 )   (13 )
               

Balance, end of the year

  $ 7,852   $ 8,146   $ 8,090  
               
XML 99 R5.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY (USD $)
In Thousands, unless otherwise specified
Total
Common Stock
Additional Paid-In Capital
Retained Earnings
Accumulated Other Comprehensive Income (Loss)
Comprehensive Income
Balance at Dec. 31, 2009 $ 89,562 $ 470 $ 6,736 $ 92,583 $ (10,227)  
Increase (Decrease) in Stockholders' Equity            
Net income 28,024     28,024   28,024
Foreign currency translation adjustment (315)       (315) (315)
Change in the fair value of interest rate swap contracts (net of income tax effect of $1,574 and $3,471 for the year ended 2011 and 2010 respectively) 5,122       5,122 5,122
Pension and other post-retirement liabilities (net of income tax effect of $7,807, $7,239 and $2,056 for the year ended 2012, 2011 and 2010 respectively) 2,259       2,259 2,259
Total comprehensive income 35,090         35,090
Shares issued for consideration:            
Exercise of stock options (93,839, 878,658 and 790,596 shares for the year ended 2012, 2011 and 2010 respectively) 9,643 8 9,635      
Income tax effect from the exercise of stock options and vesting of restricted stock 479   479      
Shares issued under employee stock purchase plan (2,567 and 3,251 shares for the year ended 2011 and 2010 respectively) 44   44      
Shares issued to Board of Directors in lieu of cash (3,391, 2,739 and 3,603 shares for the year ended 2012, 2011 and 2010 respectively) 50   50      
Stock-based compensation 9,208   9,208      
Cash dividend ($.44, $.36 and $.12 per share for the year ended 2012, 2011 and 2010 respectively) (5,617)     (5,617)    
Purchase of common stock (310,252, 768,780 and 869,065 shares for the year ended 2012, 2011 and 2010 respectively) (12,073) (8) (12,065)      
Balance at Dec. 31, 2010 126,386 470 14,087 114,990 (3,161)  
Increase (Decrease) in Stockholders' Equity            
Net income 58,011     58,011   58,011
Foreign currency translation adjustment (2,525)       (2,525) (2,525)
Change in the fair value of interest rate swap contracts (net of income tax effect of $1,574 and $3,471 for the year ended 2011 and 2010 respectively) 2,622       2,622 2,622
Pension and other post-retirement liabilities (net of income tax effect of $7,807, $7,239 and $2,056 for the year ended 2012, 2011 and 2010 respectively) (11,439)       (11,439) (11,439)
Total comprehensive income 46,669         46,669
Shares issued for consideration:            
Exercise of stock options (93,839, 878,658 and 790,596 shares for the year ended 2012, 2011 and 2010 respectively) 13,151 15 13,136      
Income tax effect from the exercise of stock options and vesting of restricted stock 1,668   1,668      
Shares issued under employee stock purchase plan (2,567 and 3,251 shares for the year ended 2011 and 2010 respectively) 37   37      
Shares issued to Board of Directors in lieu of cash (3,391, 2,739 and 3,603 shares for the year ended 2012, 2011 and 2010 respectively) 50   50      
Stock-based compensation 9,671   9,671      
Cash dividend ($.44, $.36 and $.12 per share for the year ended 2012, 2011 and 2010 respectively) (17,183)     (17,183)    
Purchase of common stock (310,252, 768,780 and 869,065 shares for the year ended 2012, 2011 and 2010 respectively) (15,026) (8) (15,018)      
Balance at Dec. 31, 2011 165,423 477 23,631 155,818 (14,503)  
Increase (Decrease) in Stockholders' Equity            
Net income 50,001     50,001   50,001
Foreign currency translation adjustment 1,981       1,981 1,981
Pension and other post-retirement liabilities (net of income tax effect of $7,807, $7,239 and $2,056 for the year ended 2012, 2011 and 2010 respectively) (12,358)       (12,358) (12,358)
Total comprehensive income 39,624         39,624
Shares issued for consideration:            
Exercise of stock options (93,839, 878,658 and 790,596 shares for the year ended 2012, 2011 and 2010 respectively) 1,041 2 1,039      
Income tax effect from the exercise of stock options and vesting of restricted stock (2,652)   (2,652)      
Shares issued under stock incentive plan (315,030, 762,004 and 50,446 shares for the year ended 2012, 2011 and 2010 respectively) 3 3        
Shares issued to Board of Directors in lieu of cash (3,391, 2,739 and 3,603 shares for the year ended 2012, 2011 and 2010 respectively) 50   50      
Stock-based compensation 10,356   10,356      
Cash dividend ($.44, $.36 and $.12 per share for the year ended 2012, 2011 and 2010 respectively) (21,069)     (21,069)    
Purchase of common stock (310,252, 768,780 and 869,065 shares for the year ended 2012, 2011 and 2010 respectively) (4,676) (3) (4,673)      
Balance at Dec. 31, 2012 $ 188,100 $ 479 $ 27,751 $ 184,750 $ (24,880)  
XML 100 R10.htm IDEA: XBRL DOCUMENT v2.4.0.6
ACQUISITIONS
12 Months Ended
Dec. 31, 2012
ACQUISITIONS  
ACQUISITIONS

3. ACQUISITIONS

        On March 1, 2012, the Company acquired Richard Schultz Design Inc., a designer and manufacturer of outdoor furniture for the residential, hospitality and contract office furniture markets. The closing cash purchase price was approximately $6.0 million. The Company acquired intangible assets, in connection with the acquisition, including the trademark ($2.8 million), customer relationships ($0.2 million), and non-competition agreements ($0.2 million). Goodwill relating to the acquisition was recorded at $3.0 million. Goodwill and the trademark will be tested for impairment at least annually and whenever events or circumstances occur indicating that a possible impairment may have been incurred. Goodwill for tax purposes will be amortized over 15 years. The remaining intangibles acquired (customer relationships and non-competition agreements) were assigned finite useful lives and amortization will be recorded over the economic life of the intangibles.

        On December 30, 2011, the Company acquired substantially all of the assets and liabilities of Filzfelt. Goodwill relating to the acquisition was recorded at $1.3 million and will be tested for impairment at least annually and whenever events or circumstances occur indicating that a possible impairment may have been incurred.

        The results of these acquisitions have been included in the Company's results of operations from the dates of their respective acquisitions. These acquisitions strengthen the Company's portfolio of products that can be offered.

XML 101 R58.htm IDEA: XBRL DOCUMENT v2.4.0.6
INDEBTEDNESS (Details) (USD $)
3 Months Ended 12 Months Ended
Mar. 31, 2012
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Long-term debt        
Interest paid   $ 5,400,000 $ 9,800,000 $ 17,000,000
Deferred Financing Fees        
Write off of deferred financing fees 500,000 477,000    
Debt instrument fees 2,800,000      
Deferred financing fees, net of accumulated amortization   2,600,000 900,000  
Amortization expense related to the deferred financing fees   600,000 600,000 600,000
Eurocurrency
       
Long-term debt        
Basis spread on variable rate (as a percent)   1.00%    
Variable interest rate base   Eurocurrency Rate    
Base Rate
       
Long-term debt        
Variable interest rate base   Base Rate    
Prime rate
       
Long-term debt        
Variable interest rate base   prime rate    
Credit agreement
       
Long-term debt        
Maximum borrowing capacity   450,000,000    
Maximum increase in the borrowing capacity that is available to the company, subject to certain limitations and satisfaction of certain conditions   200,000,000    
Outstanding letters of credit   6,300,000 3,000,000  
Revolving credit facility
       
Long-term debt        
Total   $ 193,000,000 $ 212,000,000  
Variable rate (as a percent)   1.96% 1.15%  
Revolving credit facility | Federal funds rate
       
Long-term debt        
Basis spread on variable rate (as a percent)   0.50%    
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SUBSEQUENT EVENTS (Details) (Restricted stock awards)
12 Months Ended 0 Months Ended
Dec. 31, 2010
Board of Directors
Dec. 31, 2009
Board of Directors
Dec. 31, 2010
Key employees
Dec. 31, 2009
Key employees
Feb. 08, 2013
Subsequent events
2007 Stock Incentive Plan and 2010 Stock Incentive Plan
Feb. 08, 2013
Subsequent events
2007 Stock Incentive Plan and 2010 Stock Incentive Plan
Board of Directors
Feb. 08, 2013
Subsequent events
2007 Stock Incentive Plan and 2010 Stock Incentive Plan
Key employees
SUBSEQUENT EVENTS              
Grants in period (in shares) 25,446 40,818 25,000 935,000 302,056 22,056 280,000
Percent of awards or options that vest each year 33.00% 33.00% 33.00%     33.00%  
Period over which options vest (in years) 3 years 3 years 3 years 4 years   3 years 3 years
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PENSION AND OTHER POSTRETIREMENT BENEFITS (Details 4) (USD $)
In Millions, except Share data, unless otherwise specified
12 Months Ended 1 Months Ended
Dec. 31, 2012
Dec. 31, 2012
Contribution plan for Canadian, Belgium and United Kingdom employees
Dec. 31, 2011
Contribution plan for Canadian, Belgium and United Kingdom employees
Dec. 31, 2010
Contribution plan for Canadian, Belgium and United Kingdom employees
Dec. 31, 2010
Contribution plan for US employees
Jan. 31, 2010
Contribution plan for US employees
Defined contribution plan            
Total expense $ 3.0 $ 1.3 $ 1.2 $ 1.1    
Fixed matching contribution as a percentage of participant contributions for the first 6.0% of both nonunion and union employees' annual compensation           50.00%
Maximum percentage of nonunion and union employees' compensation eligible for employer contribution match, towards defined contribution plan           6.00%
Company contributions vesting period           5 years
Number of shares of common stock into which participants may invest the compensation they elect to defer         1,000,000  
Maximum participant contributions in the Knoll common stock fund as a percentage of their total account balance in the plan         10.00%  
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RESTRUCTURING CHARGES
12 Months Ended
Dec. 31, 2012
RESTRUCTURING CHARGES  
RESTRUCTURING CHARGES

20. RESTRUCTURING CHARGES

        On March 18, 2010, the Company announced a restructuring plan to better align its North America manufacturing footprint with demand while further focusing the particular manufacturing activities of its Office segment production facilities. The Company elected to undergo this restructuring in order to better utilize its manufacturing capacity, eliminate duplication of capabilities and reduce associated costs. In connection with the plan, the Company recorded restructuring charges of approximately $0.8 million and $7.6 million in 2011 and 2010, respectively. These charges included $3.9 million of employee termination costs, $3.0 million of costs associated with the write-off of fixed assets that had no future benefit, and $1.5 million of costs associated with facility realignment. The Company made cash payments, in connection with this plan of $0.2 million, $2.1 million and $3.0 million during 2012, 2011, and 2010, respectively. As of December 31, 2011, the restructuring accrual was approximately $0.2 million. The plan was completed as of December 31, 2012.

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STOCK PLANS (Details 5) (USD $)
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Stock-based Compensation      
Stock-based compensation, pre-tax $ 10,400,000 $ 9,700,000 $ 9,200,000
Stock-based compensation, after-tax 6,600,000 5,900,000 5,600,000
Compensation cost related to nonvested awards not yet recognized 12,900,000 16,800,000  
Weighted average remaining period over which cost to be recognized 1 year 6 months    
Low end of range
     
Stock-based Compensation      
Employee contribution as a percentage of eligible gross pay 1.00%    
High end of range
     
Stock-based Compensation      
Employee contribution as a percentage of eligible gross pay 10.00%    
Employee Stock Purchase Plan
     
Stock-based Compensation      
Discount rate as a percentage of the high and low sale price per share on last trading day 5.00%    
Maximum annual employee contribution to Employee Stock Purchase Plan 25,000    
Shares purchased by employee   2,567 3,251
Stock options
     
Stock-based Compensation      
Compensation cost related to nonvested awards not yet recognized 300,000 600,000  
Restricted stock
     
Stock-based Compensation      
Compensation cost related to nonvested awards not yet recognized $ 12,700,000 $ 16,200,000  
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INDEBTEDNESS (Tables)
12 Months Ended
Dec. 31, 2012
INDEBTEDNESS  
Schedule of long-term debt

The Company's long-term debt is summarized as follows (in thousands):

 
  December 31,
2012
  December 31,
2011
 

Revolving credit facility

  $ 193,000   $ 212,000  
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CONTINGENT LIABILITIES AND COMMITMENTS
12 Months Ended
Dec. 31, 2012
CONTINGENT LIABILITIES AND COMMITMENTS  
CONTINGENT LIABILITIES AND COMMITMENTS

13. CONTINGENT LIABILITIES AND COMMITMENTS

Litigation

        The Company is currently involved in claims and matters of litigation, including environmental contingencies, arising in the ordinary course of business. The Company accrues for such matters when expenditures are probable and reasonably estimable. Based upon information presently known, management is of the opinion that such litigation, either individually or in the aggregate, will not have a material adverse effect on the Company's consolidated financial position, results of operations, or cash flows.

Collective Bargaining

        At December 31, 2012, the Company employed a total of 3,211 people. Approximately 12.3% of the employees were represented by unions at December 31, 2012. The Grand Rapids, Michigan plant is the only unionized plant within the U.S. and has an agreement with the Carpenters Union, Local 1615, of the United Brotherhood of Carpenters and Joiners of America, Affiliate of the Carpenters Industrial Council (the Union), covering approximately 197 hourly employees. The Collective Bargaining Agreement expires April 30, 2015. Approximately 199 workers in Italy are also represented by unions.

Warranty

        Changes in the Company's warranty reserve during the years ended December 31, 2012, 2011, and 2010 were as follows:

 
  2012   2011   2010  
 
  (in thousands)
 

Balance, beginning of the year

  $ 8,146   $ 8,090   $ 9,773  

Provision for warranty claims

    6,488     7,007     4,808  

Warranty claims paid

    (6,887 )   (6,950 )   (6,478 )

Increase due to acquisition

    106          

Foreign currency translation adjustment

    (1 )   (1 )   (13 )
               

Balance, end of the year

  $ 7,852   $ 8,146   $ 8,090