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Consolidated Balance Sheets (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2013
Feb. 04, 2013
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Current Assets          
Cash and cash equivalents $ 118,249   $ 45,893 $ 176,369 $ 259,135
Receivables          
Trade, less allowances of $2,509 and $2,696 152,240   134,743    
Related parties 583   674    
Other 7,268   6,204    
Inventories 383,359   325,806    
Deferred income taxes 18,151 12,750 2    
Prepaid expenses and other 7,855   5,521    
Total current assets 687,705   518,843    
Property and equipment, net 360,985   265,924    
Timber deposits 6,266   6,221    
Deferred financing costs 8,334   7,562    
Goodwill 21,823   12,170    
Intangible assets, net 10,277   8,900    
Deferred income taxes 760 55,916 0    
Other assets 8,036   8,164    
Total assets 1,104,186   827,784 896,700  
Accounts payable          
Trade 139,636   131,578    
Related parties 2,484   1,950    
Accrued liabilities          
Compensation and benefits 60,527   61,814    
Interest payable 3,294   3,188    
Other 33,076   29,043    
Total current liabilities 239,017   227,573    
Debt          
Long-term debt 301,613   275,000    
Other          
Compensation and benefits 96,536   206,668    
Other long-term liabilities 14,539   14,336    
Total other liabilities 111,075   221,004    
Redeemable equity 0   6,443    
Commitments and contingent liabilities            
Stockholders' equity          
Preferred stock, $0.01 par value per share; 50,000 shares authorized, no shares issued and outstanding 0   0    
Common stock, $0.01 par value per share; 300,000 shares authorized, 43,229 and 29,700 shares issued 432   297    
Treasury stock, 3,864 and 0 shares at cost (100,000)   0    
Additional paid-in capital 496,593   256,927    
Accumulated other comprehensive loss (55,249)   (121,229) (120,845) (40,195)
Retained earnings (accumulated deficit) 110,705   (38,231)    
Total stockholders' equity 452,481   97,764 282,619 409,093
Total liabilities and stockholders' equity $ 1,104,186   $ 827,784