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Other Comprehensive Income (OCI) (Tables)
9 Months Ended
Sep. 30, 2011
Shareholders' Equity [Abstract] 
Accumulated other comprehensive income (loss)
                                 
 
                         
    September 30     December 31     September 30          
in thousands   2011     2010     2010          
 
                         
Accumulated Other Comprehensive Loss
                               
Cash flow hedges
    ($32,785 )     ($39,137 )     ($41,521 )        
Pension and postretirement plans
    (132,158 )     (138,202 )     (142,308 )        
 
                         
Total
    ($164,943 )     ($177,339 )     ($183,829 )        
 
                         
Reclassification from other comprehensive income (loss) to earnings
                                 
 
                       
    Three Months Ended     Nine Months Ended  
    September 30     September 30  
in thousands   2011     2010     2011     2010  
 
                       
Reclassification Adjustment for Cash Flow Hedges
                               
Interest expense
    $1,499       $4,779       $10,131       $14,634  
Benefit from income taxes
    (599 )     (1,930 )     (3,778 )     (6,287 )
 
                       
Total
    $900       $2,849       $6,353       $8,347  
 
                       
Amortization of Pension and Postretirement Plan Actuarial Loss and Prior Service Cost
                               
Cost of goods sold
    $2,407       $1,193       $7,104       $3,569  
Selling, administrative and general expenses
    715       399       2,260       1,209  
Benefit from income taxes
    (1,237 )     (629 )     (3,321 )     (2,093 )
 
                       
Total
    $1,885       $963       $6,043       $2,685  
 
                       
Total reclassifications from AOCI to earnings
    $2,785       $3,812       $12,396       $11,032