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FAIR VALUE MEASUREMENTS (Tables)
3 Months Ended
Mar. 31, 2013
Fair Value Measurement on Recurring Basis

Our assets subject to fair value measurement on a recurring basis are summarized below:

 

in thousands

   Level 1  
   March 31
2013
     December 31
2012
     March 31
2012
 

Fair Value Recurring

        

Rabbi Trust

        

Mutual funds

         $13,628            $13,349            $14,591   

Equities

     11,207         9,843         8,641   

Total

     $24,835         $23,192         $23,232   

 

in thousands

   Level 2  
   March 31
2013
     December 31
2012
     March 31
2012
 

Fair Value Recurring

        

Rabbi Trust

        

Common/collective trust funds

           $1,545                 $2,265              $455   

Total

     $1,545         $2,265         $455   
Assets Subject to Fair Value Measurement on Nonrecurring Basis

Assets that were subject to fair value measurement on a nonrecurring basis are summarized below:

 

      As of December 31, 2012  
in thousands    Level 3      Impairment
Charges
 

Fair Value Nonrecurring

     

Assets held for sale (Note 16)

     $10,559         $1,738   

Totals

     $10,559         $1,738