0000029905-11-000010.txt : 20110722 0000029905-11-000010.hdr.sgml : 20110722 20110722070441 ACCESSION NUMBER: 0000029905-11-000010 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 10 CONFORMED PERIOD OF REPORT: 20110630 FILED AS OF DATE: 20110722 DATE AS OF CHANGE: 20110722 FILER: COMPANY DATA: COMPANY CONFORMED NAME: DOVER Corp CENTRAL INDEX KEY: 0000029905 STANDARD INDUSTRIAL CLASSIFICATION: CONSTRUCTION, MINING & MATERIALS HANDLING MACHINERY & EQUIP [3530] IRS NUMBER: 530257888 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-04018 FILM NUMBER: 11981259 BUSINESS ADDRESS: STREET 1: 3005 HIGHLAND PARKWAY STREET 2: SUITE 200 CITY: DOWNERS GROVE STATE: IL ZIP: 60515 BUSINESS PHONE: (630) 541-1540 MAIL ADDRESS: STREET 1: 3005 HIGHLAND PARKWAY STREET 2: SUITE 200 CITY: DOWNERS GROVE STATE: IL ZIP: 60515 FORMER COMPANY: FORMER CONFORMED NAME: DOVER CORP DATE OF NAME CHANGE: 19920703 10-Q 1 form10q-063011.htm FORM 10-Q form10q-063011.htm


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

FORM 10-Q

QUARTERLY REPORT

PURSUANT TO SECTION 13 or 15(d) OF
THE SECURTIES EXCHANGE ACT OF 1934

For the quarterly period ended June 30, 2011

Commission File Number: 1-4018

Dover Corporation
(Exact name of registrant as specified in its charter)

Delaware
53-0257888
(State of Incorporation)
(I.R.S. Employer Identification No.)
   
3005 Highland Parkway, Suite 200
 
Downers Grove, Illinois
60515
(Address of principal executive offices)
(Zip Code)

(630) 541-1540
(Registrant’s telephone number)

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 R  No  £

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, 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 R   No £

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 definitions of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12-b-2 of the Exchange Act.

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

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

The number of shares outstanding of the Registrant’s common stock as of July 15, 2011 was 186,023,340.
 


 
 

 
Form 10-Q
Table of Contents
 
 
Page
Item 1.
 
 
 
 
1
 
 
2
 
 
3
 
 
4
 
 
5
Item 2.
 
17
Item 3.
 
29
Item 4.
29
     
 
 
Item 1.
 
29
Item 1A.
 
29
Item 2.
 
29
Item 3.
 
30
Item 4.
 
30
Item 5.
 
30
Item 6.
 
30
31
 
(All other schedules are not required and have been omitted.)
 
 
PART I – FINANCIAL INFORMATION

Item 1. Financial Statements

CONDENSED CONSOLIDATED STATEMENT OF OPERATIONS
(in thousands, except per share figures)
(unaudited)

   
Three Months Ended June 30,
   
Six Months Ended June 30,
 
   
2011
   
2010
   
2011
   
2010
 
Revenue
  $ 2,156,871     $ 1,786,696     $ 4,115,892     $ 3,369,966  
Cost of goods and services
    1,341,014       1,097,998       2,551,210       2,069,111  
Gross profit
    815,857       688,698       1,564,682       1,300,855  
Selling and administrative expenses
    474,130       423,809       952,649       832,978  
Operating earnings
    341,727       264,889       612,033       467,877  
Interest expense, net
    28,134       26,942       56,420       54,111  
Other expense (income), net
    1,374       (4,708 )     2,594       (5,949 )
Earnings before provision for income taxes and discontinued operations
    312,219       242,655       553,019       419,715  
Provision for income taxes
    63,125       70,762       120,619       126,337  
Earnings from continuing operations
    249,094       171,893       432,400       293,378  
Gain (loss) from discontinued operations, net
    675       (2,023 )     12,274       (15,381 )
Net earnings
  $ 249,769     $ 169,870     $ 444,674     $ 277,997  
                                 
Basis earnings (loss) per common share:
                               
Earnings from continuing operations
  $ 1.34     $ 0.92     $ 2.32     $ 1.57  
Gain (loss) from discontinued operations, net
    -       (0.01 )     0.07       (0.08 )
Net earnings
    1.34       0.91       2.38       1.49  
                                 
Weighted average shares outstanding
    186,443       186,823       186,522       186,998  
                                 
Diluted earnings (loss) per common share:
                               
Earnings from continuing operations
  $ 1.31     $ 0.91     $ 2.28     $ 1.55  
Gain (loss) from discontinued operations, net
    -       (0.01 )     0.06       (0.08 )
Net earnings
    1.32       0.90       2.34       1.47  
                                 
Weighted average shares outstanding
    189,705       188,720       189,905       188,948  
                                 
Dividends paid per common share
  $ 0.275     $ 0.26     $ 0.55     $ 0.52  
                                 
The following table is a reconciliation of the share amounts used in computing earnings per share:
 
                                 
   
Three Months Ended June 30,
   
Six Months Ended June 30,
 
      2011       2010       2011       2010  
Weighted average shares outstanding - Basic
    186,443       186,823       186,522       186,998  
                                 
Dilutive effect of assumed exercise of employee stock options, SARs and performance shares
    3,262       1,897       3,383       1,950  
                                 
Weighted average shares outstanding - Diluted
    189,705       188,720       189,905       188,948  
                                 
Anti-dilutive options/SARs excluded from  diluted EPS computation
    1,513       3,790       1,184       1,501  

See Notes to Condensed Consolidated Financial Statements
CONDENSED CONSOLIDATED BALANCE SHEET
(in thousands)
(unaudited)

   
June 30, 2011
   
December 31, 2010
 
Current assets:
           
Cash and cash equivalents
  $ 1,397,419     $ 1,187,361  
Short-term investments
    -       121,734  
Receivables, net of allowances of $32,775 and $34,151
    1,323,470       1,087,704  
Inventories, net
    882,512       714,110  
Prepaid and other current assets
    71,509       61,242  
Deferred tax assets
    78,505       89,720  
Total current assets
    3,753,415       3,261,871  
Property, plant and equipment, net
    936,797       847,189  
Goodwill
    3,616,805       3,368,033  
Intangible assets, net
    1,038,658       907,523  
Other assets and deferred charges
    113,773       111,145  
Assets of discontinued operations
    22,590       67,133  
Total assets
  $ 9,482,038     $ 8,562,894  
                 
Current liabilities:
               
Notes payable and current maturities of long-term debt
    47,748       16,925  
Accounts payable
    596,315       469,038  
Accrued compensation and employee benefits
    247,265       275,947  
Accrued insurance
    108,871       112,198  
Other accrued expenses
    223,449       240,786  
Federal and other taxes on income
    40,318       79,492  
Total current liabilities
    1,263,966       1,194,386  
Long-term debt
    2,186,238       1,790,886  
Deferred income taxes
    446,579       381,297  
Other liabilities
    594,313       564,121  
Liabilities of discontinued operations
    77,985       105,642  
Stockholders' Equity:
               
Total stockholders' equity
    4,912,957       4,526,562  
Total liabilities and stockholders' equity
  $ 9,482,038     $ 8,562,894  
 
See Notes to Condensed Consolidated Financial Statements
CONDENSED CONSOLIDATED STATEMENT OF STOCKHOLDERS’ EQUITY
(in thousands)
(unaudited)

   
Common Stock
$1 Par Value
   
Additional
Paid-In
Capital
   
Accumulated
Other
Comprehensive
Earnings
   
Retained
Earnings
   
Treasury
Stock
   
Total
Stockholders'
Equity
 
Balance at December 31, 2010
  $ 249,361     $ 596,457     $ 50,161     $ 5,953,027     $ (2,322,444 )   $ 4,526,562  
Net earnings
    -       -       -       444,674       -       444,674  
Dividends paid
    -       -       -       (102,606 )     -       (102,606 )
Common stock issued for options exercised
    1,095       25,654       -       -       -       26,749  
Tax benefit from the exercise of stock options
    -       7,370       -       -       -       7,370  
Stock-based compensation expense
    -       14,448       -       -       -       14,448  
Common stock acquired
    -       -       -       -       (98,382 )     (98,382 )
Translation of foreign financial statements
    -       -       90,944       -       -       90,944  
Other, net of tax
    -       2,846       352       -       -       3,198  
Balance at June 30, 2011
  $ 250,456     $ 646,775     $ 141,457     $ 6,295,095     $ (2,420,826 )   $ 4,912,957  

Preferred Stock; $100 par value per share; 100,000 shares authorized; no shares issued.
 
See Notes to Condensed Consolidated Financial Statements
CONDENSED CONSOLIDATED STATEMENT OF CASH FLOWS
(in thousands)
(unaudited)

   
Six Months Ended June 30,
 
   
2011
   
2010
 
Operating Activities of Continuing Operations
           
             
Net earnings
  $ 444,674     $ 277,997  
                 
Adjustments to reconcile net earnings to cash from operating activities:
               
(Gain) loss from discontinued operations
    (12,274 )     15,381  
Depreciation and amortization
    148,205       132,013  
Stock-based compensation
    14,401       12,963  
Gain on sale of assets
    (942 )     (5,088 )
Cash effect of changes in current assets and liabilities (excluding effects of acquisitions, dispositions and foreign exchange):
               
Accounts receivable
    (188,538 )     (228,007 )
Inventories
    (102,035 )     (114,408 )
Prepaid expenses and other assets
    (7,952 )     7,715  
Accounts payable
    109,380       151,731  
Accrued expenses
    (67,580 )     29,689  
Accrued and deferred taxes, net
    5,263       69,834  
Other, net
    (705 )     (31,555 )
Net cash provided by operating activities of continuing operations
    341,897       318,265  
                 
Investing Activities of Continuing Operations
               
Proceeds from sale of short-term investments
    124,410       304,278  
Purchase of short-term investments
    -       (350,583 )
Proceeds from the sale of property, plant and equipment
    5,010       11,315  
Additions to property, plant and equipment
    (126,420 )     (86,281 )
Proceeds from the sale of businesses
    4,816       4,500  
Settlement of net investment hedge
    (18,211 )     -  
Acquisitions (net of cash acquired)
    (424,624 )     (9,985 )
Net cash used in investing activities of continuing operations
    (435,019 )     (126,756 )
                 
Financing Activities of Continuing Operations
               
Change in notes payable, net
    31,145       30,000  
Reduction of long-term debt
    (400,458 )     (16,537 )
Proceeds from long-term debt, net of discount and issuance costs
    788,971       -  
Purchase of common stock
    (98,382 )     (64,454 )
Proceeds from exercise of stock options and SARs, including tax benefits
    34,119       42,787  
Dividends to stockholders
    (102,606 )     (97,277 )
Net cash provided by (used in) financing activities of continuing operations
    252,789       (105,481 )
                 
Cash Flows from Discontinued Operations
               
Net cash used in operating activities of discontinued operations
    (5,739 )     (1,434 )
Net cash used in investing activities of discontinued operations
    -       (140 )
Net cash used in discontinued operations
    (5,739 )     (1,574 )
                 
Effect of exchange rate changes on cash and cash equivalents
    56,130       (60,002 )
                 
Net increase in cash and cash equivalents
    210,058       24,452  
Cash and cash equivalents at beginning of period
    1,187,361       714,365  
                 
Cash and cash equivalents at end of period
  $ 1,397,419     $ 738,817  

See Notes to Condensed Consolidated Financial Statements
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
(unaudited)
(in thousands, unless otherwise indicated)
 
1.  Basis of Presentation

The accompanying unaudited condensed consolidated financial statements, in accordance with Securities and Exchange Commission (“SEC”) rules for interim periods, do not include all of the information and notes required by accounting principles generally accepted in the United States of America for complete financial statements and should be read in conjunction with the Dover Corporation (“Dover” or the “Company”) Annual Report on Form 10-K for the year ended December 31, 2010, which provides a more complete understanding of the Company’s accounting policies, financial position, operating results, business properties and other matters. The year-end condensed consolidated balance sheet was derived from audited financial statements. It is the opinion of management that these financial statements reflect all adjustments necessary for a fair statement of the interim results. The results of operations of any interim period are not necessarily indicative of the results of operations for the full year.

2. Acquisitions

The following table details the acquisitions made during the six months ended June 30, 2011.

2011 Acquisitions
         
Date
Type
Company / Product Line Acquired
Location (Near)
Segment
Platform
Company
3-Jan
Stock
Harbison-Fischer, Inc.
Crowley, TX
Fluid Management
Energy
Norris Production Solutions
Designer and manufacturer of down-hole rod pumps and related products used in artificial lift applications around the world.
 
             
5-Jan
Asset/Stock
Dosmatic, Inc.
Carrollton, TX
Fluid Management
Fluid Solutions
Hydro Systems
Manufacturer of non-electric chemical metering equipment used in agricultural, horticulture and other industrial market segments.
             
26-Jan
Stock
TAGC Limited LLC
Muscat, Oman
Fluid Management
Energy
Norris Production Solutions
Oilfield services provider, servicing both conventional and coiled sucker rod wells in the Middle East.
   
             
28-Jan
Asset
EnviroGear Product Line
Franklin Park, IL
Fluid Management
Fluid Solutions
Pump Solutions Group
Manufacturer of magnetically coupled internal gear pumps used in a wide range of industrial manufacturing.
   

The Company acquired these businesses in four separate transactions for an aggregate purchase price of $424,624, net of cash acquired.  The 2011 acquisitions are wholly-owned, with the exception of TAGC Limited LLC in which the Company acquired a 60% controlling interest. The non-controlling interest in TAGC Limited LLC is not material. The Unaudited Condensed Consolidated Statement of Operations includes the results of these businesses from the dates of acquisition. The aggregate revenue of the 2011 acquisitions included in the Company’s consolidated revenue totaled $46,111and $89,644 for the three and six months ended June 30, 2011, respectively.

The Company has allocated purchase price at the dates of acquisition based upon its understanding, obtained during due diligence and through other sources, of the fair value of the acquired assets and assumed liabilities. If additional information is obtained about these assets and liabilities within the measurement period (not to exceed one year from the date of acquisition), including through asset appraisals and learning more about the newly acquired business, the Company may refine its estimates of fair value to allocate the purchase price more accurately; however, any such revisions are not expected to be significant.

The following presents the allocation of the acquisition cost to the assets acquired and liabilities assumed, based on their estimated fair values:

Current assets, net of cash acquired
  $ 81,213  
Property, plant and equipment
    41,435  
Goodwill
    236,135  
Intangible assets
    190,132  
Other
    (1,118 )
Total liabilities
    (123,173 )
Net assets acquired
  $ 424,624  

DOVER CORPORATION
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
(unaudited)
(in thousands, unless otherwise indicated)

As a result of these acquisitions, the Company recorded approximately $177,853 of customer-related intangible assets (weighted average lives of 12 years), $8,535 of trademarks (weighted average lives of 11 years), and $3,744 of other intangibles (weighted average lives of 7 years). The 2011 acquisitions resulted in the recognition of goodwill totaling $236,135, of which $3,856 is expected to be deductible for tax purposes

Each of the businesses acquired in 2011 manufacture products and/or provide services in the energy and fluid solutions markets, each growth areas for the Company. These businesses were acquired to complement and expand upon existing operations within the Fluid Management segment. As such, the goodwill identified by the acquisitions reflects the benefits expected to be derived from product line expansion and operational synergies.

In accordance with ASU 2010-29, “Disclosure of Supplementary Pro Forma Information for Business Combinations,” the following unaudited pro forma information illustrates the effect on the Company’s revenue and net earnings for the three and six months ended June 30, 2011 and 2010, assuming that the 2011 acquisitions had taken place at the beginning of 2010. As a result, the supplemental pro forma net earnings reflect adjustments to the net earnings as reported in the Unaudited Condensed Consolidated Statement of Operations for the three and six months ended June 30, 2011 to exclude $335 and $2,027, respectively, of nonrecurring expense (after-tax) related to the fair value adjustments to acquisition-date inventory. The supplemental pro forma earnings for the comparable 2010 period were adjusted to include these charges. The 2011 and 2010 supplemental pro forma earnings are also adjusted to reflect the comparable impact of additional depreciation and amortization expense (net of tax) resulting from the fair value measurement of tangible and intangible assets relating to 2011 and 2010 acquisitions.

   
Three Months Ended June 30,
   
Six Months Ended June 30,
 
   
2011
   
2010
   
2011
   
2010
 
Revenue from continuing operations:
                       
As reported
  $ 2,156,871     $ 1,786,696     $ 4,115,892     $ 3,369,966  
Pro forma
    2,156,871       1,841,346       4,117,317       3,479,945  
Net earnings from continuing operations:
                               
As reported
  $ 249,094     $ 171,893     $ 432,400     $ 293,378  
Pro forma
    249,429       176,762       434,570       301,748  
Basic earnings per share from continuing operations:
                               
As reported
  $ 1.34     $ 0.92     $ 2.32     $ 1.57  
Pro forma
    1.34       0.95       2.33       1.61  
Diluted earnings per share from continuing operations:
                               
As reported
  $ 1.31     $ 0.91     $ 2.28     $ 1.55  
Pro forma
    1.31       0.94       2.29       1.60  

These pro forma results of operations have been prepared for comparative purposes only, and they do not purport to be indicative of the results of operations that actually would have resulted had the acquisitions occurred on the dates indicated or that may result in the future.


3. Inventories, net

   
June 30, 2011
   
December 31, 2010
 
Raw materials
  $ 402,166     $ 349,628  
Work in progress
    212,387       161,597  
Finished goods
    323,931       253,910  
Subtotal
    938,484       765,135  
Less LIFO reserve
    55,972       51,025  
Total
  $ 882,512     $ 714,110  

DOVER CORPORATION
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
(unaudited)
(in thousands, unless otherwise indicated)

4. Property, Plant and Equipment, net
 
   
June 30, 2011
   
December 31, 2010
 
Land
  $ 57,075     $ 50,760  
Buildings and improvements
    601,808       567,941  
Machinery, equipment and other
    2,050,082       1,921,509  
      2,708,965       2,540,210  
Accumulated depreciation
    (1,772,168 )     (1,693,021 )
Total
  $ 936,797     $ 847,189  


5. Financial Instruments

Derivatives

The Company is exposed to market risk for changes in foreign currency exchange rates due to the global nature of its operations. In order to manage this risk the Company has hedged portions of its forecasted sales and purchases, which occur within the next twelve months and are denominated in non-functional currencies, with currency forward or collar contracts designated as cash flow hedges. At June 30, 2011 and December 31, 2010, the Company had contracts with U.S. dollar equivalent notional amounts of $37,447 and $63,935, respectively, to exchange foreign currencies, principally the U.S. dollar, British pound, Singapore dollar, Chinese yuan and Malaysian ringgit. The Company believes it is probable that all forecasted cash flow transactions will occur.

The Company has an outstanding floating-to-floating cross currency swap agreement for a total notional amount of $50,000 in exchange for CHF 65,100. In February 2011, the Company amended and restated the terms of the arrangement to extend its maturity date to October 15, 2015. This transaction continues to hedge a portion of the Company’s net investment in CHF-denominated operations. The agreement qualifies as a net investment hedge and the effective portion of the change in fair value is reported within the cumulative translation adjustment section of other comprehensive income. The fair values at June 30, 2011 and December 31, 2010 reflected losses of $29,895 and $19,774, respectively, due to the strengthening of the Swiss franc relative to the U.S. dollar over the term of the arrangement.

In January 2011, the Company entered into foreign currency forward contracts to purchase $350,000 for €258,719, which were designated as hedging an equivalent amount of the Company’s euro denominated net investment. The agreements qualified as net investment hedges with the changes in fair value being reported within the cumulative translation adjustment section of other comprehensive income. These arrangements were settled on April 4, 2011, resulting in a loss of $18,211 being reflected within the cumulative translation adjustment.

The following table sets forth the fair values of derivative instruments held by the Company as of June 30, 2011 and December 31, 2010 and the balance sheet lines in which they are recorded:
 
   
Fair Value - Asset (Liability)
   
   
June 30, 2011
   
December 31, 2010
 
Balance Sheet Caption
Foreign currency forward / collar contracts
  $ 215     $ 503  
Prepaid / Other assets
Net investment hedge - cross currency swap
    (29,895 )     (19,774 )
Other liabilities
 
The amount of gains or losses from hedging activity recorded in earnings is not significant and the amount of unrealized gains and losses from cash flow hedges which are expected to be reclassified to earnings in the next twelve months is not significant; therefore, additional tabular disclosures are not presented. There are no amounts excluded from the assessment of hedge effectiveness and there are no credit risk related contingent features in the Company’s derivative instruments.
DOVER CORPORATION
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
(unaudited)
(in thousands, unless otherwise indicated)
 
The Company is exposed to credit loss in the event of nonperformance by counterparties to the financial instrument contracts held by the Company; however, nonperformance by these counterparties is considered unlikely as the Company’s policy is to contract with highly-rated, diversified counterparties.

Fair Value Measurements

ASC 820, “Fair Value Measurements and Disclosures,” establishes a fair value hierarchy that requires the Company to maximize the use of observable inputs and minimize the use of unobservable inputs when measuring fair value. A financial instrument’s categorization within the hierarchy is based on the lowest level of input that is significant to the fair value measurement. ASC 820 establishes three levels of inputs that may be used to measure fair value.

Level 1 inputs are quoted prices (unadjusted) in active markets for identical assets or liabilities.

Level 2 inputs include inputs other than Level 1 that are observable, either directly or indirectly, such as quoted prices in active markets for similar assets and liabilities, quoted prices for identical or similar assets or liabilities in markets that are not active, or other inputs that are observable or can be corroborated by observable market data for substantially the full term of assets or liabilities.

Level 3 inputs are unobservable inputs in which little or no market data exists, therefore requiring an entity to develop its own assumptions.

The following table presents the Company’s assets and liabilities measured at fair value on a recurring basis as of June 30, 2011 and December 31, 2010:

   
June 30, 2011
   
December 31, 2010
 
   
Level 1
   
Level 2
   
Level 3
   
Level 1
   
Level 2
   
Level 3
 
Assets:
                                   
Short-term investments
  $ -     $ -     $ -     $ 121,734     $ -     $ -  
Foreign currency cash flow hedges
    -       215       -       -       503       -  
Liabilities:
                                               
Net investment hedge derivative
    -       29,895       -       -       19,774       -  

Short-term investments consist of investment grade time deposits with original maturities between three months and one year and are included in current assets in the Unaudited Condensed Consolidated Balance Sheet. Short-term investments are measured at fair value using quoted market prices. The derivative contracts are measured at fair value using models based on observable market inputs such as foreign currency exchange rates and interest rates; therefore, they are classified within Level 2 of the valuation hierarchy.

In addition to fair value disclosure requirements related to financial instruments carried at fair value, accounting standards require interim disclosures regarding the fair value of all of the Company’s financial instruments.

The estimated fair value of long-term debt at June 30, 2011 and December 31, 2010 was $2,431,461 and $1,961,697, respectively, compared to the carrying value of $2,187,986 and $1,792,811. The carrying value includes the portion that is due and payable in less than one year of $1,748 and $1,925 at June 30, 2011 and December 31, 2010, respectively. The estimated fair value of the long-term debt is based on quoted market prices for similar instruments. The fair value of short-term loans, principally commercial paper at June 30, 2011 and December 31, 2010, approximates carrying value.

The carrying values of cash and cash equivalents, trade receivables, accounts payable, notes payable, and accrued expenses are reasonable estimates of their fair values as of June 30, 2011 and December 31, 2010 due to the short-term nature of these instruments.
DOVER CORPORATION
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
(unaudited)
(in thousands, unless otherwise indicated)

6. Goodwill and Other Intangible Assets
 
The following table provides the changes in carrying value of goodwill by segment for the six months ended June 30, 2011:

   
Industrial
Products
   
Engineered
Systems
   
Fluid
Management
   
Electronic
Technologies
   
Total
 
Goodwill
  $ 1,031,658     $ 819,054     $ 699,232     $ 977,811     $ 3,527,755  
Accumulated impairment loss
    (99,752 )     -       (59,970 )     -       (159,722 )
Balance at January 1, 2011
    931,906       819,054       639,262       977,811       3,368,033  
Acquisitions
                236,135             236,135  
Foreign currency translation
    1,257       2,747       2,587       6,046       12,637  
Balance at June 30, 2011
  $ 933,163     $ 821,801     $ 877,984     $ 983,857     $ 3,616,805  

The following table provides the gross carrying value and accumulated amortization for each major class of intangible asset:

   
June 30, 2011
   
December 31, 2010
 
   
Gross Carrying
Amount
   
Accumulated
Amortization
   
Gross Carrying
Amount
   
Accumulated
Amortization
 
Amortized Intangible Assets:
                       
Trademarks
  $ 86,012     $ 24,241     $ 74,053     $ 21,330  
Patents
    136,114       99,900       131,975       94,632  
Customer Intangibles
    982,150       379,403       802,663       334,585  
Unpatented Technologies
    140,600       93,781       138,780       86,461  
Drawings & Manuals
    16,398       8,500       15,650       7,728  
Distributor Relationships
    73,227       26,667       73,183       24,724  
Other
    29,349       21,354       28,202       18,445  
Total
    1,463,850       653,846       1,264,506       587,905  
Unamortized Intangible Assets:
                               
Trademarks
    228,654               230,922          
Total Intangible Assets
  $ 1,692,504     $ 653,846     $ 1,495,428     $ 587,905  
 
Amortization expense totaled $30,751 and $25,891 for the three months ended June 30, 2011 and 2010, respectively. For the six months ended June 30, 2011 and 2010, amortization expense was $61,765 and $51,655, respectively.


7. Borrowings

Borrowings consist of the following:
   
June 30, 2011
   
December 31, 2010
 
6.50% 10-year notes due February 15, 2011
  $ -     $ 399,986  
4.875% 10-year notes due October 15, 2015
    299,145       299,047  
5.45% 10-year notes due March 15, 2018
    347,773       347,608  
4.30% 10-year notes due March 1, 2021
    449,748       -  
6.60% 30-year notes due March 15, 2038
    247,639       247,595  
5.375% 30-year notes due March 1, 2041
    345,272       -  
6.65% 30-year debentures due June 1, 2028
    199,396       199,379  
5.375% 30-year debentures due October 15, 2035
    296,128       296,048  
Other
    2,885       3,148  
Total long-term debt
    2,187,986       1,792,811  
Less current installments
    (1,748 )     (1,925 )
    $ 2,186,238     $ 1,790,886  
 
DOVER CORPORATION
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
(unaudited)
(in thousands, unless otherwise indicated)
 
On February 22, 2011, the Company issued $450 million of 4.30% Notes due 2021 and $350 million of 5.375% Notes due 2041. The proceeds of $788,971 from the sale of the notes, net of discounts and issuance costs, were used to repay commercial paper, including commercial paper issued to repay the Company’s $400 million of 6.50% notes, which matured February 15, 2011, and for other general corporate purposes, including the acquisition of Harbison-Fischer. The new notes are redeemable at the option of Dover in whole or in part at any time at a redemption price that includes a make-whole premium, with accrued interest to the redemption date.
 
At June 30, 2011 and December 31, 2010, notes payable and current maturities of long-term debt within the Unaudited Condensed Consolidated Balance Sheet included commercial paper of $46,000 and $15,000, respectively.

The Company maintains a $1 billion unsecured revolving credit facility which expires on November 9, 2012. The Company primarily uses this facility as liquidity back-up for its commercial paper program and has not drawn down any loans under the $1 billion facility and does not anticipate doing so. The Company generally uses commercial paper borrowings for general corporate purposes, funding of acquisitions and the repurchases of its common stock.

Interest expense for the three months ended June 30, 2011 and 2010 was $31,120 and $28,996, respectively. For the six months ended June 30, 2011 and 2010, interest expense was $62,180 and $57,842, respectively. Interest income for the three months ended June 30, 2011 and 2010 was $2,986 and $2,054, respectively. For the six months ended June 30, 2011 and 2010, interest income was $5,760 and $3,731, respectively.


8. Income Taxes

The Company’s provision for income taxes for continuing operations in interim periods is computed by applying its estimated annual effective tax rate against earnings before income tax expense for the period. In addition, non-recurring or discrete items are recorded during the period in which they occur.  The effective tax rates for the three and six months ended June 30, 2011 were 20.2% and 21.8% compared to the prior year rates of 29.2% and 30.1%.  The effective tax rates for the three and six month periods of 2011 were favorably impacted by net discrete items totaling $30,354, including $22,338 arising in the second quarter principally from U.S. federal tax settlements and $8,016 arising in the first quarter principally from settlements with state taxing authorities.  Excluding discrete items, the effective tax rates for the three and six month periods of 2011 were 27.4% and 27.3%, respectively, which are lower than the effective rates in the comparable 2010 periods primarily due to a more favorable mix of non-U.S. earnings in 2011.  The Company believes additional uncertain tax positions will be settled within the next 12 months; however, an estimate cannot be made due to the uncertainties associated with the resolution of these matters.


9. Discontinued Operations

Summarized results of the Company’s discontinued operations are as follows:

   
Three Months Ended June 30,
   
Six Months Ended June 30,
 
   
2011
   
2010
   
2011
   
2010
 
Revenue
  $ -     $ -     $ -     $ 9,380  
                                 
Loss on sale, net of taxes
  $ -     $ (926 )   $ -     $ (14,203 )
                                 
(Loss) gain from operations before taxes
    (490 )     (323 )     66       102  
Benefit (provision) for income taxes
    1,165       (774 )     12,208       (1,280 )
Gain (loss) from discontinued operations, net of tax
  $ 675     $ (2,023 )   $ 12,274     $ (15,381 )
 
The Company currently has no businesses held for sale in discontinued operations. The gain from discontinued operations, net of tax, for the six months ended June 30, 2011 reflects the tax benefit resulting primarily from discrete tax items settled during the period. For the six months ended June 30, 2010, the loss from discontinued operations, net of tax reflects the sale of Triton, an operating company that had been reclassified from the Engineered Systems segment to discontinued operations in 2008.
DOVER CORPORATION
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
(unaudited)
(in thousands, unless otherwise indicated)

At June 30, 2011 and December 31, 2010, the assets and liabilities of discontinued operations primarily represent residual amounts for deferred tax assets, short and long-term reserves, and contingencies related to businesses previously sold.
 
Additional detail related to the assets and liabilities of the Company’s discontinued operations is as follows:

   
June 30, 2011
   
December 31, 2010
 
Assets of Discontinued Operations
           
Current assets
  $ 9,500     $ 52,678  
Non-current assets
    13,090       14,455  
    $ 22,590     $ 67,133  
                 
Liabilities of Discontinued Operations
               
Current liabilities
  $ 10,184     $ 34,111  
Non-current liabilities
    67,801       71,531  
    $ 77,985     $ 105,642  


10. Commitments and Contingent Liabilities

A few of the Company’s subsidiaries are involved in legal proceedings relating to the cleanup of waste disposal sites identified under federal and state statutes which provide for the allocation of such costs among “potentially responsible parties.” In each instance, the extent of the Company’s liability appears to be very small in relation to the total projected expenditures and the number of other “potentially responsible parties” involved and is anticipated to be immaterial to the Company. In addition, a few of the Company’s subsidiaries are involved in ongoing remedial activities at certain current and former plant sites, in cooperation with regulatory agencies, and appropriate reserves have been established.

The Company and certain of its subsidiaries are also parties to a number of other legal proceedings incidental to their businesses. These proceedings primarily involve claims by private parties alleging injury arising out of use of the Company’s products, exposure to hazardous substances, patent infringement, employment matters and commercial disputes. Management and legal counsel, at least quarterly, review the probable outcome of such proceedings, the costs and expenses reasonably expected to be incurred and currently accrued to-date, and the availability and extent of insurance coverage. While it is not possible at this time to predict the outcome of these legal actions, in the opinion of management, based on these reviews, it is unlikely that the disposition of the lawsuits and the other matters mentioned above will have a material adverse effect on the financial position, results of operations, or cash flows of the Company.

Estimated warranty program claims are provided for at the time of sale. Amounts provided for are based on historical costs and adjusted new claims. The changes in the carrying amount of product warranties through June 30, 2011 and 2010 are as follows:

   
2011
   
2010
 
Beginning Balance, January 1
  $ 58,229     $ 59,713  
Provision for warranties
    20,680       19,728  
Settlements made
    (20,539 )     (18,364 )
Other adjustments, including currency translation
    725       (1,895 )
Ending Balance, June 30
  $ 59,095     $ 59,182  

As of June 30, 2011, the Company had approximately $77,561 outstanding in letters of credit with financial institutions, which expire at various dates in 2011 through 2016. These letters of credit are primarily maintained as security for insurance, warranty and other performance obligations.
DOVER CORPORATION
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
(unaudited)
(in thousands, unless otherwise indicated)
 
From time to time, the Company will initiate various restructuring programs at its operating companies and incur severance and other restructuring costs. For the three months ended June 30, 2011, restructuring charges of $1,214 and $881 were recorded in cost of goods and services and selling and administrative expenses, respectively. For the three months ended June 30, 2010, restructuring charges of $197 were recorded in selling and administrative expenses.  For the six months ended June 30, 2011, restructuring charges of $1,301 and $2,274 were recorded in cost of goods and services and selling and administrative expenses, respectively. For the six months ended June 30, 2010, restructuring charges of $713 and $1,535 and were recorded in cost of goods and services and selling and administrative expenses, respectively.

The following table details the Company’s severance and other restructuring reserve activity:

   
Severance
   
Exit
   
Total
 
At December 31, 2010
  $ 1,143     $ 6,751     $ 7,894  
Provision
    2,722       853       3,575  
Payments
    (2,444 )     (2,437 )     (4,881 )
Other
    19       (394 )     (375 )
At June 30, 2011
  $ 1,440     $ 4,773     $ 6,213  

The following table details restructuring charges incurred by segment for the periods presented:

   
Three Months Ended June 30,
   
Six Months Ended June 30,
 
   
2011
   
2010
   
2011
   
2010
 
Industrial Products
  $ 467     $ 463     $ 941     $ 796  
Engineered Systems
    (2 )     310       4       426  
Fluid Management
    1,514       (489 )     2,382       768  
Electronic Technologies
    116       (87 )     248       258  
Total
  $ 2,095     $ 197     $ 3,575     $ 2,248  

DOVER CORPORATION
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
(unaudited)
(in thousands, unless otherwise indicated)

11. Employee Benefit Plans
 
The following table sets forth the components of the Company’s net periodic expense relating to retirement and post-retirement benefit plans:

   
Retirement Plan Benefits
 
   
Three Months Ended June 30,
   
Six Months Ended June 30,
 
   
2011
   
2010
   
2011
   
2010
 
Service Cost
  $ 5,316     $ 4,850     $ 10,609     $ 9,700  
Interest Cost
    10,951       9,632       21,851       19,264  
Expected return on plan assets
    (11,681 )     (9,621 )     (23,313 )     (19,242 )
Amortization:
                               
Prior service cost
    2,175       2,158       4,347       4,316  
Recognized actuarial loss
    2,148       1,367       4,296       2,734  
Transition obligation
    (11 )     (11 )     (22 )     (22 )
Other
    32       20       64       40  
Net periodic expense
  $ 8,930     $ 8,395     $ 17,832     $ 16,790  

   
Post-Retirement Benefits
 
   
Three Months Ended June 30,
   
Six Months Ended June 30,
 
   
2011
   
2010
   
2011
   
2010
 
Service Cost
  $ 51     $ 70     $ 103     $ 139  
Interest Cost
    181       212       362       420  
Amortization:
                               
Prior service cost
    (103 )     (98 )     (205 )     (200 )
Recognized actuarial loss
    (60 )     (103 )     (120 )     (203 )
Net periodic expense
  $ 69     $ 81     $ 140     $ 156  


12. Comprehensive Earnings

Comprehensive earnings were as follows:
   
Three Months Ended June 30,
   
Six Months Ended June 30,
 
   
2011
   
2010
   
2011
   
2010
 
Net earnings
  $ 249,769     $ 169,870     $ 444,674     $ 277,997  
Foreign currency translation adjustment, net of tax
    18,760       (86,198 )     90,944       (171,465 )
Other, net of tax
    875       609       352       1,949  
Comprehensive earnings
  $ 269,404     $ 84,281     $ 535,970     $ 108,481  
 
DOVER CORPORATION
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
(unaudited)
(in thousands, unless otherwise indicated)

13. Segment Information
 
For management reporting and performance evaluation purposes, the Company categorizes its operating companies into four distinct reportable segments. Segment financial information and a reconciliation of segment results to consolidated results follows:

   
Three Months Ended June 30,
   
Six Months Ended June 30,
 
   
2011
   
2010
   
2011
   
2010
 
REVENUE
                       
Industrial Products
  $ 566,775     $ 462,386     $ 1,085,537     $ 891,184  
Engineered Systems
    645,655       577,121       1,206,300       1,061,394  
Fluid Management
    534,538       403,674       1,043,478       784,474  
Electronic Technologies
    412,630       345,607       785,960       636,596  
Intra-segment eliminations
    (2,727 )     (2,092 )     (5,383 )     (3,682 )
Total consolidated revenue
  $ 2,156,871     $ 1,786,696     $ 4,115,892     $ 3,369,966  
EARNINGS FROM CONTINUING OPERATIONS
                               
Segment earnings:
                               
Industrial Products
  $ 73,316     $ 61,635     $ 137,729     $ 112,674  
Engineered Systems
    94,116       84,655       161,429       139,498  
Fluid Management
    131,382       96,168       245,067       182,935  
Electronic Technologies
    76,917       59,582       136,692       104,487  
Total segments
    375,731       302,040       680,917       539,594  
Corporate expense / other
    35,378       32,443       71,478       65,768  
Net interest expense
    28,134       26,942       56,420       54,111  
Earnings before provision for income taxes and discontinued operations
    312,219       242,655       553,019       419,715  
Provision for taxes
    63,125       70,762       120,619       126,337  
Earnings from continuing operations - total consolidated
  $ 249,094     $ 171,893     $ 432,400     $ 293,378  


14. Recent Accounting Standards

In October 2009, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) 2009-13, which amended existing guidance for identifying separate deliverables in a revenue-generating transaction where multiple deliverables exist and requires that arrangement consideration be allocated at the inception of an arrangement to all deliverables using the relative selling price method. The ASU also establishes a selling price hierarchy for determining the selling price of a deliverable, which includes: 1) vendor-specific objective evidence if available, 2) third-party evidence if vendor-specific objective evidence is not available, and 3) estimated selling price if neither vendor-specific nor third-party evidence is available.

The majority of the Company’s businesses generate revenue through the manufacture and sale of a broad range of specialized products and components, with revenue recognized upon transfer of title and risk of loss, which is generally upon shipment. When the Company has multiple deliverables in its sales arrangements, they are typically separate units of accounting with vendor-specific objective evidence of selling price. The Company adopted the requirements of ASU 2009-13 on a prospective basis, effective January 1, 2011. The requirements of ASU 2009-13 did not significantly change the Company’s units of accounting or how the Company allocates arrangement consideration to various units of accounting. Therefore, the adoption of ASU 2009-13 did not have a material effect on the Company’s statement of position or results of operations.

In October 2009, the FASB issued ASU 2009-14 which eliminates tangible products containing both software and non-software components that operate together to deliver a product’s functionality from the scope of then-current generally accepted accounting principles for software. The Company adopted ASU 2009-14 on a prospective basis, effective January 1, 2011. The adoption of this guidance did not have a material impact on the Company’s consolidated financial statements.
DOVER CORPORATION
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
(unaudited)
(in thousands, unless otherwise indicated)
 
In May 2011, the FASB issued ASU 2011-04 which was issued to provide a consistent definition of fair value and ensure that the fair value measurement and disclosure requirements are similar between U.S. GAAP and IFRS. ASU 2011-04 changes certain fair value measurement principles and enhances the disclosure requirements particularly for Level 3 fair value measurements.  This guidance is effective for the Company beginning on January 1, 2012.  Its adoption is not expected to significantly impact the Company’s consolidated financial statements.

In June 2011, the FASB issued ASU 2011-05 which provides new guidance on the presentation of comprehensive income.  ASU 2011-05 eliminates the option to report other comprehensive income and its components in the statement of changes in stockholders’ equity and instead requires 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.   This guidance is effective for fiscal years, and interim periods within those years, beginning after December 15, 2011, with early adoption permitted.  The adoption of this ASU will not have a significant impact on the Company’s consolidated financial statements as it only requires a change in the format of the current presentation. 


15. Equity Incentive Program

During the six months ended June 30, 2011, the Company issued stock appreciation rights (“SARs”) covering 1,524,329 shares and 44,751 performance shares. During the six months ended June 30, 2010, the Company issued SARs covering 2,306,440 shares and 68,446 performance shares.

The fair value of each SAR grant was estimated on the date of grant using the Black-Scholes option pricing model. The performance share awards are market condition awards and have been assessed at fair value on the date of grant using the Monte Carlo simulation model. The following assumptions were used in determining the fair value of the SARs and performance shares awarded during the respective periods:

   
SARs
   
Performance Shares
 
   
Six Months Ended June 30,
   
Six Months Ended June 30,
 
   
2011
   
2010
   
2011
   
2010
 
Risk-free interest rate
    2.68 %     2.77 %     1.34 %     1.37 %
Dividend yield
    1.70 %     2.33 %     1.61 %     2.38 %
Expected life (years)
    5.8       6.0       2.9       2.9  
Volatility
    33.56 %     31.93 %     40.48 %     39.98 %
Grant price
  $ 66.59     $ 42.88       n/a       n/a  
Fair value at date of grant
  $ 20.13     $ 11.66     $ 91.41     $ 57.49  

For the three months ended June 30, 2011 and 2010, after-tax stock-based compensation expense totaled $3,988 and $3,862, respectively. For the six months ended June 30, 2011 and 2010, after-tax stock-based compensation expense totaled $9,361 and $8,426, respectively. Stock-based compensation is reported within selling and administrative expenses in the accompanying Unaudited Condensed Consolidated Statement of Operations.


16. Share Repurchases

In May 2007, the Board of Directors authorized the repurchase of up to 10,000,000 shares through May 2012. During the three and six months ended June 30, 2011, the Company repurchased 1,000,000 and 1,450,000 shares of its common stock in the open market.  During the six months ended June 30, 2011 the Company also repurchased 79,708 shares from the holders of its employee stock options when they tendered these shares as full or partial payment of the exercise price of such options.  Therefore, during the three and six months ended June 30, 2011, a total of 1,079,708 and 1,529,708 shares were repurchased at an average price of $64.06 and $64.31 per share, respectively. Treasury shares increased to 64,415,056 at June 30, 2011 from a balance of 62,885,348 at December 31, 2010.
DOVER CORPORATION
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
(unaudited)
(in thousands, unless otherwise indicated)
 
17. Subsequent Events
 
The Company assessed events occurring subsequent to June 30, 2011 for potential recognition and disclosure in the Unaudited Condensed Consolidated Financial Statements. No events have occurred that would require adjustment to the Unaudited Condensed Consolidated Financial Statements.

On July 4, 2011, the Company closed on the acquisition of the Sound Solutions business of NXP Semiconductors N.V. The acquisition purchase price of $855 million was funded by cash on hand and is subject to working capital and other contractual adjustments.   Sound Solutions is one of the world’s leading manufacturers of dynamic speakers and receivers for cell phones and other consumer electronics.  The business will be incorporated into the Knowles business within the Dover Electronic Technologies segment, which will enhance the segment’s product offerings serving the high growth handset market. The Company is in the process of finalizing its appraisals of tangible and intangible assets relating to this acquisition, and the allocation of the purchase price to the assets acquired and liabilities assumed will be completed once the appraisal process has been finalized.   Over the last three quarters ended June 30, 2011, the Company has recognized transaction related expenses totaling $3.5 million, which are reflected within selling and administrative expenses, and expects to recognize approximately $11 million of additional transaction related closing costs in the third quarter of 2011 relating to this acquisition.
 
Item 2.  Management’s Discussion and Analysis of Financial Condition and Results of Operations

Refer to the section below entitled “Special Notes Regarding Forward-Looking Statements” for a discussion of factors that could cause actual results to differ from the forward-looking statements contained below and throughout this quarterly report.

OVERVIEW AND OUTLOOK

Dover Corporation (“Dover” or the “Company”) is a global manufacturer of innovative components and equipment, specialty systems and support services for a variety of applications in the industrial products, engineered systems, fluid management and electronic technologies markets. Dover discusses its operations at the platform level within the Industrial Products, Engineered Systems and Fluid Management segments, which contain two platforms each. Electronic Technologies’ results are discussed at the segment level.

The Company continued to experience positive results during the second quarter of 2011 with all segments achieving double-digit revenue and earnings growth, driven by strong bookings from the first quarter.  As a result, the Company generated revenue of $2.2 billion during the second quarter of 2011, an increase of 21% compared to the prior year.  Gross profit grew $127.2 million or 18% on the strength of increased volume.  Bookings remained solid in the second quarter, driven by continuing strong dynamics in the energy markets, consumer electronics, and global industrial production.  The Company continues to anticipate strength in the majority of its end-markets through the remainder of the year.  However, the strong trends experienced in the first half of the year are expected to be somewhat tempered by a cautious macro-economic environment.  In particular, refrigeration case sales are expected to soften in the second half of the year as well as solar equipment sales.  The Company continues to focus on the execution of its strategies around product innovation, global expansion, leveraging its scale and disciplined capital allocation.

Given its strong performance in the first six months of 2011 and the addition of Knowles Sound Solutions (as described in Note 17 to the Unaudited Condensed Consolidated Financial Statements), the Company estimates that its 2011 full year organic revenue growth will be in the range of 12% to 14% (assuming a negligible impact from foreign currency) and acquisition related growth will be approximately 6%. Based on these revenue assumptions, as well as the impact of tax benefits received in the first half of the year, a slightly lower effective tax rate, and the net impact of Knowles Sound Solutions (which is expected to reduce 2011 diluted earnings per share by $0.03 to $0.05, subject to finalization of the purchase price allocation), the Company has projected that its continuing diluted earnings per share for 2011 will be in the range of $4.50 to $4.60.  If the global or domestic economic conditions accelerate or deteriorate, Dover’s operating results for 2011 could be materially different than currently projected.
 
Furthermore, in connection with the Company’s strategic planning process, it is currently evaluating the potential sale of certain operating companies within the Material Handling platform of its Industrial Products segment.  The decision regarding these entities is expected to be concluded before the end of the year.
 
RESULTS OF OPERATIONS
 
   
Three Months Ended June 30,
   
% / Point
 
Six Months Ended June 30,
   
% / Point
 
(dollars in thousands, except per share figures)  
2011
   
2010
    Change    
2011
   
2010
    Change  
                                                 
Revenue
  $ 2,156,871     $ 1,786,696       21 %   $ 4,115,892     $ 3,369,966       22 %
Cost of goods and services
    1,341,014       1,097,998       22 %     2,551,210       2,069,111       23 %
Gross profit
    815,857       688,698       18 %     1,564,682       1,300,855       20 %
                                                 
Selling and administrative expenses
    474,130       423,809       12 %     952,649       832,978       14 %
Interest expense, net
    28,134       26,942       4 %     56,420       54,111       4 %
Other expense (income), net
    1,374       (4,708 )     -       2,594       (5,949 )     -  
Earnings from continuing operations
    249,094       171,893       45 %     432,400       293,378       47 %
Net earnings
    249,769       169,870       47 %     444,674       277,997       60 %
                                                 
Net earnings per common share - diluted
  $ 1.32     $ 0.90       46 %   $ 2.34     $ 1.47       59 %
                                                 
Gross profit margin
    37.8 %     38.5 %     (0.7 )     38.0 %     38.6 %     (0.6 )
Selling and administrative expenses as a percentage of revenue
    22.0 %     23.7 %     (1.7 )     23.1 %     24.7 %     (1.6 )
Effective tax rate
    20.2 %     29.2 %     (9.0 )     21.8 %     30.1 %     (8.3 )
                                                 
 
 
Revenue for the second quarter of 2011 increased $370.2 million or 21% from the comparable 2010 quarter reflecting organic revenue growth of 14%, growth of 4% related to acquisitions, and a 3% favorable impact from foreign exchange.  The organic growth reflects volume increases across all of the Company’s segments, driven by continued higher demand in the majority of the Company’s end-markets, with particular strength in the energy market and end-markets served by material handling industrial products.
 
Revenue for the first six months of 2011 increased 22% to $4,115.9 million from the comparable 2010 period, with increases at all of the Company’s segments.  The Company’s revenue increase was attributed to organic revenue growth of 16%, revenue growth of 4% related to acquisitions, and a 2% favorable impact from foreign exchange.

Gross profit increased $127.2 million or 18% compared to the 2010 second quarter reflecting the increased sales volumes and benefits from pricing actions and productivity initiatives, which more than offset increased material costs and unfavorable product mix at certain businesses.  Gross profit margin decreased 70 basis points to 37.8% in the second quarter of 2011 as a result of higher raw material costs that have yet to be recovered by selling price increases and product mix.  For the six month period, gross profit increased 20% to $1,564.7 million from the prior year period while gross profit margin decreased 60 basis points to 38.0%, due to the same drivers as noted in the quarter.

Selling and administrative expenses increased $50.3 million or 12% compared to the second quarter of 2010 primarily due to general increases across the segments in support of higher volumes and growth initiatives.  As a percentage of revenue, selling and administrative expenses declined to 22.0% compared to 23.7% in the prior year quarter.  This 170 basis point improvement reflects leverage from the higher revenue levels.

Selling and administrative expenses of $952.6 million for the first six months of 2011 increased by 14% or $119.7 million over the comparable 2010 period.  As a percentage of revenue, these costs declined to 23.1% from 24.7% in the comparable 2010 period, reflecting leverage from the higher revenue levels.

Net interest expense for the second quarter of 2011 increased by $1.2 million or 4% compared to the same quarter last year, while net interest expense for the first six months of 2011 increased by $2.3 million or 4% compared to the respective prior year period.  The increase in both the three and six month periods was primarily due to higher average outstanding debt balances in the 2011 period compared to the prior year.  As discussed in Note 7 to the Unaudited Condensed Consolidated Financial Statements, the Company’s total debt increased approximately $400 million during the year, as the Company issued $800 million in new notes, approximately half of which repaid outstanding commercial paper balances.

Other expense (income), net for the quarter and year to date periods ending June 30, 2011 primarily reflects the impact of net losses from foreign exchange fluctuations on assets and liabilities denominated in currencies other than the functional currency, coupled with other miscellaneous non-operating gains and losses, none of which were individually, or in the aggregate, significant.

The effective tax rates for continuing operations for the three and six months ended June 30, 2011 were 20.2% and 21.8% compared to the prior period rates of 29.2% and 30.1%, respectively. The effective tax rates for the three and six month periods of 2011 were favorably impacted by net discrete items totaling $30.3 million, including $22.3 million arising in the second quarter principally from U.S. federal tax settlements and $8.0 million arising in the first quarter principally from settlements with state taxing authorities. Excluding discrete items, the effective tax rates for the three and six months ended June 30, 2011 were 27.4% and 27.3%, respectively, which are lower than the effective rates in the comparable 2010 periods primarily due to a more favorable mix of non-U.S. earnings in 2011.  While the Company believes additional uncertain tax positions will be settled within the next 12 months, an estimate cannot be made due to the uncertainties associated with the resolution of these matters.

Earnings from continuing operations for the second quarter of 2011 increased 45% to $249.1 million, or $1.31 diluted earnings per share (“EPS”), compared to $171.9 million, or $0.91 diluted EPS, in the prior year second quarter.   Net earnings for the second quarter were $249.8 million or $1.32 diluted EPS, compared to net earnings of $169.9 million or $0.90 diluted EPS for the 2010 second quarter, including a loss from discontinued operations of $2.0 million or $0.01 EPS.  These increases were primarily a result of end-market improvements across all of the Company’s segments driving increased sales volume, coupled with the second quarter tax benefit noted above.   
 
Earnings from continuing operations for the first six months of 2011 increased 47% to $432.4 million, or $2.28 diluted EPS, compared to $293.4 million, or $1.55 diluted EPS. Net earnings for the first six months of 2011 increased 60% to $444.7 million, or $2.34 diluted EPS including a gain from discontinued operations of $12.3 million or $0.06 EPS, compared to net earnings of $278.0 million, or $1.47 diluted EPS including a loss from discontinued operations of $15.4 million, or $0.08 EPS. The increases in earnings from continuing operations and net earnings for the six month period were driven by the same factors as noted previously for the quarter, while net earnings also reflects the impact of discontinued operations as noted below.
 
The gain from discontinued operations, net of tax for the second quarter of 2011 reflects a tax benefit resulting primarily from discrete tax items settled during the period.  For the second quarter of 2010, the loss from discontinued operations, net of tax related primarily to a working capital adjustment and other tax adjustments on previously sold businesses.

The gain from discontinued operations, net of tax of $12.3 million, or $0.06 EPS, for the six months ended June 30, 2011 reflects a tax benefit resulting primarily from discrete tax items settled during the first quarter.  For the six months ended June 30, 2010, the loss from discontinued operations, net of $15.4 million, or $0.08 EPS, related primarily to the loss generated by the sale of a business that had been previously reflected as discontinued operations.

Severance and Other Restructuring Reserves

The Company does not have any significant restructuring activities underway, but in both 2011 and 2010 initiated a few targeted facility consolidations at its operating companies.  As a result, the Company incurred restructuring charges totaling $3.6 million and $2.2 million for the six months ended June 30, 2011 and 2010, respectively.  The Company does not expect to incur significant restructuring charges over the remainder of 2011, but will continue to monitor business activity across its end markets served and adjust capacity as necessary depending on the economic climate.
 
SEGMENT RESULTS OF OPERATIONS
 
Starting with the first quarter of 2011, the Company changed its segment presentation of depreciation and amortization expense to show total depreciation and amortization expense relating to each respective segment’s operations.  Prior to 2011, the Company had presented only the depreciation and amortization of acquisition-related accounting write-ups to reflect the fair value of inventory, property, plant and equipment, and intangible assets.  The amounts of depreciation and amortization expense presented for 2010 herein have been conformed to the current year presentation.
 
Industrial Products

The Industrial Products segment provides material handling products and services that improve its customers’ productivity, as well as products used in various mobile equipment applications, primarily in the transportation equipment, vehicle service and solid waste management markets.   The primary products and services provided by each of the segment’s two platforms are as follows:  

Material Handling – Industrial and recreational winches, utility, construction and demolition machinery attachments, hydraulic parts, industrial automation tools, four-wheel-drive and all-wheel drive powertrain systems, accessories for off-road vehicles and operator cabs and rollover structures.

Mobile Equipment – Primarily refuse truck bodies, tank trailers, compactors, balers, vehicle service lifts and collision equipment, car wash systems, internal engine components, fluid control assemblies and various aerospace components.

   
Three Months Ended June 30,
   
Six Months Ended June 30,
 
(in thousands)
 
2011
   
2010
   
% Change
   
2011
   
2010
   
% Change
 
Revenue
                                   
Material Handling
  $ 276,828     $ 214,295       29 %   $ 529,594     $ 403,347       31 %
Mobile Equipment
    290,668       248,523       17 %     557,343       488,662       14 %
Eliminations
    (721 )     (432 )             (1,400 )     (825 )        
    $ 566,775     $ 462,386       23 %   $ 1,085,537     $ 891,184       22 %
                                                 
Segment earnings
  $ 73,316     $ 61,635       19 %   $ 137,729     $ 112,674       22 %
Operating margin
    12.9 %     13.3 %             12.7 %     12.6 %        
                                                 
Segment depreciation and amortization
  $ 16,589     $ 17,118       -3 %   $ 32,990     $ 34,488       -4 %
                                                 
Bookings
                                               
Material Handling
  $ 293,000     $ 223,787       31 %   $ 581,714     $ 427,885       36 %
Mobile Equipment
    336,212       288,887       16 %     673,485       520,015       30 %
Eliminations
    (734 )     (303 )             (1,233 )     (710 )        
    $ 628,478     $ 512,371       23 %   $ 1,253,966     $ 947,190       32 %
                                                 
Backlog
                                               
Material Handling
                          $ 217,518     $ 140,452       55 %
Mobile Equipment
                            485,276       359,727       35 %
Eliminations
                            (654 )     (257 )        
                            $ 702,140     $ 499,922       40 %
                                                 
Industrial Products revenue and earnings for the second quarter of 2011 increased by 23% and 19%, respectively, from the second quarter of the prior year primarily due to broad-based volume growth in most of the segment’s businesses.  The revenue increase was attributed to growth in core business revenue of 20%, coupled with growth of 2% from Gear Products, a 2010 acquisition made by the Tulsa Winch business in its Material Handling platform, and a 1% favorable impact from foreign currency.  Earnings in the second quarter of 2011 were favorably impacted by increased volume, particularly in infrastructure and energy markets.  Operating margin decreased 40 basis points from the prior year quarter, as benefits from volume increases were offset in part by higher material costs, product mix, and additional selling and administrative investments necessary to support the segment’s product and business development activities.
 
Material Handling revenue increased 29%, when compared to the prior year second quarter, while earnings increased 22%.  Higher sales volumes drove organic revenue growth of 25%, coupled with 3% growth due to the acquisition of Gear Products noted above and a 1% favorable impact from foreign currency.  Revenue improvements resulted from increased activity across most end-markets, including infrastructure and energy.  Earnings improved due to increased sales volume, offset in part by additional selling and administrative investments necessary to support the platform’s growth initiatives.  The platform’s second quarter operating margin declined 90 basis points compared to the prior year, reflecting the additional selling and administrative spending and the impact of a benefit in the second quarter of 2010 from a $3.4 million one-time gain on the sale of a property.

Mobile Equipment revenue increased 17% while earnings increased 15% compared to the prior year second quarter.  The revenue growth was attributed to higher demand for crude oil and dry bulk commercial trailers and vehicle service offerings.  Earnings increased as a result of the higher volumes, but operating margin decreased 30 basis points, primarily reflecting changes in product mix since a significant portion of the revenue growth was generated by lower margin commercial trailer business.  

For the six months ended June 30, 2011, Industrial Products revenue and earnings increased 22%, as compared to the six months ended June 30, 2010.  Revenue and earnings were favorably impacted by increased sales volume, offset in part by additional selling and administrative investments necessary to support the segment’s product and business development activities.
 
Engineered Systems

The Engineered Systems segment provides products and services for the refrigeration, storage, packaging and preparation of food products, as well as industrial marking and coding systems for various markets.  The primary products and services provided by each of the segment’s two platforms are as follows:  

Engineered Products - Refrigeration systems, refrigeration display cases, walk-in coolers, foodservice equipment, commercial kitchen air and ventilation systems, heat transfer equipment, and food and beverage packaging machines.

Product Identification - Industrial marking and coding systems used to code information (i.e. dates and serial numbers) on consumer products, printing products for cartons used in warehouse logistics operations, bar code printers and portable printers.

   
Three Months Ended June 30,
   
Six Months Ended June 30,
 
(in thousands)
 
2011
   
2010
   
% Change
   
2011
   
2010
   
% Change
 
Revenue
                                   
Engineered Products
  $ 406,620     $ 357,570       14 %   $ 740,935     $ 629,343       18 %
Product Identification
    239,035       219,551       9 %     465,365       432,051       8 %
    $ 645,655     $ 577,121       12 %   $ 1,206,300     $ 1,061,394       14 %
                                                 
Segment earnings
  $ 94,116     $ 84,655       11 %   $ 161,429     $ 139,498       16 %
Operating margin
    14.6 %     14.7 %             13.4 %     13.1 %        
                                                 
Segment depreciation and amortization
  $ 16,350     $ 15,273       7 %   $ 32,176     $ 31,023       4 %
                                                 
Bookings
                                               
Engineered Products
  $ 400,604     $ 379,048       6 %   $ 800,361     $ 747,182       7 %
Product Identification
    239,234       223,203       7 %     472,168       443,613       6 %
    $ 639,838     $ 602,251       6 %   $ 1,272,529     $ 1,190,795       7 %
                                                 
Backlog
                                               
Engineered Products
                          $ 346,335     $ 334,971       3 %
Product Identification
                            97,236       80,550       21 %
                            $ 443,571     $ 415,521       7 %
                                                 

Engineered Systems revenue and earnings for the second quarter of 2011 increased by 12% and 11%, respectively, from the second quarter of the prior year.  The increase in revenue was supported by organic revenue growth of 7%, a 4% favorable foreign currency impact and a negligible increase from acquisitions.  The revenue and earnings increase was substantially driven by volume growth in product ID, refrigeration and heat transfer systems and food and beverage packaging machines, coupled with the benefits from pricing actions, that more than offset material cost escalation and higher selling and administrative costs during the period.

Engineered Products second quarter revenue increased 14% while earnings increased by 24%. Core business revenue increased 11% driven by volume growth in refrigeration and heat transfer systems and food and beverage packaging machines.  Growth from the Intek acquisition completed in 2010 and favorable foreign currency positively impacted revenues by 3%. The platform’s earnings were favorably impacted by the higher core sales volume and benefits from pricing actions which more than offset higher material costs, contributing to a 140 basis point improvement in operating margin.

Product Identification revenue increased 9%, driven by organic growth of 3% due to strength in the product ID markets, coupled with a 6% favorable foreign currency impact.   Earnings remained flat compared to the second quarter of the prior year and operating margin declined 150 basis points, primarily due to new product launch costs and increased sales activities throughout the quarter.

For the six months ended June 30, 2011, Engineered Systems revenue and earnings increased 14% and 16%, respectively, as compared to the six months ended June 30, 2010.  Revenue and earnings were favorably impacted by increased sales volume,   offset in part by material cost escalation and higher selling and administrative costs during the period.
 
Fluid Management

The Fluid Management segment provides products and services for end-to-end stewardship of its customers’critical fluids including liquids, gases, powders and other solutions that are hazardous, valuable or process-critical.  Through its Fluid Solutions platform, the segment provides highly engineered, cost-saving technologies that help contain, control, move, measure and monitor these critical fluids. The Energy platform serves the oil, gas and power generation industries. Its products promote the efficient and cost-effective extraction, storage and movement of oil and gas products, or constitute critical components for power generation equipment.  The primary products and services provided by each of the segment’s two platforms are as follows:  

Energy - Market production and distribution products such as sucker rods, downhole rod pumps, drill bit inserts for oil and gas exploration, gas well production control devices, control valves, piston and seal rings, control instrumentation, remote data collection and transfer devices, and components for compressors, turbo machinery, motors and generators.

Fluid Solutions - Nozzles, swivels and breakaways used to deliver various types of fuel, suction system equipment,  unattended fuel management systems, integrated tank monitoring, pumps used in fluid transfer applications, quick disconnect couplings used in a wide variety of biomedical and commercial applications, and chemical proportioning and dispensing systems.

   
Three Months Ended June 30,
   
Six Months Ended June 30,
 
(in thousands)
 
2011
   
2010
   
% Change
   
2011
   
2010
   
% Change
 
Revenue
                                   
Energy
  $ 321,076     $ 216,020       49 %   $ 624,616     $ 421,347       48 %
Fluid Solutions
    213,599       187,759       14 %     419,162       363,264       15 %
Eliminations
    (137 )     (105 )             (300 )     (137 )        
    $ 534,538     $ 403,674       32 %   $ 1,043,478     $ 784,474       33 %
                                                 
Segment earnings
  $ 131,382     $ 96,168       37 %   $ 245,067     $ 182,935       34 %
Operating margin
    24.6 %     23.8 %             23.5 %     23.3 %        
                                                 
Segment depreciation and amortization
  $ 21,775     $ 15,523       40 %   $ 43,372     $ 30,286       43 %
                                                 
Bookings
                                               
Energy
  $ 335,748     $ 226,301       48 %   $ 690,522     $ 434,970       59 %
Fluid Solutions
    218,868       192,035       14 %     436,655       371,072       18 %
Eliminations
    51       (51 )             (258 )     (136 )        
    $ 554,667     $ 418,285       33 %   $ 1,126,919     $ 805,906       40 %
                                                 
Backlog
                                               
Energy
                          $ 177,129     $ 84,800       109 %
Fluid Solutions
                            81,436       65,639       24 %
Eliminations
                            -       (1 )        
                            $ 258,565     $ 150,438       72 %
                                                 
Fluid Management revenue and earnings for the second quarter of 2011 increased by 32% and 37%, respectively, over the prior year second quarter.  The improvement in revenue was driven by a 16% increase in core business revenue, a 14% increase from recent acquisitions, and 2% favorable foreign currency impact.  The increase in revenue is primarily attributed to continued strength in the oil and gas markets served by the Energy platform as well as in the industrial markets served by the Fluid Solutions platform, along with positive price recovery and market share gains at select operating companies.  The increase in segment earnings and operating margin reflects the benefit of higher sales volumes in the 2011 quarter.

Energy revenue and earnings increased over the prior year quarter by 49% and 50%, respectively. Organic revenue growth of 22% was driven by higher demand in the oil and gas sector, while recent acquisitions contributed revenue growth of 25% and foreign currency had a favorable impact of 2%.  The earnings improvement was driven by the significantly higher volumes and productivity improvements.  Operating margin increased 40 basis points despite additional amortization expense associated with recent acquisitions.
 
Fluid Solutions revenue and earnings increased over the prior year quarter by 14% and 12%, respectively. Organic revenue growth of 10% was driven by broad-based growth across many end-markets, including petrochemical and energy, while recent acquisitions contributed revenue growth of 1% and foreign currency favorably impacted revenue by 3%.  Earnings were favorably impacted by the increased volumes; however, operating margin decreased 40 basis points due primarily to one-time costs associated with selective integration and restructuring activities.

For the six months ended June 30, 2011, Fluid Management’s revenue and earnings increased over the prior year period by 33% and 34%, respectively, due to higher demand in substantially all end-markets.  On a year-to-date basis, earnings benefited from the higher volumes and operating efficiencies, while operating margin increased 20 basis points compared to the prior year period, despite the impact of additional acquisition-related amortization expense and certain one-time integration and restructuring costs noted above and other one-time acquisition related costs incurred in the first quarter.
 
Electronic Technologies

The Electronic Technologies segment designs and manufactures electronic technology equipment and devices/components such as advanced micro-component products for the hearing aid, mobile phone and consumer electronics industries, high frequency capacitors, microwave electromagnetic switches, radio frequency and microwave filters, electromagnetic products, frequency control/select components and sophisticated automated assembly and testing equipment.

   
Three Months Ended June 30,
   
Six Months Ended June 30,
 
(in thousands)
 
2011
   
2010
   
% Change
   
2011
   
2010
   
% Change
 
Revenue
  $ 412,630     $ 345,607       19 %   $ 785,960     $ 636,596       23 %
Segment earnings
    76,917       59,582       29 %     136,692       104,487       31 %
Operating margin
    18.6 %     17.2 %             17.4 %     16.4 %        
                                                 
Segment depreciation and amortization
  $ 19,178     $ 17,823       8 %   $ 38,457     $ 35,511       8 %
                                                 
Bookings
  $ 393,860     $ 394,441       0 %   $ 814,121     $ 752,918       8 %
Backlog
                            374,139       318,450       17 %
                                                 

Electronic Technologies revenue and earnings for the second quarter of 2011 increased 19% and 29%, respectively, over the prior year second quarter.  The increase in revenue was supported by organic revenue growth of 17% and a 2% favorable impact from foreign currency exchange rates.  The organic revenue growth was primarily driven by strong solar manufacturing equipment sales and continued strong demand for electronic assembly and test equipment and Micro Electronic Mechanical Systems (“MEMS”) microphones, while demand for telecom infrastructure related products moderated.  Revenue from the electronic assembly and test equipment companies increased 39% compared to the prior year period due to increased demand for solar products; however, new bookings for solar products declined significantly during the quarter resulting from concerns over governmental actions to curtail subsidies supporting solar power.  The decline in solar bookings experienced in the second quarter is expected to continue in the near-term. The communication components companies’ revenue increased 7% due to strong growth in MEMS microphones. Earnings for the quarter were favorably impacted by higher sales volume and productivity improvements, which more than offset negative impacts of competitive pricing actions and product mix.
 
The acquisition of the Sound Solutions business closed in the beginning of July, as discussed in Note 17 to the Unaudited Condensed Consolidated Financial Statements.  Sound Solutions is one of the world’s leading manufacturers of dynamic speakers and receivers for cell phones and other consumer electronics.  The business will be incorporated into the Knowles business, which will enhance the segment’s product offerings serving the high growth handset market.  Knowles Sound Solutions is expected to add approximately $200 million to the segment’s second half revenue and be slightly dilutive to earnings for 2011, due to significant acquisition-related expenses.

For the six months ended June 30, 2011, segment revenue increased 23% driven by increases in electronic assembly and communication components businesses of 49% and 8%, respectively.  Earnings improved by 31% due to higher sales volume, product mix and production leverage.
 
FINANCIAL CONDITION
 
Management assesses Dover’s liquidity in terms of its ability to generate cash and access capital markets to fund its operating, investing and financing activities. Significant factors affecting liquidity are: cash flows generated from operating activities, capital expenditures, acquisitions, dispositions, dividends, repurchase of outstanding shares, adequacy of commercial paper and available bank lines of credit, and the ability to attract long-term capital with satisfactory terms. The Company generates substantial cash from operations and remains in a strong financial position, maintaining enough liquidity for reinvestment in existing businesses and strategic acquisitions while managing its capital structure on a short and long-term basis.

Cash Flow Summary

The following table is derived from the Unaudited Condensed Consolidated Statement of Cash Flows:

   
Six Months Ended June 30,
 
Cash Flows from Continuing Operations (in thousands)
 
2011
   
2010
 
Net Cash Flows Provided By (Used In):
           
Operating activities
  $ 341,897     $ 318,265  
Investing activities
    (435,019 )     (126,756 )
Financing activities
    252,789       (105,481 )

Cash flows provided by operating activities for the six months ended June 30, 2011 increased $24 million from the prior year period, primarily due to increased net earnings during the 2011 period, offset in part by higher income tax and employee incentive compensation payments and reductions in deferred revenue.

Cash used in investing activities for the six months ended June 30, 2011was $435 million compared to $127 million for the same period of 2010.  In the 2011 period, the Company used $425 million to acquire four businesses in the Fluid Management segment, while the Company used $10 million to acquire two businesses in the second quarter of 2010. In addition, the Company’s capital expenditures were $40 million higher in the 2011 period, reflecting increased investment in capacity expansion within the Company’s high-growth businesses.  Specifically, the Company's U.S. Synthetic business has expanded capacity to meet current demands in its energy markets, and its Knowles business has made significant investments to increase MEMS manufacturing capacity in its domestic and Asian facilities. The increased spending on acquisitions and capital expenditures in the 2011 period was offset in part by $171 million higher net proceeds from the sale and purchase of short-term investments.  The Company expects full year 2011 capital expenditures to approximate 2.8% to 3.0% of revenue.  The Company currently anticipates that additional capital expenditures and any acquisitions made during the remainder of the year will be funded from available cash and internally generated funds and, if necessary, through the issuance of commercial paper, use of established lines of credit or public debt markets.  In the 2011 period, the Company also paid a net of $18 million on the settlement of foreign exchange forward contracts which had served as hedges of a portion of it euro-denominated net investment.

For the six months ended June 30, 2011, cash provided by financing activities totaled $253 million compared to cash used in financing activities of $105 million in the 2010 period.  The cash provided in the 2011 period was primarily due to the $789 million of net proceeds realized from the 4.3% 10-year Notes due 2021 and 5.375% 30-year Notes due 2041 issued in February, partially offset by the net repayment of $400 million of other borrowings, principally commercial paper used to repay the 6.50% 10-year Notes which came due earlier in February 2011.  Cash flows from financing activities also consist of net proceeds from commercial paper used to finance short-term liquidity needs, repurchases of common stock, proceeds from the issuance of common stock and payment of dividends to shareholders.

Adjusted Working Capital (a non-GAAP measure calculated as accounts receivable, plus inventory, less accounts payable) increased from December 31, 2010 by $277 million, or 21%, to $1.6 billion which reflected an increase in receivables of $236 million, an increase in inventory of $168 million and an increase in accounts payable of $127 million generally due to higher order and sales volume.  Excluding acquisitions and the effects of foreign exchange translation, Adjusted Working Capital would have increased by $181 million, or 14%.
 
Liquidity and Capital Resources

In addition to measuring its cash flow generation and usage based upon the operating, investing and financing classifications included in the Unaudited Condensed Consolidated Statement of Cash Flows, the Company also measures free cash flow (a non-GAAP measure).  Management believes that free cash flow is an important measure of operating performance because it provides both management and investors a measurement of cash generated from operations that is available to fund acquisitions, pay dividends, repay debt and repurchase Dover’s common stock.

The following table is a reconciliation of free cash flow to cash flow provided by operating activities:

   
Six Months Ended June 30,
 
Free Cash Flow (in thousands)
 
2011
   
2010
 
Cash flow provided by operating activities
  $ 341,897     $ 318,265  
Less: Capital expenditures
    (126,420 )     (86,281 )
Free cash flow
  $ 215,477     $ 231,984  
                 
Free cash flow as a percentage of revenue
    5.2 %     6.9 %

For the six months ended June 30, 2011, the Company generated free cash flow of $215.5 million, representing 5.2% of revenue and 49.8% of earnings from continuing operations, while continuing to make investments necessary to support the growing businesses.  The free cash flow generated in the first six months of 2011 was $17 million lower than the amount generated in the prior year period, primarily due to the increase in capital expenditures during the period and higher tax and incentive compensation payments, partially offset by the higher earnings on increased sales volumes.  Free cash flow generated during the period reflects typical seasonality.  The Company expects that free cash flow levels will remain at historical levels exceeding 10% of revenue for the full year.

The Company utilizes the net debt to net capitalization calculation (a non-GAAP measure) to assess its overall financial leverage and capacity and believes the calculation is useful to investors for the same reason. The following table provides a reconciliation of net debt to net capitalization to the most directly comparable GAAP measure:

Net Debt to Net Capitalization Ratio (in thousands)
 
June 30, 2011
   
December 31, 2010
 
Current maturities of long-term debt
  $ 1,748     $ 1,925  
Commercial paper
    46,000       15,000  
Long-term debt
    2,186,238       1,790,886  
Total debt
    2,233,986       1,807,811  
Less:  Cash, cash equivalents and short-term investments
    (1,397,419 )     (1,309,095 )
Net debt
    836,567       498,716  
Add:  Stockholders' equity
    4,912,957       4,526,562  
Net capitalization
  $ 5,749,524     $ 5,025,278  
Net debt to net capitalization
    14.6 %     9.9 %

The Company’s net debt to net capitalization ratio increased to 14.6% at June 30, 2011 from 9.9% at December 31, 2010, primarily due to the use of $425 million of cash to fund acquisitions during the year.  Total debt increased by $426 million during the six months of 2011, primarily due to $789 million of net proceeds from the 4.3% 10-year Notes due 2021 and 5.375% 30-year Notes due 2041 issued in February, partially offset by the net repayment of $400 million of other borrowings, principally commercial paper used to repay the 6.50% 10-year Notes which came due earlier in February 2011.
 
At June 30, 2011, the Company’s cash, cash equivalents and short-term investments totaled $1.4 billion, compared to $1.3 billion at December 31, 2010.  Cash and equivalents are invested in highly liquid investment grade money market instruments with maturities of three months or less. The Company regularly invests cash in excess of near-term requirements in short-term investments, which consist of investment grade time deposits with original maturity dates at the time of purchase greater than three months, up to twelve months.  

At June 30, 2011, substantially all of the Company’s total cash and cash equivalents was held outside of the United States.  As described in Note 17 to the Unaudited Condensed Consolidated Financial Statements, on July 4, 2011 the Company used $855.0 million of this cash on hand to acquire Sound Solutions.
 
The Company uses commercial paper borrowings for general corporate purposes, including the funding of acquisitions and the repurchase of its common stock. The Company currently maintains an unsecured revolving credit facility with a syndicate of banks which permits borrowings up to $1 billion, which expires on November 9, 2012. This facility is used primarily as liquidity back-up for the Company’s commercial paper program. The Company has not drawn down any loans under this facility nor does it anticipate doing so. If the Company were to draw down a loan, at the Company’s election, the loan would bear interest at a Eurodollar or Sterling rate based on LIBOR, plus an applicable margin ranging from 0.13% to 0.35% (subject to adjustment based on the rating accorded the Company’s senior unsecured debt by S&P and Moody’s) or at a base rate pursuant to a formula defined in the facility. Under this facility, the Company is required to maintain an interest coverage ratio of EBITDA to consolidated net interest expense of not less than 3.5 to 1. The Company was in compliance with this covenant and its other long-term debt covenants at June 30, 2011 and had a coverage ratio of 13.4 to 1.

The Company also has a current shelf registration statement filed with the SEC, with remaining capacity of $1 billion that allows for the issuance of additional debt securities that may be utilized in one or more offerings on terms to be determined at the time of the offering.  Net proceeds of any offering would be used for general corporate purposes, including repayment of existing indebtedness, capital expenditures and acquisitions.

The Company has an outstanding floating-to-floating cross currency swap agreement for a total notional amount of $50 million in exchange for CHF 65.1 million. In February 2011, the Company amended and restated the terms of the arrangement to extend its maturity date to October 15, 2015. This transaction continues to hedge a portion of the Company’s net investment in CHF-denominated operations.  The agreement qualifies as a net investment hedge and the effective portion of the change in fair value is reported within the cumulative translation adjustment section of other comprehensive income.  The fair value at June 30, 2011 reflected a loss of $29.9 million due to the strengthening of the Swiss franc relative to the U.S. dollar over the term of this arrangement.

In January 2011, the Company entered into foreign currency forward contracts to purchase $350 million for €258.7 million, which were designated as hedging an equivalent amount of the Company’s euro denominated net investment.  The agreements qualified as net investment hedges with the changes in fair value being reported within the cumulative translation adjustment section of other comprehensive income.  These arrangements were settled on April 4, 2011, at which time the Company recognized a loss of $18.2 million, which was reported within the cumulative translation adjustment.
 
Critical Accounting Policies

The Company’s consolidated financial statements and related public financial information are based on the application of generally accepted accounting principles in the United States of America (“GAAP”). GAAP requires the use of estimates, assumptions, judgments and subjective interpretations of accounting principles that have an impact on the assets, liabilities, revenue and expense amounts reported.  These estimates can also affect supplemental information contained in the public disclosures of the Company, including information regarding contingencies, risk and its financial condition. The Company believes its use of estimates and underlying accounting assumptions conform to GAAP and are consistently applied. Valuations based on estimates are reviewed for reasonableness on a consistent basis throughout the Company.

Recent Accounting Standards

See Note 14 — Recent Accounting Standards.  The adoption of recent accounting standards as included in Note 14 to the Unaudited Condensed Consolidated Financial Statements has not had and is not expected to have a significant impact on the Company’s revenue, earnings or liquidity.
 
Special Notes Regarding Forward-Looking Statements

This Quarterly Report on Form 10-Q, especially “Management’s Discussion and Analysis,” contains “forward-looking” statements within the meaning of the Securities Act of 1933, as amended, the Securities Exchange Act of 1934, as amended, and the Private Securities Litigation Reform Act of 1995. Such statements relate to, among other things, income, earnings, cash flows, changes in operations, operating improvements, industries in which Dover companies operate and the U.S. and global economies. Statements in this 10-Q that are not historical are hereby identified as “forward-looking statements” and may be indicated by words or phrases such as “anticipates,” “supports,” “plans,” “projects,” “expects,” “believes,” “should,” “would,” “could,” “hope,” “forecast,” “management is of the opinion,” use of the future tense and similar words or phrases. Forward-looking statements are subject to inherent risks and uncertainties that could cause actual results to differ from current expectations including, but not limited to:  political events that could impact the worldwide economy; the impact of natural disasters and their effect on global supply chains and energy markets; increases in the cost of raw materials; the Company’s ability to achieve expected savings from integration, synergy and other cost-control initiatives; the ability to identify and successfully consummate value-adding acquisition opportunities; increased competition and pricing pressures in the markets served by Dover’s operating companies; the ability of Dover’s companies to expand into new geographic markets and to anticipate and meet customer demands for new products and product enhancements; the impact of loss of a single-source manufacturing facility; changes in customer demand; current economic conditions and uncertainties in the credit and capital markets; a downgrade in Dover’s credit ratings; international economic conditions including interest rate and currency exchange rate fluctuations; the relative mix of products and services which impacts margins and operating efficiencies; short-term capacity constraints; domestic and foreign governmental and public policy changes including environmental regulations and tax policies (including domestic and international export subsidy programs, R&E credits and other similar programs); unforeseen developments in contingencies such as litigation; protection and validity of patent and other intellectual property rights; the cyclical nature of some of Dover’s companies; domestic housing industry weakness; instability in the countries where Dover conducts business; and possible future terrorist threats and their effect on the worldwide economy. Readers are cautioned not to place undue reliance on such forward-looking statements. These forward-looking statements speak only as of the date made. The Company undertakes no obligation to publicly update or revise any forward-looking statements, whether as a result of new information, future events or otherwise, except as required by law.

The Company may, from time to time, post financial or other information on its Internet website, www.dovercorporation.com.  The Internet address is for informational purposes only and is not intended for use as a hyperlink. The Company is not incorporating any material on its website into this report.

Non-GAAP Information

In an effort to provide investors with information regarding the Company’s results in addition to that as determined by generally accepted accounting principles (GAAP), the Company also discloses non-GAAP information which management believes provides useful information to investors. Free cash flow, net debt, total debt, net capitalization, Adjusted Working Capital, earnings adjusted for non-recurring items, revenue excluding the impact of changes in foreign currency exchange rates and organic revenue growth are not financial measures under GAAP and should not be considered as a substitute for cash flows from operating activities, debt or equity, earnings, revenue and working capital as determined in accordance with GAAP, and they may not be comparable to similarly titled measures reported by other companies. Management believes the (1) net debt to net capitalization ratio and (2) free cash flow are important measures of operating performance and liquidity. Net debt to net capitalization is helpful in evaluating the Company’s capital structure and the amount of leverage it employs. Free cash flow provides both management and investors a measurement of cash generated from operations that is available to fund acquisitions, pay dividends, repay debt and repurchase the Company’s common stock.  Reconciliations of free cash flow, total debt and net debt can be found in the Liquidity and Capital Resources section within Item 2-Management’s Discussion and Analysis. Management believes that reporting adjusted working capital (also sometimes called “working capital”), which is calculated as accounts receivable, plus inventory, less accounts payable, provides a meaningful measure of the Company’s operational results by showing the changes caused solely by revenue. Management believes that reporting adjusted working capital and revenues at constant currency, which excludes the positive or negative impact of fluctuations in foreign currency exchange rates, provides a meaningful measure of the Company’s operational changes, given the global nature of Dover’s businesses. Management believes that reporting organic or core revenue growth, which excludes the impact of foreign currency exchange rates and the impact of acquisitions, provides a useful comparison of the Company’s revenue performance and trends between periods.
 
Item 3. Quantitative and Qualitative Disclosures About Market Risk

There has been no significant change in the Company’s exposure to market risk during the first six months of 2011. For a discussion of the Company’s exposure to market risk, refer to Item 7A, Quantitative and Qualitative Disclosures about Market Risk, contained in the Company’s Annual Report on Form 10-K for the fiscal year ended December 31, 2010.

Item 4. Controls and Procedures

At the end of the period covered by this report, the Company carried out an evaluation, under the supervision and with the participation of the Company’s management, including the Company’s Chief Executive Officer and Chief Financial Officer, of the effectiveness of the design and operation of the Company’s disclosure controls and procedures pursuant to Exchange Act Rule 13a-15(e). Based upon that evaluation, the Chief Executive Officer and Chief Financial Officer concluded that the Company’s disclosure controls and procedures were effective as of June 30, 2011.

During the second quarter of 2011, there were no changes in the Company’s internal control over financial reporting that materially affected, or are reasonably likely to materially affect, the Company’s internal control over financial reporting. In making its assessment of changes in internal control over financial reporting as of June 30, 2011, management has excluded those companies acquired in purchase business combinations during the twelve months ended June 30, 2011. The Company is currently assessing the control environments of these acquisitions.  With the exception of TAGC Limited LLC, in which the Company has a 60% controlling interest, these companies are wholly-owned by the Company and their total revenue for the six month period ended June 30, 2011 represents approximately 2.9% of the Company’s consolidated revenue for the same period. Their assets, including goodwill, represent approximately 6.9% of the Company’s consolidated assets at June 30, 2011.


Item 1. Legal Proceedings

See Part I, Notes to Unaudited Condensed Consolidated Financial Statements, Note 10.

Item 1A. Risk Factors

There have been no material changes with respect to risk factors as previously disclosed in Dover’s Annual Report on Form 10-K for its fiscal year ended December 31, 2010.
 
Item 2. Unregistered Sales of Equity Securities and Use of Proceeds

(a)
Not applicable.

(b)
Not applicable.

(c)
The table below presents shares of the Company’s stock which were acquired by the Company during the quarter.
 
Period
 
Total Number
of Shares
Purchased (1)
   
Average Price
Paid per Share
   
Total Number of
Shares Purchased
as Part of Publicly
Announced Plans
or Programs
   
Maximum Number (or
Approximate Dollar Value) of
Shares that May Yet Be
Purchased under the Plans or
Programs (2)
 
April 1 to April 30
    379,708     $ 65.52       300,000       5,818,468  
May 1 to May 31
    245,000       64.00       245,000       5,573,468  
June 1 to June 30
    455,000       62.88       455,000       5,118,468  
For the Second Quarter
    1,079,708     $ 64.06       1,000,000       5,118,468  
 
(1)  
79,708 of these shares were acquired by the Company in April from the holders of its employee stock options when they tendered shares as full or partial payment of the exercise price of such options. These shares are applied against the exercise price at the market price on the date of exercise. During the second quarter, the Company purchased 1,000,000 shares on the open market under the five-year, 10,000,000 share repurchase authorized by the Board of Directors in May 2007.
(2)  
As of June 30, 2011, the approximate number of shares still available for repurchase under the May 2007 share repurchase authorization was 5,118,468.

 
Item 3. Defaults Upon Senior Securities

Not applicable.
 
Item 4. [Removed and Reserved]

Item 5. Other Information

(a)
None.

(b)
None.

Item 6. Exhibits

31.1
Certificate pursuant to Rule 13a-14(a) of the Securities Exchange Act of 1934, as amended, signed and dated by Brad M. Cerepak.
   
31.2
Certificate pursuant to Rule 13a-14(a) of the Securities Exchange Act of 1934, as amended, signed and dated by Robert A. Livingston.
   
32
Certificate pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes- Oxley Act of 2002, signed and dated by Robert A. Livingston and Brad M. Cerepak.
   
101
The following materials from Dover Corporation’s Quarterly Report on Form 10-Q for the quarter ended June 30, 2011formatted in XBRL (eXtensible Business Reporting Language):  (i) the Unaudited Condensed Consolidated Statement of Operations, (ii) the Unaudited Condensed Consolidated Balance Sheet, (iii) the Unaudited Condensed Consolidated Statement of Stockholders’ Equity, (iv) the Unaudited Condensed Consolidated Statement of Cash Flows, and (v) Notes to the Unaudited Condensed Consolidated Financial Statements.   In accordance with Rule 406T of Regulation S-T, the XBRL related information shall not be deemed to be “filed” for purposes of Section 18 of the Exchange Act, or otherwise subject to the liability of that section, and shall not be part of any registration statement or other document filed under the Securities Act or the Exchange Act, except as shall be expressly set forth by specific reference in such filing.
 

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this Report on Form 10-Q to be signed on its behalf by the undersigned thereunto duly authorized.

 
DOVER CORPORATION
   
Date: July 22, 2011
/s/ Brad M. Cerepak 
 
Brad M. Cerepak,
 
Senior Vice President & Chief Financial Officer
 
 (Principal Financial Officer)
   
Date: July 22, 2011
/s/ Raymond T. McKay Jr. 
 
Raymond T. McKay, Jr.,
 
Vice President, Controller
 
(Principal Accounting Officer)

EXHIBIT INDEX

31.1
Certificate pursuant to Rule 13a-14(a) of the Securities Exchange Act of 1934, as amended, signed and dated by Brad M. Cerepak.
   
31.2
Certificate pursuant to Rule 13a-14(a) of the Securities Exchange Act of 1934, as amended, signed and dated by Robert A. Livingston.
   
32
Certificate pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, signed and dated by Robert A. Livingston and Brad M. Cerepak.
   
101
The following materials from Dover Corporation’s Quarterly Report on Form 10-Q for the quarter ended June 30, 2011formatted in XBRL (eXtensible Business Reporting Language):  (i) the Unaudited Condensed Consolidated Statement of Operations, (ii) the Unaudited Condensed Consolidated Balance Sheet, (iii) the Unaudited Condensed Consolidated Statement of Stockholders’ Equity, (iv) the Unaudited Condensed Consolidated Statement of Cash Flows, and (v) Notes to the Unaudited Condensed Consolidated Financial Statements.   In accordance with Rule 406T of Regulation S-T, the XBRL related information shall not be deemed to be “filed” for purposes of Section 18 of the Exchange Act, or otherwise subject to the liability of that section, and shall not be part of any registration statement or other document filed under the Securities Act or the Exchange Act, except as shall be expressly set forth by specific reference in such filing.
 
 
32

 
EX-31.1 2 form10q-063011ex311.htm EXHIBIT 31.1 form10q-063011ex311.htm
Exhibit 31.1
 
Certification

I, Brad M. Cerepak, certify that:

1.  
I have reviewed this Quarterly Report on Form 10-Q of Dover Corporation;

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 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 materially affect, the registrant’s internal control over financial reporting; and

5.  
The registrant’s other certifying officer 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: July 22, 2011
  /s/ Brad M. Cerepak  
    Brad M. Cerepak  
    Senior Vice President & Chief Financial Officer  
    (Principal Financial Officer)  
EX-31.2 3 form10q-063011ex312.htm EXHIBIT 31.2 form10q-063011ex312.htm
Exhibit 31.2

Certification

I, Robert A. Livingston, certify that:

1.  
I have reviewed this Quarterly Report on Form 10-Q of Dover Corporation;

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 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 materially affect, the registrant’s internal control over financial reporting; and

5.  
The registrant’s other certifying officer 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: July 22, 2011
 
/s/ Robert A. Livingston 
 
   
Robert A. Livingston 
 
    President and Chief Executive Officer  
       
EX-32 4 form10q-063011ex32.htm EXHIBIT 32 form10q-063011ex32.htm
Exhibit 32

Certification

Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002
with Respect to the Quarterly Report on Form 10-Q
for the Period ended June 30, 2011
of Dover Corporation

Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 (subsections (a) and (b) of section 1350, chapter 63 of title 18, United States Code), each of the undersigned officers of Dover Corporation, a Delaware corporation (the “Company”), does hereby certify, to such officer’s knowledge, that:
 
1.  
The Company's Quarterly Report on Form 10-Q for the period ended June 30, 2011 (the "Form 10-Q") fully complies with the requirements of Section 13(a) of the Securities Exchange Act of 1934, as amended; and
 
2.  
Information contained in the Form 10-Q fairly presents, in all material respects, the financial condition and results of operations of the Company.
 
     
       
Date: July 22, 2011
  /s/ Robert A. Livingston  
    Robert A. Livingston  
    President and Chief Executive Officer  
       
     
       
Date: July 22, 2011
 
/s/ Brad M. Cerepak  
   
Brad M. Cerepak
 
   
Senior Vice President & Chief Financial Officer
 
    (Principal Financial Officer)  
 
The certification set forth above is being furnished as an exhibit solely pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 and is not being filed as part of the Form 10-Q or as a separate disclosure document of the Company or the certifying officers.
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font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">2,156,871</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">1,841,346</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">4,117,317</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">3,479,945</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; 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font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td></tr><tr bgcolor="white"><td align="left" valign="bottom" width="52%"><div><div align="left" style="text-indent: 0pt; display: block; margin-left: 18pt; margin-right: 0pt;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">As reported</font></div></div></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">249,094</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">171,893</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">432,400</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">293,378</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="52%"><div><div align="left" style="text-indent: 0pt; display: block; margin-left: 18pt; margin-right: 0pt;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">Pro forma</font></div></div></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">249,429</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">176,762</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">434,570</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">301,748</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td></tr><tr bgcolor="white"><td align="left" valign="bottom" width="52%"><div><div align="left" style="text-indent: 0pt; display: block; margin-left: 0pt; 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font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="52%"><div><div align="left" style="text-indent: 0pt; display: block; margin-left: 18pt; margin-right: 0pt;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">As reported</font></div></div></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; 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font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">2.32</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">1.57</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td></tr><tr bgcolor="white"><td align="left" valign="bottom" width="52%"><div><div align="left" style="text-indent: 0pt; display: block; margin-left: 18pt; margin-right: 0pt;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">Pro forma</font></div></div></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">1.34</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">0.95</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">2.33</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">1.61</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="52%"><div><div align="left" style="text-indent: 0pt; display: block; margin-left: 0pt; margin-right: 0pt;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">Diluted earnings per share from continuing operations:</font></div></div></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; 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Commitments and Contingent Liabilities</font></font></div><div style="text-indent: 0pt; display: block;"><br /></div><div align="left" style="text-indent: 0pt; display: block; margin-left: 0pt; margin-right: 0pt;"><font style="display: inline; font-family: Times New Roman; font-size: 10pt;">A few of the Company's subsidiaries are involved in legal proceedings relating to the cleanup of waste disposal sites identified under federal and state statutes which provide for the allocation of such costs among &#8220;potentially responsible parties.&#8221; In each instance, the extent of the Company's liability appears to be very small in relation to the total projected expenditures and the number of other &#8220;potentially responsible parties&#8221; involved and is anticipated to be immaterial to the Company. 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font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">4,115,892</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">3,369,966</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td></tr><tr bgcolor="white"><td align="left" valign="bottom" width="52%"><div align="left" style="text-indent: 0pt; display: block; margin-left: 18pt; margin-right: 0pt;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">Pro forma</font></div></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">2,156,871</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">1,841,346</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">4,117,317</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">3,479,945</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="52%"><div align="left" style="text-indent: 0pt; display: block; margin-left: 0pt; margin-right: 0pt;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">Net earnings from continuing operations:</font></div></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td></tr><tr bgcolor="white"><td align="left" valign="bottom" width="52%"><div align="left" style="text-indent: 0pt; display: block; margin-left: 18pt; margin-right: 0pt;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">As reported</font></div></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">249,094</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">171,893</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">432,400</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">293,378</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="52%"><div align="left" style="text-indent: 0pt; display: block; margin-left: 18pt; margin-right: 0pt;"><font style="display: inline; 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font-family: times new roman; font-size: 10pt;">176,762</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">434,570</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">301,748</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td></tr><tr bgcolor="white"><td align="left" valign="bottom" width="52%"><div align="left" style="text-indent: 0pt; display: block; margin-left: 0pt; margin-right: 0pt;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">Basic earnings per share from continuing operations:</font></div></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="52%"><div align="left" style="text-indent: 0pt; display: block; margin-left: 18pt; margin-right: 0pt;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">As reported</font></div></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">1.34</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">0.92</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">2.32</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">1.57</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td></tr><tr bgcolor="white"><td align="left" valign="bottom" width="52%"><div align="left" style="text-indent: 0pt; display: block; margin-left: 18pt; margin-right: 0pt;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">Pro forma</font></div></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">1.34</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">0.95</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">2.33</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-family: times new roman; font-size: 10pt;">1.61</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; 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Element us-gaap_IncomeLossFromDiscontinuedOperationsNetOfTaxPerDilutedShare had a mix of decimals attribute values: 2 0. 'Monetary' elements on report '009070 - Disclosure - Borrowings (Details)' had a mix of different decimal attribute values. 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M<&%N/CPO=&0^#0H@("`@("`\+W1R/@T*("`@("`@/'1R(&-L87-S/3-$65E('-T;V-K(&]P M=&EO;G,@86YD('-T;V-K(&%P<')E8VEA=&EO;B!R:6=H=',@*&EN('-H87)E M2!S:&%R97,@*&EN('-H87)E7!E.B!T97AT+VAT;6P[(&-H87)S970](G5S+6%S M8VEI(@T*#0H\:'1M;#X-"B`@/&AE860^#0H@("`@/$U%5$$@:'1T<"UE<75I M=CTS1$-O;G1E;G0M5'EP92!C;VYT96YT/3-$)W1E>'0O:'1M;#L@8VAA7!E/3-$=&5X="]J879AF5D('1R86YS86-T:6]N(')E;&%T960@97AP96YS97,\+W1D M/@T*("`@("`@("`\=&0@8VQA7!E.B!T97AT+VAT;6P[(&-H87)S M970](G5S+6%S8VEI(@T*#0H\>&UL('AM;&YS.F\],T0B=7)N.G-C:&5M87,M M;6EC XML 13 R1.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Document And Entity Information (USD $)
6 Months Ended
Jun. 30, 2011
Jul. 15, 2011
Jun. 30, 2010
Entity Registrant Name DOVER CORP    
Entity Central Index Key 0000029905    
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     $ 7,801,329,117
Entity Common Stock, Shares Outstanding   186,023,340  
Document Fiscal Year Focus 2011    
Document Fiscal Period Focus Q2    
Document Type 10-Q    
Amendment Flag false    
Document Period End Date Jun. 30, 2011

XML 14 R10.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Inventories, net
6 Months Ended
Jun. 30, 2011
Inventories, net [Abstract]  
Inventories, net
3. Inventories, net

   
June 30, 2011
  
December 31, 2010
 
Raw materials
 $402,166  $349,628 
Work in progress
  212,387   161,597 
Finished goods
  323,931   253,910 
Subtotal
  938,484   765,135 
Less LIFO reserve
  55,972   51,025 
Total
 $882,512  $714,110 
XML 15 R11.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Property, Plant and Equipment, Net
6 Months Ended
Jun. 30, 2011
Property, Plant and Equipment [Abstract]  
Property, Plant and Equipment, Net
4. Property, Plant and Equipment, net
 
   
June 30, 2011
  
December 31, 2010
 
Land
 $57,075  $50,760 
Buildings and improvements
  601,808   567,941 
Machinery, equipment and other
  2,050,082   1,921,509 
    2,708,965   2,540,210 
Accumulated depreciation
  (1,772,168)  (1,693,021)
Total
 $936,797  $847,189 
XML 16 R12.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Financial Instruments
6 Months Ended
Jun. 30, 2011
Financial Instruments [Abstract]  
Financial Instruments
5. Financial Instruments

Derivatives

The Company is exposed to market risk for changes in foreign currency exchange rates due to the global nature of its operations. In order to manage this risk the Company has hedged portions of its forecasted sales and purchases, which occur within the next twelve months and are denominated in non-functional currencies, with currency forward or collar contracts designated as cash flow hedges. At June 30, 2011 and December 31, 2010, the Company had contracts with U.S. dollar equivalent notional amounts of $37,447 and $63,935, respectively, to exchange foreign currencies, principally the U.S. dollar, British pound, Singapore dollar, Chinese yuan and Malaysian ringgit. The Company believes it is probable that all forecasted cash flow transactions will occur.

The Company has an outstanding floating-to-floating cross currency swap agreement for a total notional amount of $50,000 in exchange for CHF 65,100. In February 2011, the Company amended and restated the terms of the arrangement to extend its maturity date to October 15, 2015. This transaction continues to hedge a portion of the Company's net investment in CHF-denominated operations. The agreement qualifies as a net investment hedge and the effective portion of the change in fair value is reported within the cumulative translation adjustment section of other comprehensive income. The fair values at June 30, 2011 and December 31, 2010 reflected losses of $29,895 and $19,774, respectively, due to the strengthening of the Swiss franc relative to the U.S. dollar over the term of the arrangement.

In January 2011, the Company entered into foreign currency forward contracts to purchase $350,000 for €258,719, which were designated as hedging an equivalent amount of the Company's euro denominated net investment. The agreements qualified as net investment hedges with the changes in fair value being reported within the cumulative translation adjustment section of other comprehensive income. These arrangements were settled on April 4, 2011, resulting in a loss of $18,211 being reflected within the cumulative translation adjustment.

The following table sets forth the fair values of derivative instruments held by the Company as of June 30, 2011 and December 31, 2010 and the balance sheet lines in which they are recorded:
 
   
Fair Value - Asset (Liability)
  
   
June 30, 2011
  
December 31, 2010
 
Balance Sheet Caption
Foreign currency forward / collar contracts
 $215  $503 
Prepaid / Other assets
Net investment hedge - cross currency swap
  (29,895)  (19,774)
Other liabilities

The amount of gains or losses from hedging activity recorded in earnings is not significant and the amount of unrealized gains and losses from cash flow hedges which are expected to be reclassified to earnings in the next twelve months is not significant; therefore, additional tabular disclosures are not presented. There are no amounts excluded from the assessment of hedge effectiveness and there are no credit risk related contingent features in the Company's derivative instruments.
 
The Company is exposed to credit loss in the event of nonperformance by counterparties to the financial instrument contracts held by the Company; however, nonperformance by these counterparties is considered unlikely as the Company's policy is to contract with highly-rated, diversified counterparties.

Fair Value Measurements

ASC 820, “Fair Value Measurements and Disclosures,” establishes a fair value hierarchy that requires the Company to maximize the use of observable inputs and minimize the use of unobservable inputs when measuring fair value. A financial instrument's categorization within the hierarchy is based on the lowest level of input that is significant to the fair value measurement. ASC 820 establishes three levels of inputs that may be used to measure fair value.

Level 1 inputs are quoted prices (unadjusted) in active markets for identical assets or liabilities.

Level 2 inputs include inputs other than Level 1 that are observable, either directly or indirectly, such as quoted prices in active markets for similar assets and liabilities, quoted prices for identical or similar assets or liabilities in markets that are not active, or other inputs that are observable or can be corroborated by observable market data for substantially the full term of assets or liabilities.

Level 3 inputs are unobservable inputs in which little or no market data exists, therefore requiring an entity to develop its own assumptions.

The following table presents the Company's assets and liabilities measured at fair value on a recurring basis as of June 30, 2011 and December 31, 2010:

   
June 30, 2011
  
December 31, 2010
 
   
Level 1
  
Level 2
  
Level 3
  
Level 1
  
Level 2
  
Level 3
 
Assets:
                  
Short-term investments
 $-  $-  $-  $121,734  $-  $- 
Foreign currency cash flow hedges
  -   215   -   -   503   - 
Liabilities:
                        
Net investment hedge derivative
  -   29,895   -   -   19,774   - 

Short-term investments consist of investment grade time deposits with original maturities between three months and one year and are included in current assets in the Unaudited Condensed Consolidated Balance Sheet. Short-term investments are measured at fair value using quoted market prices. The derivative contracts are measured at fair value using models based on observable market inputs such as foreign currency exchange rates and interest rates; therefore, they are classified within Level 2 of the valuation hierarchy.

In addition to fair value disclosure requirements related to financial instruments carried at fair value, accounting standards require interim disclosures regarding the fair value of all of the Company's financial instruments.

The estimated fair value of long-term debt at June 30, 2011 and December 31, 2010 was $2,431,461 and $1,961,697, respectively, compared to the carrying value of $2,187,986 and $1,792,811. The carrying value includes the portion that is due and payable in less than one year of $1,748 and $1,925 at June 30, 2011 and December 31, 2010, respectively. The estimated fair value of the long-term debt is based on quoted market prices for similar instruments. The fair value of short-term loans, principally commercial paper at June 30, 2011 and December 31, 2010, approximates carrying value.

The carrying values of cash and cash equivalents, trade receivables, accounts payable, notes payable, and accrued expenses are reasonable estimates of their fair values as of June 30, 2011 and December 31, 2010 due to the short-term nature of these instruments.
XML 17 R13.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Goodwill and Other Intangible Assets
6 Months Ended
Jun. 30, 2011
Goodwill and Intangible Assets Disclosure [Abstract]  
Goodwill and Other Intangible Assets
6. Goodwill and Other Intangible Assets
 
The following table provides the changes in carrying value of goodwill by segment for the six months ended June 30, 2011:

   
Industrial
Products
  
Engineered
Systems
  
Fluid
Management
  
Electronic
Technologies
  
Total
 
Goodwill
 $1,031,658  $819,054  $699,232  $977,811  $3,527,755 
Accumulated impairment loss
  (99,752)  -   (59,970)  -   (159,722)
Balance at January 1, 2011
  931,906   819,054   639,262   977,811   3,368,033 
Acquisitions
          236,135       236,135 
Foreign currency translation
  1,257   2,747   2,587   6,046   12,637 
Balance at June 30, 2011
 $933,163  $821,801  $877,984  $983,857  $3,616,805 

The following table provides the gross carrying value and accumulated amortization for each major class of intangible asset:

   
June 30, 2011
  
December 31, 2010
 
   
Gross Carrying
Amount
  
Accumulated
Amortization
  
Gross Carrying
Amount
  
Accumulated
Amortization
 
Amortized Intangible Assets:
            
Trademarks
 $86,012  $24,241  $74,053  $21,330 
Patents
  136,114   99,900   131,975   94,632 
Customer Intangibles
  982,150   379,403   802,663   334,585 
Unpatented Technologies
  140,600   93,781   138,780   86,461 
Drawings & Manuals
  16,398   8,500   15,650   7,728 
Distributor Relationships
  73,227   26,667   73,183   24,724 
Other
  29,349   21,354   28,202   18,445 
Total
  1,463,850   653,846   1,264,506   587,905 
Unamortized Intangible Assets:
                
Trademarks
  228,654       230,922     
Total Intangible Assets
 $1,692,504  $653,846  $1,495,428  $587,905 
 
Amortization expense totaled $30,751 and $25,891 for the three months ended June 30, 2011 and 2010, respectively. For the six months ended June 30, 2011 and 2010, amortization expense was $61,765 and $51,655, respectively.

XML 18 R14.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Borrowings
6 Months Ended
Jun. 30, 2011
Borrowings [Abstract]  
Long-term debt
7. Borrowings

Borrowings consist of the following:

   
June 30, 2011
  
December 31, 2010
 
6.50% 10-year notes due February 15, 2011
 $-  $399,986 
4.875% 10-year notes due October 15, 2015
  299,145   299,047 
5.45% 10-year notes due March 15, 2018
  347,773   347,608 
4.30% 10-year notes due March 1, 2021
  449,748   - 
6.60% 30-year notes due March 15, 2038
  247,639   247,595 
5.375% 30-year notes due March 1, 2041
  345,272   - 
6.65% 30-year debentures due June 1, 2028
  199,396   199,379 
5.375% 30-year debentures due October 15, 2035
  296,128   296,048 
Other
  2,885   3,148 
Total long-term debt
  2,187,986   1,792,811 
Less current installments
  (1,748)  (1,925)
   $2,186,238  $1,790,886 
 
On February 22, 2011, the Company issued $450 million of 4.30% Notes due 2021 and $350 million of 5.375% Notes due 2041. The proceeds of $788,971 from the sale of the notes, net of discounts and issuance costs, were used to repay commercial paper, including commercial paper issued to repay the Company's $400 million of 6.50% notes, which matured February 15, 2011, and for other general corporate purposes, including the acquisition of Harbison-Fischer. The new notes are redeemable at the option of Dover in whole or in part at any time at a redemption price that includes a make-whole premium, with accrued interest to the redemption date.
 
At June 30, 2011 and December 31, 2010, notes payable and current maturities of long-term debt within the Unaudited Condensed Consolidated Balance Sheet included commercial paper of $46,000 and $15,000, respectively.

The Company maintains a $1 billion unsecured revolving credit facility which expires on November 9, 2012. The Company primarily uses this facility as liquidity back-up for its commercial paper program and has not drawn down any loans under the $1 billion facility and does not anticipate doing so. The Company generally uses commercial paper borrowings for general corporate purposes, funding of acquisitions and the repurchases of its common stock.

Interest expense for the three months ended June 30, 2011 and 2010 was $31,120 and $28,996, respectively. For the six months ended June 30, 2011 and 2010, interest expense was $62,180 and $57,842, respectively. Interest income for the three months ended June 30, 2011 and 2010 was $2,986 and $2,054, respectively. For the six months ended June 30, 2011 and 2010, interest income was $5,760 and $3,731, respectively.
XML 19 R15.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Income Taxes
6 Months Ended
Jun. 30, 2011
Income Taxes [Abstract]  
Income Taxes
8. Income Taxes

The Company's provision for income taxes for continuing operations in interim periods is computed by applying its estimated annual effective tax rate against earnings before income tax expense for the period. In addition, non-recurring or discrete items are recorded during the period in which they occur.  The effective tax rates for the three and six months ended June 30, 2011 were 20.2% and 21.8% compared to the prior year rates of 29.2% and 30.1%.  The effective tax rates for the three and six month periods of 2011 were favorably impacted by net discrete items totaling $30,354, including $22,338 arising in the second quarter principally from U.S. federal tax settlements and $8,016 arising in the first quarter principally from settlements with state taxing authorities.  Excluding discrete items, the effective tax rates for the three and six month periods of 2011 were 27.4% and 27.3%, respectively, which are lower than the effective rates in the comparable 2010 periods primarily due to a more favorable mix of non-U.S. earnings in 2011.  The Company believes additional uncertain tax positions will be settled within the next 12 months; however, an estimate cannot be made due to the uncertainties associated with the resolution of these matters.
XML 20 R16.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Discontinued Operations
6 Months Ended
Jun. 30, 2011
Discontinued Operations [Abstract]  
Discontinued Operations
9. Discontinued Operations

Summarized results of the Company's discontinued operations are as follows:

   
Three Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Revenue
 $-  $-  $-  $9,380 
                  
Loss on sale, net of taxes
 $-  $(926) $-  $(14,203)
                  
(Loss) gain from operations before taxes
  (490)  (323)  66   102 
Benefit (provision) for income taxes
  1,165   (774)  12,208   (1,280)
Gain (loss) from discontinued operations, net of tax
 $675  $(2,023) $12,274  $(15,381)
 
The Company currently has no businesses held for sale in discontinued operations. The gain from discontinued operations, net of tax, for the six months ended June 30, 2011 reflects the tax benefit resulting primarily from discrete tax items settled during the period. For the six months ended June 30, 2010, the loss from discontinued operations, net of tax reflects the sale of Triton, an operating company that had been reclassified from the Engineered Sysytems segment to discontinued operations in 2008.

At June 30, 2011 and December 31, 2010, the assets and liabilities of discontinued operations primarily represent residual amounts for deferred tax assets, short and long-term reserves, and contingencies related to businesses previously sold.
 
Additional detail related to the assets and liabilities of the Company's discontinued operations is as follows:

   
June 30, 2011
  
December 31, 2010
 
Assets of Discontinued Operations
      
Current assets
 $9,500  $52,678 
Non-current assets
  13,090   14,455 
   $22,590  $67,133 
          
Liabilities of Discontinued Operations
        
Current liabilities
 $10,184  $34,111 
Non-current liabilities
  67,801   71,531 
   $77,985  $105,642 
XML 21 R17.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Commitments and Contingent Liabilities
6 Months Ended
Jun. 30, 2011
Commitments and Contingent Liabilities [Abstract]  
Commitments and Contingent Liabilities
10. Commitments and Contingent Liabilities

A few of the Company's subsidiaries are involved in legal proceedings relating to the cleanup of waste disposal sites identified under federal and state statutes which provide for the allocation of such costs among “potentially responsible parties.” In each instance, the extent of the Company's liability appears to be very small in relation to the total projected expenditures and the number of other “potentially responsible parties” involved and is anticipated to be immaterial to the Company. In addition, a few of the Company's subsidiaries are involved in ongoing remedial activities at certain current and former plant sites, in cooperation with regulatory agencies, and appropriate reserves have been established.

The Company and certain of its subsidiaries are also parties to a number of other legal proceedings incidental to their businesses. These proceedings primarily involve claims by private parties alleging injury arising out of use of the Company's products, exposure to hazardous substances, patent infringement, employment matters and commercial disputes. Management and legal counsel, at least quarterly, review the probable outcome of such proceedings, the costs and expenses reasonably expected to be incurred and currently accrued to-date, and the availability and extent of insurance coverage. While it is not possible at this time to predict the outcome of these legal actions, in the opinion of management, based on these reviews, it is unlikely that the disposition of the lawsuits and the other matters mentioned above will have a material adverse effect on the financial position, results of operations, or cash flows of the Company.

Estimated warranty program claims are provided for at the time of sale. Amounts provided for are based on historical costs and adjusted new claims. The changes in the carrying amount of product warranties through June 30, 2011 and 2010 are as follows:

   
2011
  
2010
 
Beginning Balance, January 1
 $58,229  $59,713 
Provision for warranties
  20,680   19,728 
Settlements made
  (20,539)  (18,364)
Other adjustments, including currency translation
  725   (1,895)
Ending Balance, June 30
 $59,095  $59,182 

As of June 30, 2011, the Company had approximately $77,561 outstanding in letters of credit with financial institutions, which expire at various dates in 2011 through 2016. These letters of credit are primarily maintained as security for insurance, warranty and other performance obligations.
 
From time to time, the Company will initiate various restructuring programs at its operating companies and incur severance and other restructuring costs. For the three months ended June 30, 2011, restructuring charges of $1,214 and $881 were recorded in cost of goods and services and selling and administrative expenses, respectively. For the three months ended June 30, 2010, restructuring charges of $197 were recorded in selling and administrative expenses.  For the six months ended June 30, 2011, restructuring charges of $1,301 and $2,274 were recorded in cost of goods and services and selling and administrative expenses, respectively. For the six months ended June 30, 2010, restructuring charges of $713 and $1,535 and were recorded in cost of goods and services and selling and administrative expenses, respectively.

The following table details the Company's severance and other restructuring reserve activity:

   
Severance
  
Exit
  
Total
 
At December 31, 2010
 $1,143  $6,751  $7,894 
Provision
  2,722   853   3,575 
Payments
  (2,444)  (2,437)  (4,881)
Other
  19   (394)  (375)
At June 30, 2011
 $1,440  $4,773  $6,213 

The following table details restructuring charges incurred by segment for the periods presented:

   
Three Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Industrial Products
 $467  $463  $941  $796 
Engineered Systems
  (2)  310   4   426 
Fluid Management
  1,514   (489)  2,382   768 
Electronic Technologies
  116   (87)  248   258 
Total
 $2,095  $197  $3,575  $2,248 
XML 22 R18.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Employee Benefit Plans
6 Months Ended
Jun. 30, 2011
Employee Benefit Plans [Abstract]  
Employee Benefit Plans
11. Employee Benefit Plans
 
The following table sets forth the components of the Company's net periodic expense relating to retirement and post-retirement benefit plans:

   
Retirement Plan Benefits
 
   
Three Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Service Cost
 $5,316  $4,850  $10,609  $9,700 
Interest Cost
  10,951   9,632   21,851   19,264 
Expected return on plan assets
  (11,681)  (9,621)  (23,313)  (19,242)
Amortization:
  -   -         
Prior service cost
  2,175   2,158   4,347   4,316 
Recognized actuarial loss
  2,148   1,367   4,296   2,734 
Transition obligation
  (11)  (11)  (22)  (22)
Other
  32   20   64   40 
Net periodic expense
 $8,930  $8,395  $17,832  $16,790 

   
Post-Retirement Benefits
 
   
Three Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Service Cost
 $51  $70  $103  $139 
Interest Cost
  181   212   362   420 
Amortization:
                
Prior service cost
  (103)  (98)  (205)  (200)
Recognized actuarial loss
  (60)  (103)  (120)  (203)
Net periodic expense
 $69  $81  $140  $156 
XML 23 R19.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Comprehensive Earnings
6 Months Ended
Jun. 30, 2011
Comprehensive Earnings [Abstract]  
Comprehensive Earnings
12. Comprehensive Earnings

Comprehensive earnings were as follows:

   
Three Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Net earnings
 $249,769  $169,870  $444,674  $277,997 
Foreign currency translation adjustment, net of tax
  18,760   (86,198)  90,944   (171,465)
Other, net of tax
  875   609   352   1,949 
Comprehensive earnings
 $269,404  $84,281  $535,970  $108,481 
XML 24 R2.htm IDEA: XBRL DOCUMENT  v2.3.0.11
CONDENSED CONSOLIDATED STATEMENT OF OPERATIONS (unaudited) (USD $)
In Thousands, except Per Share data
3 Months Ended 6 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Jun. 30, 2011
Jun. 30, 2010
Condensed Consolidated Statement of Operations (Unaudited) [Abstract]        
Revenue $ 2,156,871 $ 1,786,696 $ 4,115,892 $ 3,369,966
Cost of goods and services 1,341,014 1,097,998 2,551,210 2,069,111
Gross profit 815,857 688,698 1,564,682 1,300,855
Selling and administrative expenses 474,130 423,809 952,649 832,978
Operating earnings 341,727 264,889 612,033 467,877
Interest expense, net 28,134 26,942 56,420 54,111
Other expense (income), net 1,374 (4,708) 2,594 (5,949)
Earnings before provision for income taxes and discontinued operations 312,219 242,655 553,019 419,715
Provision for income taxes 63,125 70,762 120,619 126,337
Earnings from continuing operations 249,094 171,893 432,400 293,378
Gain (loss) from discontinued operations, net 675 (2,023) 12,274 (15,381)
Net earnings $ 249,769 $ 169,870 $ 444,674 $ 277,997
Basis earnings (loss) per common share:        
Earnings from continuing operations (in dollars per share) $ 1.34 $ 0.92 $ 2.32 $ 1.57
Gain (loss) from discontinued operations, net (in dollars per share) $ 0 $ (0.01) $ 0.07 $ (0.08)
Net earnings (in dollars per share) $ 1.34 $ 0.91 $ 2.38 $ 1.49
Weighted average shares outstanding (in shares) 186,443 186,823 186,522 186,998
Diluted earnings (loss) per common share:        
Earnings from continuing operations (in dollars per share) $ 1.31 $ 0.91 $ 2.28 $ 1.55
Gain (loss) from discontinued operations, net (in dollars per share) $ 0 $ (0.01) $ 0.06 $ (0.08)
Net earnings (in dollars per share) $ 1.32 $ 0.90 $ 2.34 $ 1.47
Weighted average shares outstanding (in shares) 189,705 188,720 189,905 188,948
Dividends paid per common share (in dollars per share) $ 0.275 $ 0.26 $ 0.55 $ 0.52
The following table is a reconciliation of the share amounts used in computing earnings per share:        
Weighted average shares outstanding - Basic (in shares) 186,443 186,823 186,522 186,998
Dilutive effect of assumed exercise of employee stock options, SARs and performance shares (in shares) 3,262 1,897 3,383 1,950
Weighted average shares outstanding - Diluted (in shares) 189,705 188,720 189,905 188,948
Anti-dilutive options/SARs excluded from diluted EPS computation (in shares) 1,513 3,790 1,184 1,501
XML 25 R20.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Segment Information
6 Months Ended
Jun. 30, 2011
Segment Information [Abstract]  
Segment Information
13. Segment Information
 
For management reporting and performance evaluation purposes, the Company categorizes its operating companies into four distinct reportable segments. Segment financial information and a reconciliation of segment results to consolidated results follows:

   
Three Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
REVENUE
            
Industrial Products
 $566,775  $462,386  $1,085,537  $891,184 
Engineered Systems
  645,655   577,121   1,206,300   1,061,394 
Fluid Management
  534,538   403,674   1,043,478   784,474 
Electronic Technologies
  412,630   345,607   785,960   636,596 
Intra-segment eliminations
  (2,727)  (2,092)  (5,383)  (3,682)
Total consolidated revenue
 $2,156,871  $1,786,696  $4,115,892  $3,369,966 
EARNINGS FROM CONTINUING OPERATIONS
                
Segment earnings:
                
Industrial Products
 $73,316  $61,635  $137,729  $112,674 
Engineered Systems
  94,116   84,655   161,429   139,498 
Fluid Management
  131,382   96,168   245,067   182,935 
Electronic Technologies
  76,917   59,582   136,692   104,487 
Total segments
  375,731   302,040   680,917   539,594 
Corporate expense / other
  35,378   32,443   71,478   65,768 
Net interest expense
  28,134   26,942   56,420   54,111 
                  
Earnings before provision for income taxes and
discontinued operations
  312,219   242,655   553,019   419,715 
Provision for taxes
  63,125   70,762   120,619   126,337 
Earnings from continuing operations - total consolidated
 $249,094  $171,893  $432,400  $293,378 
XML 26 R21.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Recent Accounting Standards
6 Months Ended
Jun. 30, 2011
Recent Accounting Standards [Abstract]  
Recent Accounting Standards
14. Recent Accounting Standards

In October 2009, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) 2009-13, which amended existing guidance for identifying separate deliverables in a revenue-generating transaction where multiple deliverables exist and requires that arrangement consideration be allocated at the inception of an arrangement to all deliverables using the relative selling price method. The ASU also establishes a selling price hierarchy for determining the selling price of a deliverable, which includes: 1) vendor-specific objective evidence if available, 2) third-party evidence if vendor-specific objective evidence is not available, and 3) estimated selling price if neither vendor-specific nor third-party evidence is available.

The majority of the Company's businesses generate revenue through the manufacture and sale of a broad range of specialized products and components, with revenue recognized upon transfer of title and risk of loss, which is generally upon shipment. When the Company has multiple deliverables in its sales arrangements, they are typically separate units of accounting with vendor-specific objective evidence of selling price. The Company adopted the requirements of ASU 2009-13 on a prospective basis, effective January 1, 2011. The requirements of ASU 2009-13 did not significantly change the Company's units of accounting or how the Company allocates arrangement consideration to various units of accounting. Therefore, the adoption of ASU 2009-13 did not have a material effect on the Company's statement of position or results of operations.

In October 2009, the FASB issued ASU 2009-14 which eliminates tangible products containing both software and non-software components that operate together to deliver a product's functionality from the scope of then-current generally accepted accounting principles for software. The Company adopted ASU 2009-14 on a prospective basis, effective January 1, 2011. The adoption of this guidance did not have a material impact on the Company's consolidated financial statements.
 
In May 2011, the FASB issued ASU 2011-04 which was issued to provide a consistent definition of fair value and ensure that the fair value measurement and disclosure requirements are similar between U.S. GAAP and IFRS. ASU 2011-04 changes certain fair value measurement principles and enhances the disclosure requirements particularly for Level 3 fair value measurements.  This guidance is effective for the Company beginning on January 1, 2012.  Its adoption is not expected to significantly impact on the Company's consolidated financial statements.

In June 2011, the FASB issued ASU 2011-05 which provides new guidance on the presentation of comprehensive income.  ASU 2011-05 eliminates the option to report other comprehensive income and its components in the statement of changes in stockholders' equity and instead requires 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.   This guidance is effective for fiscal years, and interim periods within those years, beginning after December 15, 2011, with early adoption permitted.  The adoption of this ASU will not have a significant impact on the Company's consolidated financial statements as it only requires a change in the format of the current presentation. 

XML 27 R22.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Equity Incentive Program
6 Months Ended
Jun. 30, 2011
Equity Incentive Program [Abstract]  
Equity Incentive Program
15. Equity Incentive Program

During the six months ended June 30, 2011, the Company issued stock appreciation rights (“SARs”) covering 1,524,329 shares and 44,751 performance shares. During the six months ended June 30, 2010, the Company issued SARs covering 2,306,440 shares and 68,446 performance shares.

The fair value of each SAR grant was estimated on the date of grant using the Black-Scholes option pricing model. The performance share awards are market condition awards and have been assessed at fair value on the date of grant using the Monte Carlo simulation model. The following assumptions were used in determining the fair value of the SARs and performance shares awarded during the respective periods:

   
SARs
  
Performance Shares
 
   
Six Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Risk-free interest rate
  2.68%  2.77%  1.34%  1.37%
Dividend yield
  1.70%  2.33%  1.61%  2.38%
Expected life (years)
  5.8   6.0   2.9   2.9 
Volatility
  33.56%  31.93%  40.48%  39.98%
Grant price
 $66.59  $42.88   n/a   n/a 
Fair value at date of grant
 $20.13  $11.66  $91.41  $57.49 

For the three months ended June 30, 2011 and 2010, after-tax stock-based compensation expense totaled $3,988 and $3,862, respectively. For the six months ended June 30, 2011 and 2010, after-tax stock-based compensation expense totaled $9,361 and $8,426, respectively. Stock-based compensation is reported within selling and administrative expenses in the accompanying Unaudited Condensed Consolidated Statement of Operations.

XML 28 R23.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Share Repurchases
6 Months Ended
Jun. 30, 2011
Share Repurchases [Abstract]  
Share Repurchases
16. Share Repurchases

In May 2007, the Board of Directors authorized the repurchase of up to 10,000,000 shares through May 2012. During the three and six months ended June 30, 2011, the Company repurchased 1,000,000 and 1,450,000 shares of its common stock in the open market.  During the six months ended June 30, 2011 the Company also repurchased 79,708 shares from the holders of its employee stock options when they tendered these shares as full or partial payment of the exercise price of such options.  Therefore, during the three and six months ended June 30, 2011, a total of 1,079,708 and 1,529,708 shares were repurchased at an average price of $64.06 and $64.31 per share, respectively. Treasury shares increased to 64,415,056 at June 30, 2011 from a balance of 62,885,348 at December 31, 2010.
XML 29 R24.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Subsequent Events
6 Months Ended
Jun. 30, 2011
Subsequent Events [Abstract]  
Subsequent Events
17. Subsequent Events
 
The Company assessed events occurring subsequent to June 30, 2011 for potential recognition and disclosure in the Unaudited Condensed Consolidated Financial Statements. No events have occurred that would require adjustment to the Unaudited Condensed Consolidated Financial Statements.

On July 4, 2011, the Company closed on the acquisition of the Sound Solutions business of NXP Semiconductors N.V. The acquisition purchase price of $855 million was funded by cash on hand and is subject to working capital and other contractual adjustments.   Sound Solutions is one of the world's leading manufacturers of dynamic speakers and receivers for cell phones and other consumer electronics.  The business will be incorporated into the Knowles business within the Dover Electronic Technologies segment, which will enhance the segment's product offerings serving the high growth handset market. The Company is in the process of finalizing its appraisals of tangible and intangible assets relating to this acquisition, and the allocation of the purchase price to the assets acquired and liabilities assumed will be completed once the appraisal process has been finalized.   Over the last three quarters ended June 30, 2011, the Company has recognized transaction related expenses totaling $3.5 million, which are reflected within selling and administrative expenses, and expects to recognize approximately $11 million of additional transaction related closing costs in the third quarter of 2011 relating to this acquisition.
XML 30 R25.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Recent Accounting Standards (Policies)
6 Months Ended
Jun. 30, 2011
Recent Accounting Standards [Abstract]  
Adoption of ASU 2009-13 and its impact
In October 2009, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) 2009-13, which amended existing guidance for identifying separate deliverables in a revenue-generating transaction where multiple deliverables exist and requires that arrangement consideration be allocated at the inception of an arrangement to all deliverables using the relative selling price method. The ASU also establishes a selling price hierarchy for determining the selling price of a deliverable, which includes: 1) vendor-specific objective evidence if available, 2) third-party evidence if vendor-specific objective evidence is not available, and 3) estimated selling price if neither vendor-specific nor third-party evidence is available.

The majority of the Company's businesses generate revenue through the manufacture and sale of a broad range of specialized products and components, with revenue recognized upon transfer of title and risk of loss, which is generally upon shipment. When the Company has multiple deliverables in its sales arrangements, they are typically separate units of accounting with vendor-specific objective evidence of selling price. The Company adopted the requirements of ASU 2009-13 on a prospective basis, effective January 1, 2011. The requirements of ASU 2009-13 did not significantly change the Company's units of accounting or how the Company allocates arrangement consideration to various units of accounting. Therefore, the adoption of ASU 2009-13 did not have a material effect on the Company's statement of position or results of operations.

Adoption of ASU 2009-14 and its impact
In October 2009, the FASB issued ASU 2009-14 which eliminates tangible products containing both software and non-software components that operate together to deliver a product's functionality from the scope of then-current generally accepted accounting principles for software. The Company adopted ASU 2009-14 on a prospective basis, effective January 1, 2011. The adoption of this guidance did not have a material impact on the Company's consolidated financial statements.
 
Adoption of ASU 2011-04 and its impact
In May 2011, the FASB issued ASU 2011-04 which was issued to provide a consistent definition of fair value and ensure that the fair value measurement and disclosure requirements are similar between U.S. GAAP and IFRS. ASU 2011-04 changes certain fair value measurement principles and enhances the disclosure requirements particularly for Level 3 fair value measurements.  This guidance is effective for the Company beginning on January 1, 2012.  Its adoption is not expected to significantly impact on the Company's consolidated financial statements.

Adoption of ASU 2011-05 and its impact
In June 2011, the FASB issued ASU 2011-05 which provides new guidance on the presentation of comprehensive income.  ASU 2011-05 eliminates the option to report other comprehensive income and its components in the statement of changes in stockholders' equity and instead requires 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.   This guidance is effective for fiscal years, and interim periods within those years, beginning after December 15, 2011, with early adoption permitted.  The adoption of this ASU will not have a significant impact on the Company's consolidated financial statements as it only requires a change in the format of the current presentation. 

XML 31 R26.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Acquisitions (Tables)
6 Months Ended
Jun. 30, 2011
Acquisitions [Abstract]  
Allocation of acquisition cost
The following presents the allocation of the acquisition cost to the assets acquired and liabilities assumed, based on their estimated fair values:

Current assets, net of cash acquired
 $81,213 
Property, plant and equipment
  41,435 
Goodwill
  236,135 
Intangible assets
  190,132 
Other
  (1,118)
Total liabilities
  (123,173)
Net assets acquired
 $424,624 
 
Pro forma results of operations
The 2011 and 2010 supplemental pro forma earnings are also adjusted to reflect the comparable impact of additional depreciation and amortization expense (net of tax) resulting from the fair value measurement of tangible and intangible assets relating to 2011 and 2010 acquisitions.

   
Three Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Revenue from continuing operations:
            
As reported
 $2,156,871  $1,786,696  $4,115,892  $3,369,966 
Pro forma
  2,156,871   1,841,346   4,117,317   3,479,945 
Net earnings from continuing operations:
                
As reported
 $249,094  $171,893  $432,400  $293,378 
Pro forma
  249,429   176,762   434,570   301,748 
Basic earnings per share from continuing operations:
                
As reported
 $1.34  $0.92  $2.32  $1.57 
Pro forma
  1.34   0.95   2.33   1.61 
Diluted earnings per share from continuing operations:
                
As reported
 $1.31  $0.91  $2.28  $1.55 
Pro forma
  1.31   0.94   2.29   1.60 

XML 32 R27.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Inventories, net (Tables)
6 Months Ended
Jun. 30, 2011
Inventories, net [Abstract]  
Components of Inventory
   
June 30, 2011
  
December 31, 2010
 
Raw materials
 $402,166  $349,628 
Work in progress
  212,387   161,597 
Finished goods
  323,931   253,910 
Subtotal
  938,484   765,135 
Less LIFO reserve
  55,972   51,025 
Total
 $882,512  $714,110 
XML 33 R28.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Property, Plant and Equipment, Net (Tables)
6 Months Ended
Jun. 30, 2011
Property, Plant and Equipment [Abstract]  
Property, plant and equipment, net
   
June 30, 2011
  
December 31, 2010
 
Land
 $57,075  $50,760 
Buildings and improvements
  601,808   567,941 
Machinery, equipment and other
  2,050,082   1,921,509 
    2,708,965   2,540,210 
Accumulated depreciation
  (1,772,168)  (1,693,021)
Total
 $936,797  $847,189 
XML 34 R29.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Financial Instruments (Tables)
6 Months Ended
Jun. 30, 2011
Financial Instruments [Abstract]  
Fair value of derivative instruments and the balance sheet lines in which they are recorded
The following table sets forth the fair values of derivative instruments held by the Company as of June 30, 2011 and December 31, 2010 and the balance sheet lines in which they are recorded:
 
   
Fair Value - Asset (Liability)
  
   
June 30, 2011
  
December 31, 2010
 
Balance Sheet Caption
Foreign currency forward / collar contracts
 $215  $503 
Prepaid / Other assets
Net investment hedge - cross currency swap
  (29,895)  (19,774)
Other liabilities

Assets and liabilities measured at fair value on a recurring basis
The following table presents the Company's assets and liabilities measured at fair value on a recurring basis as of June 30, 2011 and December 31, 2010:

   
June 30, 2011
  
December 31, 2010
 
   
Level 1
  
Level 2
  
Level 3
  
Level 1
  
Level 2
  
Level 3
 
Assets:
                  
Short-term investments
 $-  $-  $-  $121,734  $-  $- 
Foreign currency cash flow hedges
  -   215   -   -   503   - 
Liabilities:
                        
Net investment hedge derivative
  -   29,895   -   -   19,774   - 

XML 35 R3.htm IDEA: XBRL DOCUMENT  v2.3.0.11
CONDENSED CONSOLIDATED BALANCE SHEET (unaudited) (USD $)
In Thousands
Jun. 30, 2011
Dec. 31, 2010
Current assets:    
Cash and cash equivalents $ 1,397,419 $ 1,187,361
Short-term investments 0 121,734
Receivables, net of allowances of $32,775 and $34,151 1,323,470 1,087,704
Inventories, net 882,512 714,110
Prepaid and other current assets 71,509 61,242
Deferred tax assets 78,505 89,720
Total current assets 3,753,415 3,261,871
Property, plant and equipment, net 936,797 847,189
Goodwill 3,616,805 3,368,033
Intangible assets, net 1,038,658 907,523
Other assets and deferred charges 113,773 111,145
Assets of discontinued operations 22,590 67,133
Total assets 9,482,038 8,562,894
Current liabilities:    
Notes payable and current maturities of long-term debt 47,748 16,925
Accounts payable 596,315 469,038
Accrued compensation and employee benefits 247,265 275,947
Accrued insurance 108,871 112,198
Other accrued expenses 223,449 240,786
Federal and other taxes on income 40,318 79,492
Total current liabilities 1,263,966 1,194,386
Long-term debt 2,186,238 1,790,886
Deferred income taxes 446,579 381,297
Other liabilities 594,313 564,121
Liabilities of discontinued operations 77,985 105,642
Stockholders' Equity:    
Total stockholders' equity 4,912,957 4,526,562
Total liabilities and stockholders' equity $ 9,482,038 $ 8,562,894
XML 36 R30.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Goodwill and Other Intangible Assets (Tables)
6 Months Ended
Jun. 30, 2011
Goodwill and Intangible Assets Disclosure [Abstract]  
Goodwill
The following table provides the changes in carrying value of goodwill by segment for the six months ended June 30, 2011:

   
Industrial
Products
  
Engineered
Systems
  
Fluid
Management
  
Electronic
Technologies
  
Total
 
Goodwill
 $1,031,658  $819,054  $699,232  $977,811  $3,527,755 
Accumulated impairment loss
  (99,752)  -   (59,970)  -   (159,722)
Balance at January 1, 2011
  931,906   819,054   639,262   977,811   3,368,033 
Acquisitions
          236,135       236,135 
Foreign currency translation
  1,257   2,747   2,587   6,046   12,637 
Balance at June 30, 2011
 $933,163  $821,801  $877,984  $983,857  $3,616,805 

Schedule of Intangible Assets
The following table provides the gross carrying value and accumulated amortization for each major class of intangible asset:

   
June 30, 2011
  
December 31, 2010
 
   
Gross Carrying
Amount
  
Accumulated
Amortization
  
Gross Carrying
Amount
  
Accumulated
Amortization
 
Amortized Intangible Assets:
            
Trademarks
 $86,012  $24,241  $74,053  $21,330 
Patents
  136,114   99,900   131,975   94,632 
Customer Intangibles
  982,150   379,403   802,663   334,585 
Unpatented Technologies
  140,600   93,781   138,780   86,461 
Drawings & Manuals
  16,398   8,500   15,650   7,728 
Distributor Relationships
  73,227   26,667   73,183   24,724 
Other
  29,349   21,354   28,202   18,445 
Total
  1,463,850   653,846   1,264,506   587,905 
Unamortized Intangible Assets:
                
Trademarks
  228,654       230,922     
Total Intangible Assets
 $1,692,504  $653,846  $1,495,428  $587,905 
 
XML 37 R31.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Borrowings (Tables)
6 Months Ended
Jun. 30, 2011
Borrowings [Abstract]  
Schedule of maturities of long-term debt
7. Borrowings

Borrowings consist of the following:

   
June 30, 2011
  
December 31, 2010
 
6.50% 10-year notes due February 15, 2011
 $-  $399,986 
4.875% 10-year notes due October 15, 2015
  299,145   299,047 
5.45% 10-year notes due March 15, 2018
  347,773   347,608 
4.30% 10-year notes due March 1, 2021
  449,748   - 
6.60% 30-year notes due March 15, 2038
  247,639   247,595 
5.375% 30-year notes due March 1, 2041
  345,272   - 
6.65% 30-year debentures due June 1, 2028
  199,396   199,379 
5.375% 30-year debentures due October 15, 2035
  296,128   296,048 
Other
  2,885   3,148 
Total long-term debt
  2,187,986   1,792,811 
Less current installments
  (1,748)  (1,925)
   $2,186,238  $1,790,886 
XML 38 R32.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Discontinued Operations (Tables)
6 Months Ended
Jun. 30, 2011
Discontinued Operations [Abstract]  
Summarized results of discontinued operations
Summarized results of the Company's discontinued operations are as follows:

   
Three Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Revenue
 $-  $-  $-  $9,380 
                  
Loss on sale, net of taxes
 $-  $(926) $-  $(14,203)
                  
(Loss) gain from operations before taxes
  (490)  (323)  66   102 
Benefit (provision) for income taxes
  1,165   (774)  12,208   (1,280)
Gain (loss) from discontinued operations, net of tax
 $675  $(2,023) $12,274  $(15,381)
 
Additional detail related to the assets and liabilities of the Company's discontinued operations is as follows:

   
June 30, 2011
  
December 31, 2010
 
Assets of Discontinued Operations
      
Current assets
 $9,500  $52,678 
Non-current assets
  13,090   14,455 
   $22,590  $67,133 
          
Liabilities of Discontinued Operations
        
Current liabilities
 $10,184  $34,111 
Non-current liabilities
  67,801   71,531 
   $77,985  $105,642 
XML 39 R33.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Commitments and Contingent Liabilities (Tables)
6 Months Ended
Jun. 30, 2011
Commitments and Contingent Liabilities [Abstract]  
Carrying amount of product warranties
Estimated warranty program claims are provided for at the time of sale. Amounts provided for are based on historical costs and adjusted new claims. The changes in the carrying amount of product warranties through June 30, 2011 and 2010 are as follows:

   
2011
  
2010
 
Beginning Balance, January 1
 $58,229  $59,713 
Provision for warranties
  20,680   19,728 
Settlements made
  (20,539)  (18,364)
Other adjustments, including currency translation
  725   (1,895)
Ending Balance, June 30
 $59,095  $59,182 
Restructuring reserve and charges by segment
The following table details the Company's severance and other restructuring reserve activity:

   
Severance
  
Exit
  
Total
 
At December 31, 2010
 $1,143  $6,751  $7,894 
Provision
  2,722   853   3,575 
Payments
  (2,444)  (2,437)  (4,881)
Other
  19   (394)  (375)
At June 30, 2011
 $1,440  $4,773  $6,213 

The following table details restructuring charges incurred by segment for the periods presented:

   
Three Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Industrial Products
 $467  $463  $941  $796 
Engineered Systems
  (2)  310   4   426 
Fluid Management
  1,514   (489)  2,382   768 
Electronic Technologies
  116   (87)  248   258 
Total
 $2,095  $197  $3,575  $2,248 
XML 40 R34.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Employee Benefit Plans (Tables)
6 Months Ended
Jun. 30, 2011
Employee Benefit Plans [Abstract]  
Components of net periodic expense relating to retirement and post-retirement benefit plans
The following table sets forth the components of the Company's net periodic expense relating to retirement and post-retirement benefit plans:

   
Retirement Plan Benefits
 
   
Three Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Service Cost
 $5,316  $4,850  $10,609  $9,700 
Interest Cost
  10,951   9,632   21,851   19,264 
Expected return on plan assets
  (11,681)  (9,621)  (23,313)  (19,242)
Amortization:
  -   -         
Prior service cost
  2,175   2,158   4,347   4,316 
Recognized actuarial loss
  2,148   1,367   4,296   2,734 
Transition obligation
  (11)  (11)  (22)  (22)
Other
  32   20   64   40 
Net periodic expense
 $8,930  $8,395  $17,832  $16,790 

   
Post-Retirement Benefits
 
   
Three Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Service Cost
 $51  $70  $103  $139 
Interest Cost
  181   212   362   420 
Amortization:
                
Prior service cost
  (103)  (98)  (205)  (200)
Recognized actuarial loss
  (60)  (103)  (120)  (203)
Net periodic expense
 $69  $81  $140  $156 
XML 41 R35.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Comprehensive Earnings (Tables)
6 Months Ended
Jun. 30, 2011
Comprehensive Earnings [Abstract]  
Comprehensive earnings
Comprehensive earnings were as follows:

   
Three Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Net earnings
 $249,769  $169,870  $444,674  $277,997 
Foreign currency translation adjustment, net of tax
  18,760   (86,198)  90,944   (171,465)
Other, net of tax
  875   609   352   1,949 
Comprehensive earnings
 $269,404  $84,281  $535,970  $108,481 
XML 42 R36.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Segment Information (Tables)
6 Months Ended
Jun. 30, 2011
Segment Information [Abstract]  
Segment Information
For management reporting and performance evaluation purposes, the Company categorizes its operating companies into four distinct reportable segments. Segment financial information and a reconciliation of segment results to consolidated results follows:

   
Three Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
REVENUE
            
Industrial Products
 $566,775  $462,386  $1,085,537  $891,184 
Engineered Systems
  645,655   577,121   1,206,300   1,061,394 
Fluid Management
  534,538   403,674   1,043,478   784,474 
Electronic Technologies
  412,630   345,607   785,960   636,596 
Intra-segment eliminations
  (2,727)  (2,092)  (5,383)  (3,682)
Total consolidated revenue
 $2,156,871  $1,786,696  $4,115,892  $3,369,966 
EARNINGS FROM CONTINUING OPERATIONS
                
Segment earnings:
                
Industrial Products
 $73,316  $61,635  $137,729  $112,674 
Engineered Systems
  94,116   84,655   161,429   139,498 
Fluid Management
  131,382   96,168   245,067   182,935 
Electronic Technologies
  76,917   59,582   136,692   104,487 
Total segments
  375,731   302,040   680,917   539,594 
Corporate expense / other
  35,378   32,443   71,478   65,768 
Net interest expense
  28,134   26,942   56,420   54,111 
                  
Earnings before provision for income taxes and
discontinued operations
  312,219   242,655   553,019   419,715 
Provision for taxes
  63,125   70,762   120,619   126,337 
Earnings from continuing operations - total consolidated
 $249,094  $171,893  $432,400  $293,378 
XML 43 R37.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Equity Incentive Program (Tables)
6 Months Ended
Jun. 30, 2011
Equity Incentive Program [Abstract]  
Assumptions used in determining fair value of stock appreciation rights and performance shares awarded during the period
The following assumptions were used in determining the fair value of the SARs and performance shares awarded during the respective periods:

   
SARs
  
Performance Shares
 
   
Six Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Risk-free interest rate
  2.68%  2.77%  1.34%  1.37%
Dividend yield
  1.70%  2.33%  1.61%  2.38%
Expected life (years)
  5.8   6.0   2.9   2.9 
Volatility
  33.56%  31.93%  40.48%  39.98%
Grant price
 $66.59  $42.88   n/a   n/a 
Fair value at date of grant
 $20.13  $11.66  $91.41  $57.49 

XML 44 R38.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Acquisitions (Details) (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Jun. 30, 2011
Jun. 30, 2010
Acquired Finite-Lived Intangible Assets [Line Items]        
Portion of current period acquired goodwill expected to be deductible for tax purposes $ 3,856   $ 3,856  
Business acquisition pro forma information description     In accordance with ASU 2010-29, “Disclosure of Supplementary Pro Forma Information for Business Combinations,” the following unaudited pro forma information illustrates the effect on the Company's revenue and net earnings for the three and six months ended June 30, 2011 and 2010, assuming that the 2011 acquisitions had taken place at the beginning of 2010. As a result, the supplemental pro forma net earnings reflect adjustments to the net earnings as reported in the Unaudited Condensed Consolidated Statement of Operations for the three and six months ended June 30, 2011 to exclude 335 and 2,027, respectively, of nonrecurring expense after-tax related to the fair value adjustments to acquisition-date inventory. The supplemental pro forma earnings for the comparable 2010 period were adjusted to include these charges. The 2011 and 2010 supplemental pro forma earnings are also adjusted to reflect the comparable impact of additional depreciation and amortization expense net of tax resulting from the fair value measurement of tangible and intangible assets relating to 2011 and 2010 acquisitions.  
Amount of nonrecurring expense, excluded from current period net earnings in pro forma financials, related to the fair value adjustments to acquisition-date inventory 335   2,027  
Revenue from continuing operations:        
As reported 2,156,871 1,786,696 4,115,892 3,369,966
Pro forma 2,156,871 1,841,346 4,117,317 3,479,945
Net earnings from continuing operations:        
As reported 249,094 171,893 432,400 293,378
Pro forma 249,429 176,762 434,570 301,748
Basic earnings per share from continuing operations:        
As reported (in dollars per share) $ 1.34 $ 0.92 $ 2.32 $ 1.57
Pro forma (in dollars per share) $ 1.34 $ 0.95 $ 2.33 $ 1.61
Diluted earnings per share from continuing operations:        
As reported (in dollars per share) $ 1.31 $ 0.91 $ 2.28 $ 1.55
Pro forma (in dollars per share) $ 1.31 $ 0.94 $ 2.29 $ 1.60
Harbison-Fischer, Inc. [Member]
       
Business Acquisition [Line Items]        
Percentage of company acquired (in hundredths) 100.00%   100.00%  
Dosmatic, Inc. [Member]
       
Business Acquisition [Line Items]        
Percentage of company acquired (in hundredths) 100.00%   100.00%  
TAGC Limited LLC [Member]
       
Business Acquisition [Line Items]        
Percentage of company acquired (in hundredths) 60.00%   60.00%  
EnviroGear Product Line [Member]
       
Business Acquisition [Line Items]        
Percentage of company acquired (in hundredths) 100.00%   100.00%  
Series of Individually Immaterial Business Acquisitions [Member]
       
Business Acquisition [Line Items]        
Number of business acquisitions (in businesses)     4  
Aggregate revenue of current period acquisitions included in the Company's consolidated revenue 46,111   89,644  
Current assets, net of cash acquired 81,213   81,213  
Property, plant and equipment 41,435   41,435  
Goodwill 236,135   236,135  
Intangible assets 190,132   190,132  
Other (1,118)   (1,118)  
Total liabilities (123,173)   (123,173)  
Net assets acquired 424,624   424,624  
Customer Intangibles [Member]
       
Acquired Finite-Lived Intangible Assets [Line Items]        
Acquisition cost allocated to intangible assets 177,853   177,853  
Weighted average lives of finite-lived intangible assets acquired     12  
Trademarks [Member]
       
Acquired Finite-Lived Intangible Assets [Line Items]        
Acquisition cost allocated to intangible assets 8,535   8,535  
Weighted average lives of finite-lived intangible assets acquired     11  
Other Intangibles [Member]
       
Acquired Finite-Lived Intangible Assets [Line Items]        
Acquisition cost allocated to intangible assets $ 3,744   $ 3,744  
Weighted average lives of finite-lived intangible assets acquired     7  
XML 45 R39.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Inventories, net (Details) (USD $)
In Thousands
Jun. 30, 2011
Dec. 31, 2010
Inventories, net [Abstract]    
Raw materials $ 402,166 $ 349,628
Work in progress 212,387 161,597
Finished goods 323,931 253,910
Subtotal 938,484 765,135
Less LIFO reserve 55,972 51,025
Total $ 882,512 $ 714,110
XML 46 R4.htm IDEA: XBRL DOCUMENT  v2.3.0.11
CONDENSED CONSOLIDATED BALANCE SHEET (unaudited) (Parenthetical) (USD $)
In Thousands
Jun. 30, 2011
Dec. 31, 2010
Current assets:    
Net of allowances $ 32,775 $ 34,151
XML 47 R40.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Property, Plant and Equipment, Net (Details) (USD $)
In Thousands
Jun. 30, 2011
Dec. 31, 2010
Property, Plant and Equipment [Line Items]    
Cost $ 2,708,965 $ 2,540,210
Accumulated depreciation (1,772,168) (1,693,021)
Total 936,797 847,189
Land [Member]
   
Property, Plant and Equipment [Line Items]    
Cost 57,075 50,760
Building and Building Improvements [Member]
   
Property, Plant and Equipment [Line Items]    
Cost 601,808 567,941
Equipment [Member]
   
Property, Plant and Equipment [Line Items]    
Cost $ 2,050,082 $ 1,921,509
XML 48 R41.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Financial Instruments (Details)
In Thousands
6 Months Ended
Jun. 30, 2011
USD ($)
Jun. 30, 2010
USD ($)
Dec. 31, 2010
USD ($)
Jun. 30, 2011
Foreign exchange forward / collar contracts [Member]
Designated as Hedging Instrument [Member]
Cash Flow Hedging [Member]
USD ($)
Dec. 31, 2010
Foreign exchange forward / collar contracts [Member]
Designated as Hedging Instrument [Member]
Cash Flow Hedging [Member]
USD ($)
Dec. 31, 2010
Foreign exchange forward / collar contracts [Member]
Designated as Hedging Instrument [Member]
Net Investment Hedging [Member]
Prepaid And Other Assets [Member]
USD ($)
Jun. 30, 2011
Cross Currency Interest Rate Contract [Member]
Designated as Hedging Instrument [Member]
Cash Flow Hedging [Member]
Other Liabilities [Member]
USD ($)
Jun. 30, 2011
Cross Currency Interest Rate Contract [Member]
Designated as Hedging Instrument [Member]
Cash Flow Hedging [Member]
Other Liabilities [Member]
CHF
Jun. 30, 2011
Cross Currency Interest Rate Contract [Member]
Designated as Hedging Instrument [Member]
Net Investment Hedging [Member]
Other Liabilities [Member]
USD ($)
Dec. 31, 2010
Cross Currency Interest Rate Contract [Member]
Designated as Hedging Instrument [Member]
Net Investment Hedging [Member]
Other Liabilities [Member]
USD ($)
Jun. 30, 2011
Foreign Exchange Forward [Member]
Designated as Hedging Instrument [Member]
Cash Flow Hedging [Member]
Prepaid And Other Assets [Member]
USD ($)
Jun. 30, 2011
Foreign Exchange Forward [Member]
Designated as Hedging Instrument [Member]
Cash Flow Hedging [Member]
Other Liabilities [Member]
USD ($)
Jun. 30, 2011
Foreign Exchange Forward [Member]
Designated as Hedging Instrument [Member]
Cash Flow Hedging [Member]
Other Liabilities [Member]
EUR (€)
Jun. 30, 2011
Fair Value, Measurements, Recurring [Member]
Fair Value, Inputs, Level 1 [Member]
USD ($)
Dec. 31, 2010
Fair Value, Measurements, Recurring [Member]
Fair Value, Inputs, Level 1 [Member]
USD ($)
Jun. 30, 2011
Fair Value, Measurements, Recurring [Member]
Fair Value, Inputs, Level 2 [Member]
USD ($)
Dec. 31, 2010
Fair Value, Measurements, Recurring [Member]
Fair Value, Inputs, Level 2 [Member]
USD ($)
Jun. 30, 2011
Fair Value, Measurements, Recurring [Member]
Fair Value, Inputs, Level 3 [Member]
USD ($)
Dec. 31, 2010
Fair Value, Measurements, Recurring [Member]
Fair Value, Inputs, Level 3 [Member]
USD ($)
Jun. 30, 2011
Estimate of Fair Value, Fair Value Disclosure [Member]
USD ($)
Dec. 31, 2010
Estimate of Fair Value, Fair Value Disclosure [Member]
USD ($)
Jun. 30, 2011
Carrying (Reported) Amount, Fair Value Disclosure [Member]
USD ($)
Dec. 31, 2010
Carrying (Reported) Amount, Fair Value Disclosure [Member]
USD ($)
Derivatives, Fair Value [Line Items]                                              
Fair Value - Asset (Liability)           $ 503     $ (29,895) $ (19,774) $ 215                        
Notional amounts of financial instruments       37,447 63,935   50,000 65,100       350,000 258,719                    
Assets:                                              
Short-term investments                           0 121,734 0 0 0 0        
Foreign currency cash flow hedges                           0 0 215 503 0 0        
Liabilities:                                              
Net investment hedge derivative                           0 0 29,895 19,774 0 0        
Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items]                                              
Long-term debt                                       2,431,461 1,961,697 2,187,986 1,792,811
Current portion of long-term debt 1,748   1,925                                        
Settlement of net investment hedge 18,211 0                                          
Changes due to translation adjustment for investment $ (29,895)   $ (19,774)                                        
XML 49 R42.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Goodwill and Other Intangible Assets (Details) (USD $)
In Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Jun. 30, 2011
Jun. 30, 2010
Dec. 31, 2010
Goodwill [Line Items]          
Goodwill $ 3,527,755   $ 3,527,755    
Accumulated impairment loss (159,722)   (159,722)    
Balance     3,368,033    
Acquisitions     236,135    
Foreign currency translation     12,637    
Balance 3,616,805   3,616,805    
Amortization expense 30,751 25,891 61,765 51,655  
Amortized Intangible Assets:          
Gross Carrying Amount 1,463,850   1,463,850   1,264,506
Accumulated Amortization 653,846   653,846   587,905
Unamortized Intangible Assets:          
Gross Carrying Amount, Indefinite Lived 228,654   228,654   230,922
Total Intangible Assets 1,692,504   1,692,504   1,495,428
Industrial Products Segment [Member]
         
Goodwill [Line Items]          
Goodwill 1,031,658   1,031,658    
Accumulated impairment loss (99,752)   (99,752)    
Balance     931,906    
Foreign currency translation     1,257    
Balance 933,163   933,163    
Engineered Systems Segment [Member]
         
Goodwill [Line Items]          
Goodwill 819,054   819,054    
Accumulated impairment loss 0   0    
Balance     819,054    
Foreign currency translation     2,747    
Balance 821,801   821,801    
Fluid Management Segment [Member]
         
Goodwill [Line Items]          
Goodwill 699,232   699,232    
Accumulated impairment loss (59,970)   (59,970)    
Balance     639,262    
Acquisitions     236,135    
Foreign currency translation     2,587    
Balance 877,984   877,984    
Electronic Technologies Segment [Member]
         
Goodwill [Line Items]          
Goodwill 977,811   977,811    
Accumulated impairment loss 0   0    
Balance     977,811    
Foreign currency translation     6,046    
Balance 983,857   983,857    
Trademarks [Member]
         
Amortized Intangible Assets:          
Gross Carrying Amount 86,012   86,012   74,053
Accumulated Amortization 24,241   24,241   21,330
Patents [Member]
         
Amortized Intangible Assets:          
Gross Carrying Amount 136,114   136,114   131,975
Accumulated Amortization 99,900   99,900   94,632
Customer Intangibles [Member]
         
Amortized Intangible Assets:          
Gross Carrying Amount 982,150   982,150   802,663
Accumulated Amortization 379,403   379,403   334,585
Unpatented Technologies [Member]
         
Amortized Intangible Assets:          
Gross Carrying Amount 140,600   140,600   138,780
Accumulated Amortization 93,781   93,781   86,461
Drawings and Manuals [Member]
         
Amortized Intangible Assets:          
Gross Carrying Amount 16,398   16,398   15,650
Accumulated Amortization 8,500   8,500   7,728
Distributor Relationships [Member]
         
Amortized Intangible Assets:          
Gross Carrying Amount 73,227   73,227   73,183
Accumulated Amortization 26,667   26,667   24,724
Other Intangible Assets [Member]
         
Amortized Intangible Assets:          
Gross Carrying Amount 29,349   29,349   28,202
Accumulated Amortization $ 21,354   $ 21,354   $ 18,445
XML 50 R43.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Borrowings (Details) (USD $)
3 Months Ended 6 Months Ended 6 Months Ended 12 Months Ended 6 Months Ended 12 Months Ended 6 Months Ended 12 Months Ended 6 Months Ended 12 Months Ended 6 Months Ended 12 Months Ended 6 Months Ended 12 Months Ended 6 Months Ended 12 Months Ended 6 Months Ended 12 Months Ended 3 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Jun. 30, 2011
Jun. 30, 2010
Dec. 31, 2010
Jun. 30, 2011
Note due 2011 [Member]
Dec. 31, 2010
Note due 2011 [Member]
Jun. 30, 2011
Note due 2015 [Member]
Dec. 31, 2010
Note due 2015 [Member]
Jun. 30, 2011
Note due 2018 [Member]
Dec. 31, 2010
Note due 2018 [Member]
Jun. 30, 2011
Note due 2021 [Member]
Dec. 31, 2010
Note due 2021 [Member]
Jun. 30, 2011
Note due 2038 [Member]
Dec. 31, 2010
Note due 2038 [Member]
Jun. 30, 2011
Note due 2041 [Member]
Dec. 31, 2010
Note due 2041 [Member]
Jun. 30, 2011
Debentures due 2028 [Member]
Dec. 31, 2010
Debentures due 2028 [Member]
Jun. 30, 2011
Debentures due 2035 [Member]
Dec. 31, 2010
Debentures due 2035 [Member]
Jun. 30, 2011
Other long term debt instruments [Member]
Dec. 31, 2010
Other long term debt instruments [Member]
Mar. 31, 2011
Total of debt instruments issued 2011 [Member]
Jun. 30, 2011
Commercial Paper [Member]
Dec. 31, 2010
Commercial Paper [Member]
Debt Instrument [Line Items]                                                    
Debt instrument, stated interest rate (in hundredths)           6.50% 6.50% 4.875% 4.875% 5.45% 5.45% 4.30% 4.30% 6.60% 6.60% 5.375% 5.375% 6.65% 6.65% 5.375% 5.375%          
Term of debt instrument (in number of years)           10 10 10 10 10 10 10 10 30 30 30 30 30 30 30 30          
Debt instrument, maturity date Feb. 15, 2011 Feb. 15, 2011 Oct. 15, 2015 Oct. 15, 2015 Mar. 15, 2018 Mar. 15, 2018 Mar. 01, 2021 Mar. 01, 2021 Mar. 15, 2038 Mar. 15, 2038 Mar. 01, 2041 Mar. 01, 2041 Jun. 01, 2028 Jun. 01, 2028 Oct. 15, 2035 Oct. 15, 2035
Carrying amount $ 2,187,986,000   $ 2,187,986,000   $ 1,792,811,000 $ 0 $ 399,986,000 $ 299,145,000 $ 299,047,000 $ 347,773,000 $ 347,608,000 $ 449,748,000 $ 0 $ 247,639,000 $ 247,595,000 $ 345,272,000 $ 0 $ 199,396,000 $ 199,379,000 $ 296,128,000 $ 296,048,000 $ 2,885,000 $ 3,148,000   $ 46,000,000 $ 15,000,000
Current installments 1,748,000   1,748,000   1,925,000                                          
Total long-term debt 2,186,238,000   2,186,238,000   1,790,886,000                                          
Issuing date of debt instrument                       February 22, 2011       February 22, 2011                    
Face amount of debt instrument           400,000,000           450,000,000       350,000,000                    
Proceeds from the issuance of debt instruments                                               788,971,000    
Unsecured revolving credit facility, maximum borrowing capacity 1,000,000,000   1,000,000,000                                              
Revolving credit facility expiration date November 9, 2012                                                  
Interest expense, borrowings 31,120,000 28,996,000 62,180,000 57,842,000                                            
Interest income $ 2,986,000 $ 2,054,000 $ 5,760,000 $ 3,731,000                                            
XML 51 R44.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Income Taxes (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2011
Mar. 31, 2011
Jun. 30, 2010
Jun. 30, 2011
Jun. 30, 2010
Income Taxes [Abstract]          
Effective tax rate (in hundredths) 20.20%   29.20% 21.80% 30.10%
Favorably impacted by net discrete items $ 22,338     $ 30,354  
Amount of net discrete items favorably impacting the effective tax rate arising principally from settlements with state taxing authorities   $ 8,016      
Effective tax rate excluding discrete items (in hundredths) 27.40%     27.30%  
XML 52 R45.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Discontinued Operations (Details) (USD $)
In Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Jun. 30, 2011
Jun. 30, 2010
Dec. 31, 2010
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]          
Gain (loss) from discontinued operations, net of tax $ 675 $ (2,023) $ 12,274 $ (15,381)  
Assets of Discontinued Operations          
Total assets of discontinued operations 22,590   22,590   67,133
Liabilities of Discontinued Operations          
Total liabilities of discontinued operations 77,985   77,985   105,642
Discontinued Operations [Member]
         
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]          
Revenue 0 0 0 9,380  
Loss on sale, net of taxes 0 (926) 0 (14,203)  
(Loss) gain from operations before taxes (490) (323) 66 102  
Benefit (provision) for income taxes 1,165 (774) 12,208 (1,280)  
Gain (loss) from discontinued operations, net of tax 675 (2,023) 12,274 (15,381)  
Assets of Discontinued Operations          
Current assets 9,500   9,500   52,678
Non-current assets 13,090   13,090   14,455
Total assets of discontinued operations 22,590   22,590   67,133
Liabilities of Discontinued Operations          
Current liabilities 10,184   10,184   34,111
Non-current liabilities 67,801   67,801   71,531
Total liabilities of discontinued operations $ 77,985   $ 77,985   $ 105,642
XML 53 R46.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Commitments and Contingent Liabilities (Details) (USD $)
In Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Jun. 30, 2011
Jun. 30, 2010
Mar. 31, 2011
Dec. 31, 2010
Dec. 31, 2009
Commitments and Contingent Liabilities [Abstract]              
Beginning Balance $ 59,095 $ 59,182 $ 59,095 $ 59,182   $ 58,229 $ 59,713
Provision for warranties     20,680 19,728      
Settlements made     (20,539) (18,364)      
Other adjustments, including currency translation     725 (1,895)      
Ending Balance 59,095 59,182 59,095 59,182   58,229 59,713
Outstanding in letters of credit with financial institutions 77,561   77,561        
Letters of Credit Expiration Dates         2011 through 2016    
Restructuring Cost and Reserve [Line Items]              
Severance and other restructuring reserve     7,894        
Provision 2,095 197 3,575 2,248      
Payments     (4,881)        
Other     (375)        
Severance and other restructuring reserve 6,213   6,213        
Employee Severance [Member]
             
Restructuring Cost and Reserve [Line Items]              
Severance and other restructuring reserve     1,143        
Provision     2,722        
Payments     (2,444)        
Other     19        
Severance and other restructuring reserve 1,440   1,440        
Facility Closing [Member]
             
Restructuring Cost and Reserve [Line Items]              
Severance and other restructuring reserve     6,751        
Provision     853        
Payments     (2,437)        
Other     (394)        
Severance and other restructuring reserve 4,773   4,773        
Industrial Products Segment [Member]
             
Restructuring Cost and Reserve [Line Items]              
Provision 467 463 941 796      
Engineered Systems Segment [Member]
             
Restructuring Cost and Reserve [Line Items]              
Provision (2) 310 4 426      
Fluid Management Segment [Member]
             
Restructuring Cost and Reserve [Line Items]              
Provision 1,514 (489) 2,382 768      
Electronic Technologies Segment [Member]
             
Restructuring Cost and Reserve [Line Items]              
Provision 116 (87) 248 258      
Cost of Goods and Services [Member]
             
Restructuring Cost and Reserve [Line Items]              
Restructuring charges 1,214   1,301 713      
Selling and Administrative Expenses [Member]
             
Restructuring Cost and Reserve [Line Items]              
Restructuring charges $ 881 $ 197 $ 2,274 $ 1,535      
XML 54 R47.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Employee Benefit Plans (Details) (USD $)
In Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Jun. 30, 2011
Jun. 30, 2010
Pension Plans, Defined Benefit [Member]
       
Defined Benefit Plan Disclosure [Line Items]        
Service Cost $ 5,316 $ 4,850 $ 10,609 $ 9,700
Interest Cost 10,951 9,632 21,851 19,264
Expected return on plan assets (11,681) (9,621) (23,313) (19,242)
Amortization:        
Prior service cost 2,175 2,158 4,347 4,316
Recognized actuarial loss 2,148 1,367 4,296 2,734
Transition obligation (11) (11) (22) (22)
Other 32 20 64 40
Net periodic expense 8,930 8,395 17,832 16,790
Post-Retirement Benefits [Member]
       
Defined Benefit Plan Disclosure [Line Items]        
Service Cost 51 70 103 139
Interest Cost 181 212 362 420
Amortization:        
Prior service cost (103) (98) (205) (200)
Recognized actuarial loss (60) (103) (120) (203)
Net periodic expense $ 69 $ 81 $ 140 $ 156
XML 55 R48.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Comprehensive Earnings (Details) (USD $)
In Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Jun. 30, 2011
Jun. 30, 2010
Comprehensive Earnings [Abstract]        
Net earnings $ 249,769 $ 169,870 $ 444,674 $ 277,997
Foreign currency translation adjustment, net of tax 18,760 (86,198) 90,944 (171,465)
Other, net of tax 875 609 352 1,949
Comprehensive earnings $ 269,404 $ 84,281 $ 535,970 $ 108,481
XML 56 R49.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Segment Information (Details) (USD $)
In Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Jun. 30, 2011
Jun. 30, 2010
Segment Reporting Information [Line Items]        
Revenue $ 2,156,871 $ 1,786,696 $ 4,115,892 $ 3,369,966
Earnings from continuing operations, segments 375,731 302,040 680,917 539,594
Net interest expense 28,134 26,942 56,420 54,111
Earnings from continuing operations before provision for income taxes and discontinued operations 312,219 242,655 553,019 419,715
Provision for taxes 63,125 70,762 120,619 126,337
Earnings from continuing operations - total consolidated 249,094 171,893 432,400 293,378
Electronic Technologies Segment [Member]
       
Segment Reporting Information [Line Items]        
Revenue 412,630 345,607 785,960 636,596
Earnings from continuing operations, segments 76,917 59,582 136,692 104,487
Engineered Systems Segment [Member]
       
Segment Reporting Information [Line Items]        
Revenue 645,655 577,121 1,206,300 1,061,394
Earnings from continuing operations, segments 94,116 84,655 161,429 139,498
Fluid Management Segment [Member]
       
Segment Reporting Information [Line Items]        
Revenue 534,538 403,674 1,043,478 784,474
Earnings from continuing operations, segments 131,382 96,168 245,067 182,935
Intersegment Elimination [Member]
       
Segment Reporting Information [Line Items]        
Revenue (2,727) (2,092) (5,383) (3,682)
Corporate Expense / Other [Member]
       
Segment Reporting Information [Line Items]        
Earnings from continuing operations, segments 35,378 32,443 71,478 65,768
Industrial Products Segment [Member]
       
Segment Reporting Information [Line Items]        
Revenue 566,775 462,386 1,085,537 891,184
Earnings from continuing operations, segments $ 73,316 $ 61,635 $ 137,729 $ 112,674
XML 57 R5.htm IDEA: XBRL DOCUMENT  v2.3.0.11
CONDENSED CONSOLIDATED STATEMENT OF STOCKHOLDERS' EQUITY (unaudited) (USD $)
In Thousands
Common Stock $1 Par Value [Member]
Additional Paid-in Capital [Member]
Accumulated Other Comprehensive Earnings [Member]
Retained Earnings [Member]
Treasury Stock [Member]
Total
Balance at Dec. 31, 2010 $ 249,361 $ 596,457 $ 50,161 $ 5,953,027 $ (2,322,444) $ 4,526,562
Net earnings 0 0 0 444,674 0 444,674
Dividends paid 0 0 0 (102,606) 0 (102,606)
Common stock issued for options exercised 1,095 25,654 0 0 0 26,749
Tax benefit from the exercise of stock options 0 7,370 0 0 0 7,370
Stock-based compensation expense 0 14,448 0 0 0 14,448
Common stock acquired 0 0 0 0 (98,382) (98,382)
Translation of foreign financial statements 0 0 90,944 0 0 90,944
Other, net of tax 0 2,846 352 0 0 3,198
Balance at Jun. 30, 2011 $ 250,456 $ 646,775 $ 141,457 $ 6,295,095 $ (2,420,826) $ 4,912,957
XML 58 R50.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Equity Incentive Program (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Jun. 30, 2011
Jun. 30, 2010
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]        
After-tax stock-based compensation expense $ 3,988 $ 3,862 $ 9,361 $ 8,426
Stock Appreciation Rights [Member]
       
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]        
Shares issued during period (in shares)     1,524,329 2,306,440
Risk-free interest rate (in hundredths)     2.68% 2.77%
Dividend yield (in hundredths)     1.70% 2.33%
Expected life (years)     5.8 6.0
Volatility (in hundredths)     33.56% 31.93%
Grant price (in dollars per share) $ 66.59 $ 42.88 $ 66.59 $ 42.88
Fair value at date of grant, options (in dollars per share)     $ 20.13 $ 11.66
Performance Shares [Member]
       
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]        
Shares issued during period (in shares)     44,751 68,446
Risk-free interest rate (in hundredths)     1.34% 1.37%
Dividend yield (in hundredths)     1.61% 2.38%
Expected life (years)     2.9 2.9
Volatility (in hundredths)     40.48% 39.98%
Fair value at date of grant, other than options (in dollars per share)     $ 91.41 $ 57.49
XML 59 R51.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Share Repurchases (Details) (USD $)
3 Months Ended 6 Months Ended
Jun. 30, 2011
Mar. 31, 2011
Jun. 30, 2011
Dec. 31, 2010
May 31, 2007
Share Repurchases [Abstract]          
Maximum number of shares Board of Directors authorized for repurchase (in shares)         10,000,000
Authorized repurchase expiration   May 2012      
Treasury stock acquired from open market $ 1,000,000   $ 1,450,000    
Shares repurchased from holders of employee stock options and stock appreciation rights (in shares)     79,708    
Number of shares repurchased during period (in shares) 1,079,708   1,529,708    
Average price per share for repurchased shares (in dollars per share) $ 64.06   $ 64.31    
Number of treasury shares (in shares) 64,415,056   64,415,056 62,885,348  
XML 60 R52.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Subsequent Events (Details) (Acquisition [Member], USD $)
In Millions
6 Months Ended
Jun. 30, 2011
Acquisition [Member]
 
Subsequent Event [Line Items]  
Acquisition purchase price $ 855
Recognized transaction related expenses 3.5
Amount of additional transaction costs expected to be recognized in subsequent period $ 11
XML 61 R6.htm IDEA: XBRL DOCUMENT  v2.3.0.11
CONDENSED CONSOLIDATED STATEMENT OF STOCKHOLDERS' EQUITY (unaudited) (Parenthetical) (USD $)
Jun. 30, 2011
Condensed Consolidated Statement of Stockholders' Equity (Unaudited) [Abstract]  
Common Stock, par value per share (in dollars per share) $ 1.00
Preferred Stock, par value per share (in dollars per share) $ 100
Preferred Stock, shares authorized (in shares) 100,000
Preferred Stock, shares issued (in shares) 0
XML 62 R7.htm IDEA: XBRL DOCUMENT  v2.3.0.11
CONDENSED CONSOLIDATED STATEMENT OF CASH FLOWS (unaudited) (USD $)
In Thousands
6 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Operating Activities of Continuing Operations    
Net earnings $ 444,674 $ 277,997
Adjustments to reconcile net earnings to cash from operating activities:    
(Gain) loss from discontinued operations (12,274) 15,381
Depreciation and amortization 148,205 132,013
Stock-based compensation 14,401 12,963
Gain on sale of assets (942) (5,088)
Cash effect of changes in current assets and liabilities (excluding effects of acquisitions, dispositions and foreign exchange):    
Accounts receivable (188,538) (228,007)
Inventories (102,035) (114,408)
Prepaid expenses and other assets (7,952) 7,715
Accounts payable 109,380 151,731
Accrued expenses (67,580) 29,689
Accrued and deferred taxes, net 5,263 69,834
Other, net (705) (31,555)
Net cash provided by operating activities of continuing operations 341,897 318,265
Investing Activities of Continuing Operations    
Proceeds from sale of short-term investments 124,410 304,278
Purchase of short-term investments 0 (350,583)
Proceeds from the sale of property, plant and equipment 5,010 11,315
Additions to property, plant and equipment (126,420) (86,281)
Proceeds from the sale of businesses 4,816 4,500
Settlement of net investment hedge (18,211) 0
Acquisitions (net of cash acquired) (424,624) (9,985)
Net cash used in investing activities of continuing operations (435,019) (126,756)
Financing Activities of Continuing Operations    
Change in notes payable, net 31,145 30,000
Reduction of long-term debt (400,458) (16,537)
Proceeds from long-term debt, net of discount and issuance costs 788,971 0
Purchase of common stock (98,382) (64,454)
Proceeds from exercise of stock options and SARs, including tax benefits 34,119 42,787
Dividends to stockholders (102,606) (97,277)
Net cash provided by (used in) financing activities of continuing operations 252,789 (105,481)
Cash Flows from Discontinued Operations    
Net cash used in operating activities of discontinued operations (5,739) (1,434)
Net cash used in investing activities of discontinued operations 0 (140)
Net cash used in discontinued operations (5,739) (1,574)
Effect of exchange rate changes on cash and cash equivalents 56,130 (60,002)
Net increase in cash and cash equivalents 210,058 24,452
Cash and cash equivalents at beginning of period 1,187,361 714,365
Cash and cash equivalents at end of period $ 1,397,419 $ 738,817
XML 63 R8.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Basis of Presentation
6 Months Ended
Jun. 30, 2011
Basis of Presentation [Abstract]  
Basis of Presentation
1.  Basis of Presentation

The accompanying unaudited condensed consolidated financial statements, in accordance with Securities and Exchange Commission (“SEC”) rules for interim periods, do not include all of the information and notes required by accounting principles generally accepted in the United States of America for complete financial statements and should be read in conjunction with the Dover Corporation (“Dover” or the “Company”) Annual Report on Form 10-K for the year ended December 31, 2010, which provides a more complete understanding of the Company's accounting policies, financial position, operating results, business properties and other matters. The year-end condensed consolidated balance sheet was derived from audited financial statements. It is the opinion of management that these financial statements reflect all adjustments necessary for a fair statement of the interim results. The results of operations of any interim period are not necessarily indicative of the results of operations for the full year.
XML 64 R9.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Acquisitions
6 Months Ended
Jun. 30, 2011
Acquisitions [Abstract]  
Acquisitions
2. Acquisitions

The following table details the acquisitions made during the six months ended June 30, 2011.

2011 Acquisitions
         
Date
Type
Company / Product Line Acquired
Location (Near)
Segment
Platform
Company
3-Jan
Stock
Harbison-Fischer, Inc.
Crowley, TX
Fluid Management
Energy
Norris Production Solutions
Designer and manufacturer of down-hole rod pumps and related products used in artificial lift applications around the world.
 
             
5-Jan
Asset/Stock
Dosmatic, Inc.
Carrollton, TX
Fluid Management
Fluid Solutions
Hydro Systems
Manufacturer of non-electric chemical metering equipment used in agricultural, horticulture and other industrial market segments.
             
26-Jan
Stock
TAGC Limited LLC
Muscat, Oman
Fluid Management
Energy
Norris Production Solutions
Oilfield services provider, servicing both conventional and coiled sucker rod wells in the Middle East.
   
             
28-Jan
Asset
EnviroGear Product Line
Franklin Park, IL
Fluid Management
Fluid Solutions
Pump Solutions Group
Manufacturer of magnetically coupled internal gear pumps used in a wide range of industrial manufacturing.
   

The Company acquired these businesses in four separate transactions for an aggregate purchase price of $424,624, net of cash acquired.  The 2011 acquisitions are wholly-owned, with the exception of TAGC Limited LLC in which the Company acquired a 60% controlling interest. The non-controlling interest in TAGC Limited LLC is not material. The Unaudited Condensed Consolidated Statement of Operations includes the results of these businesses from the dates of acquisition. The aggregate revenue of the 2011 acquisitions included in the Company's consolidated revenue totaled $46,111and $89,644 for the three and six months ended June 30, 2011, respectively.

The Company has allocated purchase price at the dates of acquisition based upon its understanding, obtained during due diligence and through other sources, of the fair value of the acquired assets and assumed liabilities. If additional information is obtained about these assets and liabilities within the measurement period (not to exceed one year from the date of acquisition), including through asset appraisals and learning more about the newly acquired business, the Company may refine its estimates of fair value to more accurately allocate the purchase price; however, any such revisions are not expected to be significant.

The following presents the allocation of the acquisition cost to the assets acquired and liabilities assumed, based on their estimated fair values:

Current assets, net of cash acquired
 $81,213 
Property, plant and equipment
  41,435 
Goodwill
  236,135 
Intangible assets
  190,132 
Other
  (1,118)
Total liabilities
  (123,173)
Net assets acquired
 $424,624 
 
As a result of these acquisitions, the Company recorded approximately $177,853 of customer-related intangible assets (weighted average lives of 12 years), $8,535 of trademarks (weighted average lives of 11 years), and $3,744 of other intangibles (weighted average lives of 7 years). The 2011 acquisitions resulted in the recognition of goodwill totaling $236,135, of which $3,856 is expected to be deductible for tax purposes

Each of the businesses acquired in 2011 manufacture products and/or provide services in the energy and fluid solutions markets, each growth areas for the Company. These businesses were acquired to complement and expand upon existing operations within the Fluid Management segment. As such, the goodwill identified by the acquisitions reflects the benefits expected to be derived from product line expansion and operational synergies.

In accordance with ASU 2010-29, “Disclosure of Supplementary Pro Forma Information for Business Combinations,” the following unaudited pro forma information illustrates the effect on the Company's revenue and net earnings for the three and six months ended June 30, 2011 and 2010, assuming that the 2011 acquisitions had taken place at the beginning of 2010. As a result, the supplemental pro forma net earnings reflect adjustments to the net earnings as reported in the Unaudited Condensed Consolidated Statement of Operations for the three and six months ended June 30, 2011 to exclude $335 and $2,027, respectively, of nonrecurring expense (after-tax) related to the fair value adjustments to acquisition-date inventory. The supplemental pro forma earnings for the comparable 2010 period were adjusted to include these charges. The 2011 and 2010 supplemental pro forma earnings are also adjusted to reflect the comparable impact of additional depreciation and amortization expense (net of tax) resulting from the fair value measurement of tangible and intangible assets relating to 2011 and 2010 acquisitions.

   
Three Months Ended June 30,
  
Six Months Ended June 30,
 
   
2011
  
2010
  
2011
  
2010
 
Revenue from continuing operations:
            
As reported
 $2,156,871  $1,786,696  $4,115,892  $3,369,966 
Pro forma
  2,156,871   1,841,346   4,117,317   3,479,945 
Net earnings from continuing operations:
                
As reported
 $249,094  $171,893  $432,400  $293,378 
Pro forma
  249,429   176,762   434,570   301,748 
Basic earnings per share from continuing operations:
                
As reported
 $1.34  $0.92  $2.32  $1.57 
Pro forma
  1.34   0.95   2.33   1.61 
Diluted earnings per share from continuing operations:
                
As reported
 $1.31  $0.91  $2.28  $1.55 
Pro forma
  1.31   0.94   2.29   1.60 

These pro forma results of operations have been prepared for comparative purposes only, and they do not purport to be indicative of the results of operations that actually would have resulted had the acquisitions occurred on the dates indicated or that may result in the future.

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