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RESTRUCUTRING CHARGES (Details) - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2017
Dec. 31, 2017
Effects on Future Earnings and Cash Flows Resulting from Exit Plan [Line Items]    
Total expected costs   $ 7,538
Non-cash charges   4,506
Strategic Restructuring Program And Strategic Global Realignment | Minimum    
Effects on Future Earnings and Cash Flows Resulting from Exit Plan [Line Items]    
Annual pre-tax savings, generated from restructuring $ 12,000  
Strategic Restructuring Program And Strategic Global Realignment | Maximum    
Effects on Future Earnings and Cash Flows Resulting from Exit Plan [Line Items]    
Annual pre-tax savings, generated from restructuring 12,500  
Facility related costs    
Effects on Future Earnings and Cash Flows Resulting from Exit Plan [Line Items]    
Total expected costs   862
Non-cash charges   195
Inventory Impairment    
Effects on Future Earnings and Cash Flows Resulting from Exit Plan [Line Items]    
Total expected costs   1,401
Non-cash charges   $ 1,401
Disposal Group, Disposed of by Sale, Not Discontinued Operations | MMS    
Effects on Future Earnings and Cash Flows Resulting from Exit Plan [Line Items]    
Consideration for sale of facility 9,800  
Disposal Group, Disposed of by Sale, Not Discontinued Operations | MMS | Facility related costs | Strategic Restructuring Program    
Effects on Future Earnings and Cash Flows Resulting from Exit Plan [Line Items]    
Deposit for sale of manufacturing facility $ 500