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Employee Benefit Plans - Change in Projected Benefit Obligation, Plan Assets and Net Funded Status (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2014
Farmer Brothers Plan
Jun. 30, 2013
Farmer Brothers Plan
Jun. 30, 2014
Brewmatic Plan
Jun. 30, 2013
Brewmatic Plan
Jun. 30, 2014
Hourly Employees' Plan
Jun. 30, 2013
Hourly Employees' Plan
Jun. 30, 2014
Postretirement Benefits Other Than Pension
Jun. 30, 2013
Postretirement Benefits Other Than Pension
Jun. 30, 2012
Postretirement Benefits Other Than Pension
Change in projected benefit                      
Benefit obligation at the beginning of the year     $ 126,205 $ 124,828 $ 3,946 $ 4,022 $ 2,056 $ 1,520 $ 16,701 $ 23,325  
Service cost     0 0 0 59 401 418 936 1,972 1,817
Interest cost     5,545 5,550 171 176 92 69 810 969 1,100
Plan participants contributions                 708 729  
Actuarial Gain/Loss     7,069 1,333 153 (24) 81 56 3,141 (8,520)  
Benefits paid     (5,683) (5,506) (279) (287) (11) (7) (1,407) (1,774)  
Effect of Curtailments (34)                    
Benefit obligation at the end of the year     133,136 126,205 3,991 3,946 2,619 2,056 20,889 16,701 23,325
Change in plan assets                      
Fair value of plan assets at the beginning of the year     88,097 82,110 3,063 2,718 1,248 1,013 0 0  
Actual return on plan assets     15,046 10,145 521 322 207 125      
Employer contributions     966 1,348 130 310 185 117 699 1,045  
Plan participants contributions                 708 729  
Benefits paid     (5,683) (5,506) (279) (287) (11) (7) (1,407) (1,774)  
Fair value of plan assets at the ending of the year     98,426 88,097 3,435 3,063 1,629 1,248 0 0 0
Funded status at end of year (underfunded)/overfunded     (34,710) (38,108) (556) (883) (990) (808) (20,889) (16,701)  
Amounts recognized in balance sheet                      
Noncurrent assets                 0 0  
Current liabilities (347) (347)             (919) (625)  
Noncurrent liabilities     (34,710) (38,108) (556) (883) (990) (808) (19,970) (16,076)  
Amounts Recognized in Balance Sheet     (34,710) (38,108) (556) (883) (990) (808) (20,889) (16,701)  
Amounts recognized in balance sheet                      
Total net (gain) loss     42,093 44,841 1,665 1,878 73 108      
Total accumulated OCI (not adjusted for applicable tax)     42,093 44,841 1,665 1,878 73 108      
Net (gain) loss subject to amortization                 (6,216) (10,131)  
Transition (asset) obligation                 (15,720) 0  
Prior service cost (credit)                 0 (17,604)  
Total accumulated OCI (not adjusted for applicable tax)                 $ (21,936) $ (27,735)  
Weighted average assumptions used to determine benefit obligations                      
Discount rate   4.30% 4.15% 4.50% 4.15% 4.50% 4.15% 4.50%