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Consolidating Financial Statements Condensed Consolidating Statements of Cash Flows (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Mar. 31, 2012
Mar. 31, 2011
Statement of Cash Flows [Abstract]    
CASH (USED FOR) PROVIDED BY OPERATING ACTIVITIES $ 111,354 $ 115,705
INVESTING ACTIVITIES    
Capital Expenditures (42,079) (34,761)
Purchase of timberlands (8,689) (2,942)
Jesup mill cellulose specialties expansion (26,026) 0
Change in restricted cash (5,609) 0
Investment in Subsidiaries 0 0
Other 8,736 6,882
CASH (USED FOR) PROVIDED BY INVESTING ACTIVITIES (73,667) (30,821)
FINANCING ACTIVITIES    
Issuance of debt 340,000 0
Repayment of debt (165,000) (75,000)
Dividends paid (49,249) (43,894)
Proceeds from the issuance of common shares 2,061 5,399
Excess tax benefits on stock-based compensation 3,946 3,970
Debt issuance costs (3,565) 0
Repurchase of common shares (7,783) (7,826)
Intercompany distributions 0 0
CASH PROVIDED BY (USED FOR) FINANCING ACTIVITIES 120,410 (117,351)
EFFECT OF EXCHANGE RATE CHANGES ON CASH (125) 116
CASH AND CASH EQUIVALENTS    
Change in cash and cash equivalents 157,972 (32,351)
Balance, beginning of year 78,603 349,463
Balance, end of period 236,575 317,112
Parent Company [Member]
   
Statement of Cash Flows [Abstract]    
CASH (USED FOR) PROVIDED BY OPERATING ACTIVITIES (14,838) 46,321
INVESTING ACTIVITIES    
Capital Expenditures 0 0
Purchase of timberlands 0 0
Jesup mill cellulose specialties expansion 0  
Change in restricted cash 0  
Investment in Subsidiaries 0 0
Other 0 0
CASH (USED FOR) PROVIDED BY INVESTING ACTIVITIES 0 0
FINANCING ACTIVITIES    
Issuance of debt 325,000  
Repayment of debt (120,000) 0
Dividends paid (49,249) (43,894)
Proceeds from the issuance of common shares 2,061 5,399
Excess tax benefits on stock-based compensation 0 0
Debt issuance costs (3,565)  
Repurchase of common shares (7,783) (7,826)
Intercompany distributions 0 0
CASH PROVIDED BY (USED FOR) FINANCING ACTIVITIES 146,464 (46,321)
EFFECT OF EXCHANGE RATE CHANGES ON CASH 0 0
CASH AND CASH EQUIVALENTS    
Change in cash and cash equivalents 131,626 0
Balance, beginning of year 0 0
Balance, end of period 131,626 0
Senior Exchangeable Notes due 2012 & 2015 [Member] | Guarantor Subsidiaries [Member]
   
Statement of Cash Flows [Abstract]    
CASH (USED FOR) PROVIDED BY OPERATING ACTIVITIES 33,980 26,146
INVESTING ACTIVITIES    
Capital Expenditures (55) (62)
Purchase of timberlands 0 0
Jesup mill cellulose specialties expansion 0  
Change in restricted cash 0  
Investment in Subsidiaries 0 0
Other (69) 0
CASH (USED FOR) PROVIDED BY INVESTING ACTIVITIES (124) (62)
FINANCING ACTIVITIES    
Issuance of debt 0  
Repayment of debt (30,000) 0
Dividends paid 0 0
Proceeds from the issuance of common shares 0 0
Excess tax benefits on stock-based compensation 0 0
Debt issuance costs 0  
Repurchase of common shares 0 0
Intercompany distributions 14,838 (46,321)
CASH PROVIDED BY (USED FOR) FINANCING ACTIVITIES (15,162) (46,321)
EFFECT OF EXCHANGE RATE CHANGES ON CASH 0 0
CASH AND CASH EQUIVALENTS    
Change in cash and cash equivalents 18,694 (20,237)
Balance, beginning of year 8,977 29,759
Balance, end of period 27,671 9,522
Senior Exchangeable Notes due 2012 & 2015 [Member] | Issuer Subsidiary [Member]
   
Statement of Cash Flows [Abstract]    
CASH (USED FOR) PROVIDED BY OPERATING ACTIVITIES 12,000 15,000
INVESTING ACTIVITIES    
Capital Expenditures 0 0
Purchase of timberlands 0 0
Jesup mill cellulose specialties expansion 0  
Change in restricted cash 0  
Investment in Subsidiaries 774 26,011
Other 0 0
CASH (USED FOR) PROVIDED BY INVESTING ACTIVITIES 774 26,011
FINANCING ACTIVITIES    
Issuance of debt 0  
Repayment of debt 0 (75,000)
Dividends paid 0 0
Proceeds from the issuance of common shares 0 0
Excess tax benefits on stock-based compensation 0 0
Debt issuance costs 0  
Repurchase of common shares 0 0
Intercompany distributions (12,000) (15,000)
CASH PROVIDED BY (USED FOR) FINANCING ACTIVITIES (12,000) (90,000)
EFFECT OF EXCHANGE RATE CHANGES ON CASH 0 0
CASH AND CASH EQUIVALENTS    
Change in cash and cash equivalents 774 (48,989)
Balance, beginning of year 59,976 283,258
Balance, end of period 60,750 234,269
Senior Exchangeable Notes due 2012 & 2015 [Member] | Non-guarantor Subsidiaries of Rayonier TRS Holdings Inc [Member]
   
Statement of Cash Flows [Abstract]    
CASH (USED FOR) PROVIDED BY OPERATING ACTIVITIES 61,546 69,566
INVESTING ACTIVITIES    
Capital Expenditures (33,158) (24,701)
Purchase of timberlands 0 0
Jesup mill cellulose specialties expansion (26,026)  
Change in restricted cash 0  
Investment in Subsidiaries 0 0
Other 8,955 6,107
CASH (USED FOR) PROVIDED BY INVESTING ACTIVITIES (50,229) (18,594)
FINANCING ACTIVITIES    
Issuance of debt 0  
Repayment of debt 0 0
Dividends paid 0 0
Proceeds from the issuance of common shares 0 0
Excess tax benefits on stock-based compensation 3,946 3,970
Debt issuance costs 0  
Repurchase of common shares 0 0
Intercompany distributions (14,016) (42,310)
CASH PROVIDED BY (USED FOR) FINANCING ACTIVITIES (10,070) (38,340)
EFFECT OF EXCHANGE RATE CHANGES ON CASH (125) 116
CASH AND CASH EQUIVALENTS    
Change in cash and cash equivalents 1,122 12,748
Balance, beginning of year 7,398 1,280
Balance, end of period 8,520 14,028
Senior Exchangeable Notes due 2012 & 2015 [Member] | Non-guarantor Subsidiaries All Other Subsidiaries [Member]
   
Statement of Cash Flows [Abstract]    
CASH (USED FOR) PROVIDED BY OPERATING ACTIVITIES 44,070 36,292
INVESTING ACTIVITIES    
Capital Expenditures (8,866) (9,998)
Purchase of timberlands (8,689) (2,942)
Jesup mill cellulose specialties expansion 0  
Change in restricted cash (5,609)  
Investment in Subsidiaries 0 0
Other (150) 775
CASH (USED FOR) PROVIDED BY INVESTING ACTIVITIES (23,314) (12,165)
FINANCING ACTIVITIES    
Issuance of debt 15,000  
Repayment of debt (15,000) 0
Dividends paid 0 0
Proceeds from the issuance of common shares 0 0
Excess tax benefits on stock-based compensation 0 0
Debt issuance costs 0  
Repurchase of common shares 0 0
Intercompany distributions (15,000) 0
CASH PROVIDED BY (USED FOR) FINANCING ACTIVITIES (15,000) 0
EFFECT OF EXCHANGE RATE CHANGES ON CASH 0 0
CASH AND CASH EQUIVALENTS    
Change in cash and cash equivalents 5,756 24,127
Balance, beginning of year 2,252 35,166
Balance, end of period 8,008 59,293
Senior Exchangeable Notes due 2012 & 2015 [Member] | Consolidation, Eliminations [Member]
   
Statement of Cash Flows [Abstract]    
CASH (USED FOR) PROVIDED BY OPERATING ACTIVITIES (25,404) (77,620)
INVESTING ACTIVITIES    
Capital Expenditures 0 0
Purchase of timberlands 0 0
Jesup mill cellulose specialties expansion 0  
Change in restricted cash 0  
Investment in Subsidiaries (774) (26,011)
Other 0 0
CASH (USED FOR) PROVIDED BY INVESTING ACTIVITIES (774) (26,011)
FINANCING ACTIVITIES    
Issuance of debt 0  
Repayment of debt 0 0
Dividends paid 0 0
Proceeds from the issuance of common shares 0 0
Excess tax benefits on stock-based compensation 0 0
Debt issuance costs 0  
Repurchase of common shares 0 0
Intercompany distributions 26,178 103,631
CASH PROVIDED BY (USED FOR) FINANCING ACTIVITIES 26,178 103,631
EFFECT OF EXCHANGE RATE CHANGES ON CASH 0 0
CASH AND CASH EQUIVALENTS    
Change in cash and cash equivalents 0 0
Balance, beginning of year 0 0
Balance, end of period 0 0
Senior Notes due 2022 at a fixed interest rate of 3.75% [Member] | Guarantor Subsidiaries [Member]
   
Statement of Cash Flows [Abstract]    
CASH (USED FOR) PROVIDED BY OPERATING ACTIVITIES 86,628 73,960
INVESTING ACTIVITIES    
Capital Expenditures (33,204) (24,759)
Purchase of timberlands (102) 0
Jesup mill cellulose specialties expansion (26,026)  
Change in restricted cash 0  
Other 8,887 6,107
CASH (USED FOR) PROVIDED BY INVESTING ACTIVITIES (50,445) (18,652)
FINANCING ACTIVITIES    
Issuance of debt 0  
Repayment of debt (30,000) (75,000)
Dividends paid 0 0
Proceeds from the issuance of common shares 0 0
Excess tax benefits on stock-based compensation 3,946 3,970
Debt issuance costs 0  
Repurchase of common shares 0 0
Intercompany distributions 14,838 (46,321)
CASH PROVIDED BY (USED FOR) FINANCING ACTIVITIES (11,216) (117,351)
EFFECT OF EXCHANGE RATE CHANGES ON CASH 0 0
CASH AND CASH EQUIVALENTS    
Change in cash and cash equivalents 24,967 (62,043)
Balance, beginning of year 58,132 303,746
Balance, end of period 83,099 241,703
Senior Notes due 2022 at a fixed interest rate of 3.75% [Member] | Non-Guarantor Subsidiaries [Member]
   
Statement of Cash Flows [Abstract]    
CASH (USED FOR) PROVIDED BY OPERATING ACTIVITIES 39,726 41,745
INVESTING ACTIVITIES    
Capital Expenditures (8,875) (10,002)
Purchase of timberlands (8,587) (2,942)
Jesup mill cellulose specialties expansion 0  
Change in restricted cash (5,609)  
Other (151) 775
CASH (USED FOR) PROVIDED BY INVESTING ACTIVITIES (23,222) (12,169)
FINANCING ACTIVITIES    
Issuance of debt 15,000  
Repayment of debt (15,000) 0
Dividends paid 0 0
Proceeds from the issuance of common shares 0 0
Excess tax benefits on stock-based compensation 0 0
Debt issuance costs 0  
Repurchase of common shares 0 0
Intercompany distributions (15,000) 0
CASH PROVIDED BY (USED FOR) FINANCING ACTIVITIES (15,000) 0
EFFECT OF EXCHANGE RATE CHANGES ON CASH (125) 116
CASH AND CASH EQUIVALENTS    
Change in cash and cash equivalents 1,379 29,692
Balance, beginning of year 20,471 45,717
Balance, end of period 21,850 75,409
Senior Notes due 2022 at a fixed interest rate of 3.75% [Member] | Consolidation, Eliminations [Member]
   
Statement of Cash Flows [Abstract]    
CASH (USED FOR) PROVIDED BY OPERATING ACTIVITIES (162) (46,321)
INVESTING ACTIVITIES    
Capital Expenditures 0 0
Purchase of timberlands 0 0
Jesup mill cellulose specialties expansion 0  
Change in restricted cash 0  
Other 0 0
CASH (USED FOR) PROVIDED BY INVESTING ACTIVITIES 0 0
FINANCING ACTIVITIES    
Issuance of debt 0  
Repayment of debt 0 0
Dividends paid 0 0
Proceeds from the issuance of common shares 0 0
Excess tax benefits on stock-based compensation 0 0
Debt issuance costs 0  
Repurchase of common shares 0 0
Intercompany distributions 162 46,321
CASH PROVIDED BY (USED FOR) FINANCING ACTIVITIES 162 46,321
EFFECT OF EXCHANGE RATE CHANGES ON CASH 0 0
CASH AND CASH EQUIVALENTS    
Change in cash and cash equivalents 0 0
Balance, beginning of year 0 0
Balance, end of period $ 0 $ 0