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SUPPLEMENTAL CONSOLIDATING FINANCIAL STATEMENTS (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Jul. 28, 2012
Apr. 28, 2012
Jan. 28, 2012
Oct. 29, 2011
Jul. 30, 2011
Apr. 30, 2011
Jan. 29, 2011
Oct. 30, 2010
Jul. 28, 2012
Jul. 30, 2011
Jul. 31, 2010
Jul. 25, 2009
Debt Instrument [Line Items]                        
Long-term debt $ 187,500       $ 187,574       $ 187,500 $ 187,574    
CURRENT ASSETS:                        
Cash and equivalents 52,581       44,766       52,581 44,766 103,320  
Trade acccounts receivable and costs in excess of billings 141,788       138,552       141,788 138,552    
Costs and estimated earnings in excess of billings 127,321       90,855       127,321 90,855    
Inventories 26,274       20,558       26,274 20,558    
Deferred tax assets, net 15,633       15,957       15,633 15,957    
Income taxes receivable 4,884       8,685       4,884 8,685    
Other current assets 8,466       10,938       8,466 10,938    
Total current assets 376,947       330,311       376,947 330,311    
Property and Equipment, Net 158,247       149,439       158,247 149,439    
GOODWILL 174,849       174,849       174,849 174,849 157,851  
INTANGIBLE ASSETS, NET 49,773       56,279       49,773 56,279    
OTHER 12,377       13,877       12,377 13,877    
TOTAL NON-CURRENT ASSETS 395,246       394,444       395,246 394,444    
TOTAL ASSETS 772,193       724,755       772,193 724,755    
CURRENT LIABILITIES:                        
Accounts payable 36,823       39,399       36,823 39,399    
Current portion of debt 74       232       74 232    
Billings in excess of costs and estimated earnings 1,522       749       1,522 749    
Accrued insurance claims 25,218       26,092       25,218 26,092    
Other accrued liabilities 50,926       52,041       50,926 52,041    
Total current liabilities 114,563       118,513       114,563 118,513    
LONG-TERM DEBT 187,500       187,574       187,500 187,574    
Accrued Insurance Claims Noncurrent 23,591       23,344       23,591 23,344    
DEFERRED TAX LIABILITIES, NET NON-CURRENT 49,537       39,923       49,537 39,923    
OTHER LIABILITIES 4,071       3,550       4,071 3,550    
Total liabilities 379,262       372,904       379,262 372,904    
Total stockholders' equity 392,931       351,851       392,931 351,851 394,555 390,623
TOTAL LIABILITIES AND STOCKHOLDERS' EQUITY 772,193       724,755       772,193 724,755    
REVENUES:                        
Contract revenues 318,034 296,103 267,407 319,575 303,719 252,363 218,203 261,584 1,201,119 1,035,868 988,623  
EXPENSES:                        
Costs of earned revenues, excluding depreciation and amortization 252,137 241,386 220,239 255,187 239,132 207,045 181,621 209,322 968,949 837,119 810,064  
General and administrative                 104,024 94,622 98,140  
Depreciation and amortization                 62,693 62,533 63,607  
Total                 1,135,666 994,274 971,811  
Loss on debt extinguishment                 0 (8,295) 0  
Interest expense, net                 (16,717) (15,911) (14,175)  
Other income, net                 15,825 11,096 8,093  
INCOME (LOSS) BEFORE INCOME TAXES AND EQUITY IN EARNINGS OF SUBSIDIARIES                 64,561 28,484 10,730  
PROVISION (BENEFIT) FOR INCOME TAXES                 25,183 12,377 4,881  
NET INCOME 13,282 9,645 3,485 12,966 12,965 1,489 (5,094) 6,747 39,378 16,107 5,849  
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited) [Abstract]                        
Net cash provided by (used in) operating activities                 65,125 43,857 54,138  
Cash flows from investing activities:                        
Capital expenditures                 (77,612) (61,457) (55,376)  
Proceeds from sale of assets                 24,783 12,305 8,768  
Cash paid for acquisitions                 0 (36,451) 0  
Changes in restricted cash                 926 225 0  
Net cash provided by (used in) investing activities                 (51,903) (85,378) (46,608)  
Cash flows from financing activities:                        
Proceeds from issuance of 7.125% senior subordinated notes due 2021                 0 187,500 0  
Purchase of 8.125% senior subordinated notes due 2015                   (135,350)    
Debt issuance costs                 0 (5,177) (3,233)  
Principal payments on capital lease obligations                 (233) (582) (1,023)  
Repurchases of common stock                 (12,960) (64,548) (4,489)  
Exercise of stock options and other                 6,490 1,321 33  
Restricted stock tax withholdings                 (329) (197) (274)  
Excess tax benefit from share-based awards                 1,625 0 69  
Net cash used in financing activities                 (5,407) (17,033) (8,917)  
Net increase (decrease) in cash and equivalents                 7,815 (58,554) (1,387)  
CASH AND EQUIVALENTS AT BEGINNING OF PERIOD       44,766       103,320 44,766 103,320 104,707  
CASH AND EQUIVALENTS AT END OF PERIOD 52,581       44,766       52,581 44,766 103,320  
Parent Company [Member]
                       
Debt Instrument [Line Items]                        
Long-term debt 0       0       0 0    
CURRENT ASSETS:                        
Cash and equivalents 0       0       0 0    
Trade acccounts receivable and costs in excess of billings 0       0       0 0    
Costs and estimated earnings in excess of billings 0       0       0 0    
Inventories 0       0       0 0    
Deferred tax assets, net 2,390       1,458       2,390 1,458    
Income taxes receivable 4,884       8,685       4,884 8,685    
Other current assets 2,211       2,492       2,211 2,492    
Total current assets 9,485       12,635       9,485 12,635    
Property and Equipment, Net 9,671       8,880       9,671 8,880    
GOODWILL 0       0       0 0    
INTANGIBLE ASSETS, NET 0       0       0 0    
DEFERRED TAX ASSETS, NET NON-CURRENT 0       0       0 0    
INVESTMENT IN SUBSIDIAIRIES 734,451       695,073       734,451 695,073    
INTERCOMPANY RECEIVABLES 0       0       0 0    
OTHER 6,075       6,924       6,075 6,924    
TOTAL NON-CURRENT ASSETS 750,197       710,877       750,197 710,877    
TOTAL ASSETS 759,682       723,512       759,682 723,512    
CURRENT LIABILITIES:                        
Accounts payable 2,785       159       2,785 159    
Current portion of debt 0       0       0 0    
Billings in excess of costs and estimated earnings 0       0       0 0    
Accrued insurance claims 588       606       588 606    
Deferred tax liabilities 0       0       0 0    
Other accrued liabilities 5,054       5,651       5,054 5,651    
Total current liabilities 8,427       6,416       8,427 6,416    
LONG-TERM DEBT 0       0       0 0    
Accrued Insurance Claims Noncurrent 708       716       708 716    
DEFERRED TAX LIABILITIES, NET NON-CURRENT 1,020       737       1,020 737    
INTERCOMPANY PAYABLE 353,713       361,067       353,713 361,067    
OTHER LIABILITIES 2,883       2,725       2,883 2,725    
Total liabilities 366,751       371,661       366,751 371,661    
Total stockholders' equity 392,931       351,851       392,931 351,851    
TOTAL LIABILITIES AND STOCKHOLDERS' EQUITY 759,682       723,512       759,682 723,512    
REVENUES:                        
Contract revenues                 0 0 0  
EXPENSES:                        
Costs of earned revenues, excluding depreciation and amortization                 0 0 0  
General and administrative                 28,048 23,520 21,659  
Depreciation and amortization                 3,137 3,192 3,293  
Intercompany Charges (Income)                 (34,212) (29,852) (27,589)  
Total                 (3,027) (3,140) (2,637)  
Interest and Debt Expense                 (3,049) (3,140) (2,637)  
Loss on debt extinguishment                   0    
Other income, net                 22 0 0  
INCOME (LOSS) BEFORE INCOME TAXES AND EQUITY IN EARNINGS OF SUBSIDIARIES                 0 0 0  
PROVISION (BENEFIT) FOR INCOME TAXES                 0 0 1,092  
Net income (loss) before equity in earnings of subsidiaries                 0 0 (1,092)  
Equity In Earnings Of Subsidiaries                 39,378 16,107 6,941  
NET INCOME                 39,378 16,107 5,849  
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited) [Abstract]                        
Net cash provided by (used in) operating activities                 6,755 7,979 1,412  
Cash flows from investing activities:                        
Capital expenditures                 (3,685) (1,746) (3,191)  
Proceeds from sale of assets                 0 0 0  
Cash paid for acquisitions                   0    
Changes in restricted cash                 926 25    
Capital contributions to subsidiaries                 0 0 0  
Net cash provided by (used in) investing activities                 (2,759) (1,721) (3,191)  
Cash flows from financing activities:                        
Proceeds from issuance of 7.125% senior subordinated notes due 2021                   0    
Purchase of 8.125% senior subordinated notes due 2015                   (135,350)    
Debt issuance costs                   (456) (3,233)  
Principal payments on capital lease obligations                 0 0 0  
Repurchases of common stock                 (12,960) (64,548) (4,489)  
Exercise of stock options and other                 6,490 1,321 33  
Restricted stock tax withholdings                 (329) (197) (274)  
Excess tax benefit from share-based awards                 1,625   69  
Intercompany funding                 1,178 57,622 9,673  
Net cash used in financing activities                 (3,996) (6,258) 1,779  
Net increase (decrease) in cash and equivalents                 0 0 0  
CASH AND EQUIVALENTS AT BEGINNING OF PERIOD       0         0      
CASH AND EQUIVALENTS AT END OF PERIOD 0       0       0 0    
Issuer [Member]
                       
Debt Instrument [Line Items]                        
Long-term debt 187,500       187,500       187,500 187,500    
CURRENT ASSETS:                        
Cash and equivalents 0       0       0 0    
Trade acccounts receivable and costs in excess of billings 0       0       0 0    
Costs and estimated earnings in excess of billings 0       0       0 0    
Inventories 0       0       0 0    
Deferred tax assets, net 0       0       0 0    
Income taxes receivable 0       0       0 0    
Other current assets 10       9       10 9    
Total current assets 10       9       10 9    
Property and Equipment, Net 0       0       0 0    
GOODWILL 0       0       0 0    
INTANGIBLE ASSETS, NET 0       0       0 0    
DEFERRED TAX ASSETS, NET NON-CURRENT 65       54       65 54    
INVESTMENT IN SUBSIDIAIRIES 1,425,451       1,373,992       1,425,451 1,373,992    
INTERCOMPANY RECEIVABLES 0       0       0 0    
OTHER 4,338       4,745       4,338 4,745    
TOTAL NON-CURRENT ASSETS 1,429,854       1,378,791       1,429,854 1,378,791    
TOTAL ASSETS 1,429,864       1,378,800       1,429,864 1,378,800    
CURRENT LIABILITIES:                        
Accounts payable 0       0       0 0    
Current portion of debt 0       0       0 0    
Billings in excess of costs and estimated earnings 0       0       0 0    
Accrued insurance claims 0       0       0 0    
Deferred tax liabilities 249       193       249 193    
Other accrued liabilities 565       1,106       565 1,106    
Total current liabilities 814       1,299       814 1,299    
LONG-TERM DEBT 187,500       187,500       187,500 187,500    
Accrued Insurance Claims Noncurrent 0       0       0 0    
DEFERRED TAX LIABILITIES, NET NON-CURRENT 0       0       0 0    
INTERCOMPANY PAYABLE 507,099       494,928       507,099 494,928    
OTHER LIABILITIES 0       0       0 0    
Total liabilities 695,413       683,727       695,413 683,727    
Total stockholders' equity 734,451       695,073       734,451 695,073    
TOTAL LIABILITIES AND STOCKHOLDERS' EQUITY 1,429,864       1,378,800       1,429,864 1,378,800    
REVENUES:                        
Contract revenues                 0 0 0  
EXPENSES:                        
Costs of earned revenues, excluding depreciation and amortization                 0 0 0  
General and administrative                 574 648 457  
Depreciation and amortization                 0 0 0  
Intercompany Charges (Income)                 0 0 0  
Total                 574 648 457  
Interest and Debt Expense                 (13,660) (12,852) (11,558)  
Loss on debt extinguishment                   (8,295)    
Other income, net                 0 0 0  
INCOME (LOSS) BEFORE INCOME TAXES AND EQUITY IN EARNINGS OF SUBSIDIARIES                 (14,234) (21,795) (12,015)  
PROVISION (BENEFIT) FOR INCOME TAXES                 (5,550) (9,430) (5,493)  
Net income (loss) before equity in earnings of subsidiaries                 (8,684) (12,365) (6,522)  
Equity In Earnings Of Subsidiaries                 48,062 28,472 13,463  
NET INCOME                 39,378 16,107 6,941  
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited) [Abstract]                        
Net cash provided by (used in) operating activities                 (8,774) (12,343) (6,025)  
Cash flows from investing activities:                        
Capital expenditures                 0 0 0  
Proceeds from sale of assets                 0 0 0  
Cash paid for acquisitions                   (27,500)    
Changes in restricted cash                 0 0    
Capital contributions to subsidiaries                 (4,943) (52,492) (26,615)  
Net cash provided by (used in) investing activities                 (4,943) (79,992) (26,615)  
Cash flows from financing activities:                        
Proceeds from issuance of 7.125% senior subordinated notes due 2021                   187,500    
Purchase of 8.125% senior subordinated notes due 2015                   (135,350)    
Debt issuance costs                   (4,721) 0  
Principal payments on capital lease obligations                 0 0 0  
Repurchases of common stock                 0 0 0  
Exercise of stock options and other                 0 0 0  
Restricted stock tax withholdings                 0 0 0  
Excess tax benefit from share-based awards                 0   0  
Intercompany funding                 13,717 44,906 32,640  
Net cash used in financing activities                 13,717 92,335 32,640  
Net increase (decrease) in cash and equivalents                 0 0 0  
CASH AND EQUIVALENTS AT BEGINNING OF PERIOD       0         0      
CASH AND EQUIVALENTS AT END OF PERIOD 0       0       0 0    
Subsidiary Guarantors [Member]
                       
Debt Instrument [Line Items]                        
Long-term debt 0       74       0 74    
CURRENT ASSETS:                        
Cash and equivalents 51,563       44,608       51,563 44,608    
Trade acccounts receivable and costs in excess of billings 140,426       136,168       140,426 136,168    
Costs and estimated earnings in excess of billings 125,869       89,120       125,869 89,120    
Inventories 26,274       20,488       26,274 20,488    
Deferred tax assets, net 13,566       14,596       13,566 14,596    
Income taxes receivable 0       0       0 0    
Other current assets 5,458       7,505       5,458 7,505    
Total current assets 363,156       312,485       363,156 312,485    
Property and Equipment, Net 133,145       119,722       133,145 119,722    
GOODWILL 174,849       174,849       174,849 174,849    
INTANGIBLE ASSETS, NET 49,773       56,279       49,773 56,279    
DEFERRED TAX ASSETS, NET NON-CURRENT 9,341       8,067       9,341 8,067    
INVESTMENT IN SUBSIDIAIRIES 0       0       0 0    
INTERCOMPANY RECEIVABLES 860,758       859,629       860,758 859,629    
OTHER 1,731       1,907       1,731 1,907    
TOTAL NON-CURRENT ASSETS 1,229,597       1,220,453       1,229,597 1,220,453    
TOTAL ASSETS 1,592,753       1,532,938       1,592,753 1,532,938    
CURRENT LIABILITIES:                        
Accounts payable 33,441       38,847       33,441 38,847    
Current portion of debt 74       232       74 232    
Billings in excess of costs and estimated earnings 1,522       749       1,522 749    
Accrued insurance claims 24,551       25,413       24,551 25,413    
Deferred tax liabilities 84       4       84 4    
Other accrued liabilities 43,772       43,340       43,772 43,340    
Total current liabilities 103,444       108,585       103,444 108,585    
LONG-TERM DEBT 0       74       0 74    
Accrued Insurance Claims Noncurrent 22,815       22,569       22,815 22,569    
DEFERRED TAX LIABILITIES, NET NON-CURRENT 57,140       45,123       57,140 45,123    
INTERCOMPANY PAYABLE 0       0       0 0    
OTHER LIABILITIES 1,185       820       1,185 820    
Total liabilities 184,584       177,171       184,584 177,171    
Total stockholders' equity 1,408,169       1,355,767       1,408,169 1,355,767    
TOTAL LIABILITIES AND STOCKHOLDERS' EQUITY 1,592,753       1,532,938       1,592,753 1,532,938    
REVENUES:                        
Contract revenues                 1,186,380 1,025,484 980,082  
EXPENSES:                        
Costs of earned revenues, excluding depreciation and amortization                 957,449 827,980 802,203  
General and administrative                 65,185 62,174 65,058  
Depreciation and amortization                 54,735 54,232 56,368  
Intercompany Charges (Income)                 33,749 29,437 27,026  
Total                 1,111,118 973,823 950,655  
Interest and Debt Expense                 (8) 81 20  
Loss on debt extinguishment                   0    
Other income, net                 15,281 10,845 8,007  
INCOME (LOSS) BEFORE INCOME TAXES AND EQUITY IN EARNINGS OF SUBSIDIARIES                 90,535 62,587 37,454  
PROVISION (BENEFIT) FOR INCOME TAXES                 35,299 27,142 16,027  
Net income (loss) before equity in earnings of subsidiaries                 55,236 35,445 21,427  
Equity In Earnings Of Subsidiaries                 0 0 0  
NET INCOME                 55,236 35,445 21,427  
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited) [Abstract]                        
Net cash provided by (used in) operating activities                 69,823 53,611 62,857  
Cash flows from investing activities:                        
Capital expenditures                 (69,362) (53,346) (47,248)  
Proceeds from sale of assets                 19,211 11,645 8,617  
Cash paid for acquisitions                   (8,951)    
Changes in restricted cash                 0 200    
Capital contributions to subsidiaries                 0 0 0  
Net cash provided by (used in) investing activities                 (50,151) (50,452) (38,631)  
Cash flows from financing activities:                        
Proceeds from issuance of 7.125% senior subordinated notes due 2021                   0    
Purchase of 8.125% senior subordinated notes due 2015                   0    
Debt issuance costs                   0 0  
Principal payments on capital lease obligations                 (233) (582) (1,023)  
Repurchases of common stock                 0 0 0  
Exercise of stock options and other                 0 0 0  
Restricted stock tax withholdings                 0 0 0  
Excess tax benefit from share-based awards                 0   0  
Intercompany funding                 (12,484) (60,827) (24,927)  
Net cash used in financing activities                 (12,717) (61,409) (25,950)  
Net increase (decrease) in cash and equivalents                 6,955 (58,250) (1,724)  
CASH AND EQUIVALENTS AT BEGINNING OF PERIOD       44,608         44,608      
CASH AND EQUIVALENTS AT END OF PERIOD 51,563       44,608       51,563 44,608    
Non-Guarantor Subsidiaries [Member]
                       
Debt Instrument [Line Items]                        
Long-term debt 0       0       0 0    
CURRENT ASSETS:                        
Cash and equivalents 1,018       158       1,018 158    
Trade acccounts receivable and costs in excess of billings 1,362       2,384       1,362 2,384    
Costs and estimated earnings in excess of billings 1,452       1,735       1,452 1,735    
Inventories 0       70       0 70    
Deferred tax assets, net 80       168       80 168    
Income taxes receivable 0       0       0 0    
Other current assets 787       932       787 932    
Total current assets 4,699       5,447       4,699 5,447    
Property and Equipment, Net 15,431       21,399       15,431 21,399    
GOODWILL 0       0       0 0    
INTANGIBLE ASSETS, NET 0       0       0 0    
DEFERRED TAX ASSETS, NET NON-CURRENT 1,085       179       1,085 179    
INVESTMENT IN SUBSIDIAIRIES 0       0       0 0    
INTERCOMPANY RECEIVABLES 54       0       54 0    
OTHER 233       301       233 301    
TOTAL NON-CURRENT ASSETS 16,803       21,879       16,803 21,879    
TOTAL ASSETS 21,502       27,326       21,502 27,326    
CURRENT LIABILITIES:                        
Accounts payable 597       393       597 393    
Current portion of debt 0       0       0 0    
Billings in excess of costs and estimated earnings 0       0       0 0    
Accrued insurance claims 79       73       79 73    
Deferred tax liabilities 70       68       70 68    
Other accrued liabilities 1,535       1,944       1,535 1,944    
Total current liabilities 2,281       2,478       2,281 2,478    
LONG-TERM DEBT 0       0       0 0    
Accrued Insurance Claims Noncurrent 68       59       68 59    
DEFERRED TAX LIABILITIES, NET NON-CURRENT 1,868       2,363       1,868 2,363    
INTERCOMPANY PAYABLE 0       3,646       0 3,646    
OTHER LIABILITIES 3       5       3 5    
Total liabilities 4,220       8,551       4,220 8,551    
Total stockholders' equity 17,282       18,775       17,282 18,775    
TOTAL LIABILITIES AND STOCKHOLDERS' EQUITY 21,502       27,326       21,502 27,326    
REVENUES:                        
Contract revenues                 14,739 10,384 8,541  
EXPENSES:                        
Costs of earned revenues, excluding depreciation and amortization                 11,500 9,139 7,861  
General and administrative                 10,217 8,280 10,966  
Depreciation and amortization                 4,833 5,156 3,991  
Intercompany Charges (Income)                 463 415 563  
Total                 27,013 22,990 23,381  
Interest and Debt Expense                 0 0 0  
Loss on debt extinguishment                   0    
Other income, net                 522 251 86  
INCOME (LOSS) BEFORE INCOME TAXES AND EQUITY IN EARNINGS OF SUBSIDIARIES                 (11,752) (12,355) (14,754)  
PROVISION (BENEFIT) FOR INCOME TAXES                 (4,566) (5,335) (6,745)  
Net income (loss) before equity in earnings of subsidiaries                 (7,186) (7,020) (8,009)  
Equity In Earnings Of Subsidiaries                 0 0 0  
NET INCOME                 (7,186) (7,020) (8,009)  
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited) [Abstract]                        
Net cash provided by (used in) operating activities                 (2,679) (5,390) (4,106)  
Cash flows from investing activities:                        
Capital expenditures                 (4,565) (6,365) (4,937)  
Proceeds from sale of assets                 5,572 660 151  
Cash paid for acquisitions                   0    
Changes in restricted cash                 0 0    
Capital contributions to subsidiaries                 0 0 0  
Net cash provided by (used in) investing activities                 1,007 (5,705) (4,786)  
Cash flows from financing activities:                        
Proceeds from issuance of 7.125% senior subordinated notes due 2021                   0    
Purchase of 8.125% senior subordinated notes due 2015                   0    
Debt issuance costs                   0 0  
Principal payments on capital lease obligations                 0 0 0  
Repurchases of common stock                 0 0 0  
Exercise of stock options and other                 0 0 0  
Restricted stock tax withholdings                 0 0 0  
Excess tax benefit from share-based awards                 0   0  
Intercompany funding                 2,532 10,791 9,229  
Net cash used in financing activities                 2,532 10,791 9,229  
Net increase (decrease) in cash and equivalents                 860 (304) 337  
CASH AND EQUIVALENTS AT BEGINNING OF PERIOD       158         158      
CASH AND EQUIVALENTS AT END OF PERIOD 1,018       158       1,018 158    
Eliminations and Reclassifications [Member]
                       
Debt Instrument [Line Items]                        
Long-term debt 0       0       0 0    
CURRENT ASSETS:                        
Cash and equivalents 0       0       0 0    
Trade acccounts receivable and costs in excess of billings 0       0       0 0    
Costs and estimated earnings in excess of billings 0       0       0 0    
Inventories 0       0       0 0    
Deferred tax assets, net (403)       (265)       (403) (265)    
Income taxes receivable 0       0       0 0    
Other current assets 0       0       0 0    
Total current assets (403)       (265)       (403) (265)    
Property and Equipment, Net 0       (562)       0 (562)    
GOODWILL 0       0       0 0    
INTANGIBLE ASSETS, NET 0       0       0 0    
DEFERRED TAX ASSETS, NET NON-CURRENT (10,491)       (8,300)       (10,491) (8,300)    
INVESTMENT IN SUBSIDIAIRIES (2,159,902)       (2,069,065)       (2,159,902) (2,069,065)    
INTERCOMPANY RECEIVABLES (860,812)       (859,629)       (860,812) (859,629)    
OTHER 0       0       0 0    
TOTAL NON-CURRENT ASSETS (3,031,205)       (2,937,556)       (3,031,205) (2,937,556)    
TOTAL ASSETS (3,031,608)       (2,937,821)       (3,031,608) (2,937,821)    
CURRENT LIABILITIES:                        
Accounts payable 0       0       0 0    
Current portion of debt 0       0       0 0    
Billings in excess of costs and estimated earnings 0       0       0 0    
Accrued insurance claims 0       0       0 0    
Deferred tax liabilities (403)       (265)       (403) (265)    
Other accrued liabilities 0       0       0 0    
Total current liabilities (403)       (265)       (403) (265)    
LONG-TERM DEBT 0       0       0 0    
Accrued Insurance Claims Noncurrent 0       0       0 0    
DEFERRED TAX LIABILITIES, NET NON-CURRENT (10,491)       (8,300)       (10,491) (8,300)    
INTERCOMPANY PAYABLE (860,812)       (859,641)       (860,812) (859,641)    
OTHER LIABILITIES 0       0       0 0    
Total liabilities (871,706)       (868,206)       (871,706) (868,206)    
Total stockholders' equity (2,159,902)       (2,069,615)       (2,159,902) (2,069,615)    
TOTAL LIABILITIES AND STOCKHOLDERS' EQUITY (3,031,608)       (2,937,821)       (3,031,608) (2,937,821)    
REVENUES:                        
Contract revenues                 0 0 0  
EXPENSES:                        
Costs of earned revenues, excluding depreciation and amortization                 0 0 0  
General and administrative                 0 0 0  
Depreciation and amortization                 (12) (47) (45)  
Intercompany Charges (Income)                 0 0 0  
Total                 (12) (47) (45)  
Interest and Debt Expense                 0 0 0  
Loss on debt extinguishment                   0    
Other income, net                 0 0 0  
INCOME (LOSS) BEFORE INCOME TAXES AND EQUITY IN EARNINGS OF SUBSIDIARIES                 12 47 45  
PROVISION (BENEFIT) FOR INCOME TAXES                 0 0 0  
Net income (loss) before equity in earnings of subsidiaries                 12 47 45  
Equity In Earnings Of Subsidiaries                 (87,440) (44,579) (20,404)  
NET INCOME                 (87,428) (44,532) (20,359)  
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited) [Abstract]                        
Net cash provided by (used in) operating activities                 0 0 0  
Cash flows from investing activities:                        
Capital expenditures                 0 0 0  
Proceeds from sale of assets                 0 0 0  
Cash paid for acquisitions                   0    
Changes in restricted cash                 0 0    
Capital contributions to subsidiaries                 4,943 52,492 26,615  
Net cash provided by (used in) investing activities                 4,943 52,492 26,615  
Cash flows from financing activities:                        
Proceeds from issuance of 7.125% senior subordinated notes due 2021                   0    
Purchase of 8.125% senior subordinated notes due 2015                   0    
Debt issuance costs                   0 0  
Principal payments on capital lease obligations                 0 0 0  
Repurchases of common stock                 0 0 0  
Exercise of stock options and other                 0 0 0  
Restricted stock tax withholdings                 0 0 0  
Excess tax benefit from share-based awards                 0   0  
Intercompany funding                 (4,943) (52,492) (26,615)  
Net cash used in financing activities                 (4,943) (52,492) (26,615)  
Net increase (decrease) in cash and equivalents                 0 0 0  
CASH AND EQUIVALENTS AT BEGINNING OF PERIOD       0         0      
CASH AND EQUIVALENTS AT END OF PERIOD $ 0       $ 0       $ 0 $ 0