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Other comprehensive income (loss) (Tables)
12 Months Ended
Dec. 31, 2015
Table Text Block  
Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block]
Changes in Accumulated Other Comprehensive Loss by Component [1]
Years ended December 31,
(In thousands)201520142013
Foreign currency translationBeginning Balance$(32,832)$(36,099)$(31,277)
Other comprehensive loss before
reclassifications(3,098)(4,451)(4,822)
Amounts reclassified from accumulated other
comprehensive loss -7,718-
Net change(3,098)3,267(4,822)
Ending balance$(35,930)$(32,832)$(36,099)
Adjustment of pension and
postretirement benefit plansBeginning Balance$ (205,187)$ (104,302)$ (225,846)
Other comprehensive income (loss) before
reclassifications(16,032)(98,015)104,272
Amounts reclassified from accumulated other
comprehensive income (loss) for amortization
of net losses12,261(5,188)17,272
Amounts reclassified from accumulated other
comprehensive income (loss) for amortization
of prior service cost(2,318)2,318-
Net change(6,089)(100,885)121,544
Ending balance$(211,276)$(205,187)$(104,302)
Unrealized net holding
(losses) gains onBeginning Balance$8,465$(48,344)$154,568
investmentsOther comprehensive (loss) income before
reclassifications(29,871)55,987(201,119)
Other-than-temporary impairment amounts reclassified
from accumulated other comprehensive (loss) income11,959--
Amounts reclassified from accumulated other
comprehensive (loss) income(113)822(1,793)
Net change(18,025)56,809(202,912)
Ending balance$(9,560)$8,465$(48,344)
Unrealized net (losses) gains
on cash flow hedgesBeginning Balance$(318)$-$(313)
Other comprehensive (loss) income before
reclassifications(2,669)(4,034)1,436
Amounts reclassified from other accumulated other
comprehensive (loss) income2,8673,716(1,123)
Net change198(318)313
Ending balance$(120)$(318)$-
Total $(256,886)$(229,872)$(188,745)
[1] All amounts presented are net of tax.
Reclassification Out Of Accumulated Other Comprehensive Income [Table Text Block]
Reclassifications Out of Accumulated Other Comprehensive Loss
Affected Line Item in the Years ended December 31,
(In thousands)Consolidated Statements of Operations201520142013
Foreign currency translation
Cumulative translation adjustment
reclassified into earningsOther operating income$-$(7,718)$-
Total before tax-(7,718)-
Income tax (expense) benefit---
Total net of tax$-$(7,718)$-
Adjustment of pension and postretirement benefit plans
Amortization of net lossesPersonnel costs$(20,100)$8,505$(24,674)
Amortization of prior service costPersonnel costs3,800(3,800)-
Total before tax(16,300)4,705(24,674)
Income tax (expense) benefit6,357(1,835)7,402
Total net of tax$(9,943)$2,870$(17,272)
Unrealized holding (losses) gains on investments
Realized gain (loss) on sale of securitiesNet (loss) gain on sale and valuation adjustments
of investment securities$141$(870)$2,110
Other-than-temporary impairment losses
on available-for-sale debt securities(14,445)--
Total before tax(14,304)(870)2,110
Income tax benefit (expense) 2,45848(317)
Total net of tax$(11,846)$(822)$1,793
Unrealized net (losses) gains on cash flow hedges
Forward contractsMortgage banking activities$(4,702)$(6,091)$1,839
Total before tax(4,702)(6,091)1,839
Income tax benefit (expense) 1,8352,375(716)
Total net of tax$(2,867)$(3,716)$1,123
Total reclassification adjustments, net of tax$(24,656)$(9,386)$(14,356)