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Restructuring Charges and Asset Impairments (Tables)
12 Months Ended
Dec. 31, 2011
Dec. 31, 2010
Restructuring And Related Activities Disclosure (Tables) [Abstract]    
Schedule of Restructuring Reserve by Type of Cost
 Severance and benefits costs Pension and Retiree Medical Asset impairments Other exit costs Total
               
Balance at January 1, 2010$ 45,895 $ - $ - $ 6,807 $ 52,702
               
Expenses  115,557   23,620   14,515   38,233   191,925
Gain on sale of facility  -   -   (8,897)   -   (8,897)
Cash (payments) receipts  (73,283)   -   8,897   (38,253)   (102,639)
Non-cash charges  -   (23,620)   (14,515)   -   (38,135)
Balance at December 31, 2010  88,169   -   -   6,787   94,956
               
Expenses  103,303   8,178   30,030   13,320   154,831
Gain on sale of facility  -   -   (601)   -   (601)
Cash (payments) receipts  (84,899)   -   601   (19,286)   (103,584)
Non-cash charges  -   (8,178)   (30,030)   -   (38,208)
Balance at December 31, 2011$ 106,573 $ - $ - $ 821 $ 107,394
 Severance and benefits costs Other exit costs Total
         
Balance at January 1, 2010$ 27,897 $ 8,027 $ 35,924
         
Expenses  (684)   (70)   (754)
Cash payments  (13,743)   (3,183)   (16,926)
Balance at December 31, 2010  13,470   4,774   18,244
         
Expenses  (2,260)   (849)   (3,109)
Cash payments  (2,210)   (1,208)   (3,418)
Balance at December 31, 2011$ 9,000 $ 2,717 $ 11,717