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Supplemental Consolidating Data (Cash Flows) (Details) (USD $)
In Thousands
3 Months Ended9 Months Ended12 Months Ended
Sep. 25, 2011
Sep. 26, 2010
Sep. 25, 2011
Sep. 26, 2010
Dec. 31, 2009
Segment Reporting Information [Line Items]     
Net income$ 183,594$ 88,829$ 493,434$ 193,311 
Loss from discontinued operations (4,888) (108,434) 
Income from continuing operations183,59493,717493,434301,745 
Depreciation  131,938199,629 
Amortization of deferred loan origination costs  59,27266,605 
Amortization of financing origination fees  8,17116,890 
Provision for employee long-term benefits  50,98364,331 
Contributions to pension and postretirement plans  (207,829)(28,138) 
Stock compensation expense  28,31621,486 
Net change in wholesale finance receivables  77,519148,646 
Provision for credit losses6,18928,0495,00569,117 
Loss on extinguishment of debt  8,671  
Pension and postretirement healthcare plan curtailment and settlement expense  23630,206 
Foreign currency adjustments  11,381(18,481) 
Other, net   32,304 
Accounts receivable  (19,473)(38,603) 
Finance receivables - accrued interest and other  7,0699,825 
Inventories  (19,451)5,941 
Accounts payable and accrued liabilities  257,373306,173 
Restructuring reserves  2,664(18,332) 
Derivative instruments  (2,279)3,978 
Other   (3,820) 
Total adjustments  408,167867,757 
Net cash (used by) provided by operating activities of continuing operations  901,6011,169,502 
Capital expenditures  (106,115)(77,559) 
Origination of finance receivables  (2,164,144)(1,841,403) 
Collections of finance receivables  2,130,3692,041,976 
Purchases of marketable securities  (142,653)(68,497) 
Sales and redemptions of marketable securities  104,97554,579 
Net cash (used by) provided by investing activities of continuing operations  (177,568)109,096 
Proceeds from issuance of medium-term notes  394,277  
Proceeds from securitization debt  571,276  
Repayments of securitization debt  (1,333,541)(1,518,528) 
Net borrowings of asset-backed commercial paper  (483)(845) 
Net decrease in credit facilities and unsecured commercial paper  182,058  
Net change in restricted cash  50,67978,928 
Dividends paid  (82,557)(70,480) 
Purchase of common stock for treasury  (97,456)(1,687) 
Excess tax benefits from share-based payments  2,7023,590 
Issuance of common stock under employee stock option plans  7,7637,466 
Net cash used by financing activities of continuing operations  (305,282)(1,355,869) 
Effect of exchange rate changes on cash and cash equivalents of continuing operations  (11,857)4,921 
Net increase (decrease) in cash and cash equivalents of continuing operations  406,894(72,350) 
Cash flows from operating activities of discontinued operations  (74)(68,650) 
Effect of exchange rate changes on cash and cash equivalents of discontinued operations   (1,195) 
Net Cash Provided by (Used in) Discontinued Operations  (74)(69,845) 
Net increase (decrease) in cash and cash equivalents  406,820(142,195)(142,195)
Cash and cash equivalents - beginning of period  1,021,9331,630,433 
Cash and cash equivalents of discontinued operations - beginning of period   6,063 
Net (decrease) increase in cash and cash equivalents  406,820(142,195)(142,195)
Less: Cash and cash equivalents of discontinued operations - end of period    6,063
Cash and cash equivalents - end of period1,428,7531,494,3011,428,7531,494,3011,630,433
Motorcycles & Related Products Operations [Member]
     
Segment Reporting Information [Line Items]     
Net income145,26657,211487,296105,773 
Loss from discontinued operations (4,888) (108,434) 
Income from continuing operations145,26662,099487,296214,207 
Depreciation  127,174194,440 
Amortization of financing origination fees  355682 
Provision for employee long-term benefits  49,11063,136 
Contributions to pension and postretirement plans  (207,829)(28,138) 
Stock compensation expense  26,28219,725 
Pension and postretirement healthcare plan curtailment and settlement expense  23630,206 
Foreign currency adjustments  11,381(18,481) 
Other, net  (14,922)14,514 
Accounts receivable  (132,823)(245,167) 
Inventories  (19,451)5,941 
Accounts payable and accrued liabilities  197,233292,579 
Restructuring reserves  2,664(18,113) 
Derivative instruments  (2,297)(1,499) 
Other  (931)(289) 
Total adjustments  36,182309,536 
Net cash (used by) provided by operating activities of continuing operations  523,478523,743 
Capital expenditures  (100,299)(75,659) 
Purchases of marketable securities  (142,653)(68,497) 
Sales and redemptions of marketable securities  104,97554,579 
Net cash (used by) provided by investing activities of continuing operations  (137,977)(89,577) 
Net decrease in credit facilities and unsecured commercial paper   (178,292) 
Dividends paid  (82,557)(70,480) 
Purchase of common stock for treasury  (97,456)(1,687) 
Excess tax benefits from share-based payments  2,7023,590 
Issuance of common stock under employee stock option plans  7,7637,466 
Net cash used by financing activities of continuing operations  (169,548)(239,403) 
Effect of exchange rate changes on cash and cash equivalents of continuing operations  (11,815)5,182 
Net increase (decrease) in cash and cash equivalents of continuing operations  204,138199,945 
Cash flows from operating activities of discontinued operations  (74)(68,650) 
Effect of exchange rate changes on cash and cash equivalents of discontinued operations   (1,195) 
Net Cash Provided by (Used in) Discontinued Operations  (74)(69,845) 
Net increase (decrease) in cash and cash equivalents  204,064130,100130,100
Cash and cash equivalents - beginning of period  791,7911,141,862 
Cash and cash equivalents of discontinued operations - beginning of period   6,063 
Net (decrease) increase in cash and cash equivalents  204,064130,100130,100
Less: Cash and cash equivalents of discontinued operations - end of period    6,063
Cash and cash equivalents - end of period995,8551,278,025995,8551,278,0251,141,862
Financial Services Operations [Member]
     
Segment Reporting Information [Line Items]     
Net income38,32831,618131,13887,538 
Income from continuing operations38,32831,618131,13887,538 
Depreciation  4,7645,189 
Amortization of deferred loan origination costs  59,27266,605 
Amortization of financing origination fees  7,81616,208 
Provision for employee long-term benefits  1,8731,195 
Stock compensation expense  2,0341,761 
Provision for credit losses6,18928,0495,00569,117 
Loss on extinguishment of debt  8,671  
Other, net  25,95917,790 
Finance receivables - accrued interest and other  7,0699,825 
Accounts payable and accrued liabilities  125,929220,184 
Restructuring reserves   (219) 
Derivative instruments  185,477 
Other  46,070(3,531) 
Total adjustments  294,480409,601 
Net cash (used by) provided by operating activities of continuing operations  425,618497,139 
Capital expenditures  (5,816)(1,900) 
Origination of finance receivables  (4,884,163)(4,270,820) 
Collections of finance receivables  4,927,9074,620,039 
Net cash (used by) provided by investing activities of continuing operations  37,928347,319 
Proceeds from issuance of medium-term notes  394,277  
Proceeds from securitization debt  571,276  
Repayments of securitization debt  (1,333,541)(1,518,528) 
Net borrowings of asset-backed commercial paper  (483)  
Net decrease in credit facilities and unsecured commercial paper  182,058323,134 
Net change in restricted cash  50,67978,928 
Dividends paid  (125,000)  
Net cash used by financing activities of continuing operations  (260,734)(1,116,466) 
Effect of exchange rate changes on cash and cash equivalents of continuing operations  (56)(287) 
Net increase (decrease) in cash and cash equivalents of continuing operations  202,756(272,295) 
Net increase (decrease) in cash and cash equivalents  202,756(272,295)(272,295)
Cash and cash equivalents - beginning of period  230,142488,571 
Net (decrease) increase in cash and cash equivalents  202,756(272,295)(272,295)
Cash and cash equivalents - end of period432,898216,276432,898216,276488,571
Eliminations [Member]
     
Segment Reporting Information [Line Items]     
Net income  (125,000)  
Income from continuing operations  (125,000)  
Net change in wholesale finance receivables  77,519148,646 
Accounts receivable  113,350206,564 
Accounts payable and accrued liabilities  (65,789)(206,590) 
Other  (47,575)  
Total adjustments  77,505148,620 
Net cash (used by) provided by operating activities of continuing operations  (47,495)148,620 
Origination of finance receivables  2,720,0192,429,417 
Collections of finance receivables  (2,797,538)(2,578,063) 
Net cash (used by) provided by investing activities of continuing operations  (77,519)(148,646) 
Dividends paid  125,000  
Net cash used by financing activities of continuing operations  125,000  
Effect of exchange rate changes on cash and cash equivalents of continuing operations  $ 14$ 26