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Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2012
Schedule Of Assets And Liabilities Measured At Fair Value

The following table summarizes the company’s financial assets and liabilities measured at fair value on a recurring basis:

 

     Level 2  
(In thousands)    Fair Value Measurement Category  
     June 30,
2012
     December 31,
2011
     June 25,
2011
 

Assets

        

Commodity contracts—fuel

     $   —          $ —          $   1,516    

Foreign exchange contracts

     265          341          211    

Liabilities:

        

Commodity contracts—fuel

     661          251          —    

Foreign exchange contracts

     $   101          $ 92          $ 502    
Schedule Of Fair Value Of Senior Notes

The fair value of the senior notes and the senior secured notes are considered Level 2 fair value measurements and are based on market trades of these securities on or about the dates below.

 

     June 30, 2012      December 31, 2011      June 25, 2011  
(In thousands)    Carrying
Value
     Fair
Value
     Carrying
Value
     Fair
Value
     Carrying
Value
     Fair
Value
 

6.25% senior notes

   $   149,963        $   149,984        $   399,953        $   381,067        $   400,014        $   404,496    

9.75% senior secured notes

   $ 250,000        $ 246,563        $ —        $ —        $ —        $ —