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Equity and Noncontrolling Interest (Tables)
6 Months Ended
Jun. 30, 2013
Stockholders Equity [Abstract]  
Schedule of Stockholders Equity [Table Text Block]
            Accumulated      
      Capital in    Other      
   Common Excess of Retained Comprehensive Noncontrolling   
   Stock Par Value Earnings Loss Interest Total
Balance at March 31, 2013$13,140 $95,775 $225,790 $(41,747) $9,015 $301,973
 Net income 0  0  16,083  0  592  16,675
 Amounts reported in other comprehensive income 0  0  0  (3,505)  (831)  (4,336)
 Dividends ($0.25 per share) 0  0  (3,293)  0  0  (3,293)
 Share issuance and equity-based compensation plans 28  1,227  0  0  0  1,255
 Excess tax benefit from stock option exercises 0  83  0  0  0  83
Balance at June 30, 2013$13,168 $97,085 $238,580 $(45,252) $8,776 $312,357
                    
Balance at March 31, 2012$12,951 $90,836 $189,961 $(23,979) $8,015 $277,784
 Net income 0  0  11,108  0  630  11,738
 Amounts reported in other comprehensive income 0  0  0  (6,557)  (425)  (6,982)
 Dividends ($0.245 per share) 0  0  (3,188)  0  0  (3,188)
 Dividends paid to noncontrolling shareholders 0  0  0  0  (30)  (30)
 Share issuance and equity-based compensation plans 60  1,195  0  0  0  1,255
 Excess tax benefit from stock option exercises 0  168  0  0  0  168
Balance at June 30, 2012$13,011 $92,199 $197,881 $(30,536) $8,190 $280,745

            Accumulated      
      Capital in    Other      
   Common Excess of Retained Comprehensive Noncontrolling   
   Stock Par Value Earnings Loss Interest Total
Balance at December 31, 2012$13,095 $94,470 $215,390 $(41,855) $8,576 $289,676
 Net income 0  0  29,702  0  1,164  30,866
 Amounts reported in other comprehensive income 0  0  0  (3,397)  (964)  (4,361)
 Dividends ($0.495 per share) 0  0  (6,512)  0  0  (6,512)
 Share issuance and equity-based compensation plans 73  2,163  0  0  0  2,236
 Excess tax benefit from stock option exercises 0  452  0  0  0  452
Balance at June 30, 2013$13,168 $97,085 $238,580 $(45,252) $8,776 $312,357
                    
Balance at December 31, 2011$12,912 $89,725 $180,710 $(28,967) $6,977 $261,357
 Net income 0  0  23,473  0  1,377  24,850
 Amounts reported in other comprehensive income 0  0  0  (1,569)  (134)  (1,703)
 Dividends ($0.485 per share) 0  0  (6,302)  0  0  (6,302)
 Dividends paid to noncontrolling interests 0  0  0  0  (30)  (30)
 Share issuance and equity-based compensation plans 99  1,054  0  0  0  1,153
 Excess tax benefit from stock option exercises 0  1,420  0  0  0  1,420
Balance at June 30, 2012$13,011 $92,199 $197,881 $(30,536) $8,190 $280,745
Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block]
           Unrealized   
  Currency Defined Change in  gain (loss) in    
  translation benefit fair value of available-for-   
  adjustments pension plans derivatives sale securities Total
Balance at March 31, 2013 $1,706 $(45,608) $0 $2,155 $(41,747)
Other comprehensive (loss) income before reclassifications  (3,352)  (214)  0  (289)  (3,855)
Amounts reclassified from accumulated other comprehensive loss  0  1,065  0  (795)  270
Current period other comprehensive (loss) income  (3,352)  851  0  (1,084)  (3,585)
Related tax amounts  0  (289)  0  369  80
Net current period other comprehensive (loss) income  (3,352)  562  0  (715)  (3,505)
                
Balance at June 30, 2013 $(1,646) $(45,046) $0 $1,440 $(45,252)
                
Balance at March 31, 2012 $8,466 $(34,203) $(176) $1,934 $(23,979)
Other comprehensive (loss) income before reclassifications  (7,284)  668  (2)  (248)  (6,866)
Amounts reclassified from accumulated other comprehensive loss  0  747  160  (318)  589
Current period other comprehensive (loss) income  (7,284)  1,415  158  (566)  (6,277)
Related tax amounts  0  (418)  (55)  193  (280)
Net current period other comprehensive (loss) income  (7,284)  997  103  (373)  (6,557)
                
Balance at June 30, 2012 $1,182 $(33,206) $(73) $1,561 $(30,536)

           Unrealized   
  Currency Defined Change in  gain (loss) in    
  translation benefit fair value of available-for-   
  adjustments pension plans derivatives sale securities Total
Balance at December 31, 2012 $3,336 $(46,914) $0 $1,723 $(41,855)
Other comprehensive (loss) income before reclassifications  (4,982)  549  0  859  (3,574)
Amounts reclassified from accumulated other comprehensive loss  0  2,120  0  (1,288)  832
Current period other comprehensive (loss) income  (4,982)  2,669  0  (429)  (2,742)
Related tax amounts  0  (801)  0  146  (655)
Net current period other comprehensive (loss) income  (4,982)  1,868  0  (283)  (3,397)
                
Balance at June 30, 2013 $(1,646) $(45,046) $0 $1,440 $(45,252)
                
Balance at December 31, 2011 $4,709 $(34,260) $(272) $856 $(28,967)
Other comprehensive (loss) income before reclassifications  (3,527)  106  (12)  1,589  (1,844)
Amounts reclassified from accumulated other comprehensive loss  0  1,497  318  (521)  1,294
Current period other comprehensive (loss) income  (3,527)  1,603  306  1,068  (550)
Related tax amounts  0  (549)  (107)  (363)  (1,019)
Net current period other comprehensive (loss) income  (3,527)  1,054  199  705  (1,569)
                
Balance at June 30, 2012 $1,182 $(33,206) $(73) $1,561 $(30,536)