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Equity and Noncontrolling Interest (Tables)
9 Months Ended
Sep. 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 June 30, 2013$13,168 $97,085 $238,580 $(45,252) $8,776 $312,357
 Net income 0  0  12,551  0  754  13,305
 Amounts reported in other comprehensive income 0  0  0  2,014  (255)  1,759
 Dividends ($0.25 per share) 0  0  (3,298)  0  0  (3,298)
 Dvidends paid to noncontrolling shareholders 0  0  0  0  (30)  (30)
 Share issuance and equity-based compensation plans 19  368  0  0  0  387
 Excess tax benefit from stock option exercises 0  363  0  0  0  363
Balance at September 30, 2013$13,187 $97,816 $247,833 $(43,238) $9,245 $324,843
                    
Balance at June 30, 2012$13,011 $92,199 $197,881 $(30,536) $8,190 $280,745
 Net income 0  0  10,925  0  698  11,623
 Amounts reported in other comprehensive income 0  0  0  2,311  228  2,539
 Dividends ($0.245 per share) 0  0  (3,214)  0  0  (3,214)
 Share issuance and equity-based compensation plans 71  902  0  0  0  973
 Excess tax benefit from stock option exercises 0  744  0  0  0  744
Balance at September 30, 2012$13,082 $93,845 $205,592 $(28,225) $9,116 $293,410

            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  42,253  0  1,918  44,171
 Amounts reported in other comprehensive loss 0  0  0  (1,383)  (1,219)  (2,602)
 Dividends ($0.745 per share) 0  0  (9,810)  0  0  (9,810)
 Dividends paid to noncontrolling interests 0  0  0  0  (30)  (30)
 Share issuance and equity-based compensation plans 92  2,531  0  0  0  2,623
 Excess tax benefit from stock option exercises 0  815  0  0  0  815
Balance at September 30, 2013$13,187 $97,816 $247,833 $(43,238) $9,245 $324,843
                    
Balance at December 31, 2011$12,912 $89,725 $180,710 $(28,967) $6,977 $261,357
 Net income 0  0  34,398  0  2,075  36,473
 Amounts reported in other comprehensive income 0  0  0  742  94  836
 Dividends ($0.73 per share) 0  0  (9,516)  0  0  (9,516)
 Dividends paid to noncontrolling interests 0  0  0  0  (30)  (30)
 Share issuance and equity-based compensation plans 170  1,956  0  0  0  2,126
 Excess tax benefit from stock option exercises 0  2,164  0  0  0  2,164
Balance at September 30, 2012$13,082 $93,845 $205,592 $(28,225) $9,116 $293,410
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 June 30, 2013 $(1,646) $(45,046) $0 $1,440 $(45,252)
Other comprehensive income (loss) before reclassifications  2,527  (1,016)  0  494  2,005
Amounts reclassified from accumulated other comprehensive loss  0  1,019  0  (998)  21
Current period other comprehensive income (loss)  2,527  3  0  (504)  2,026
Related tax amounts  0  (183)  0  171  (12)
Net current period other comprehensive income (loss)  2,527  (180)  0  (333)  2,014
                
Balance at September 30, 2013 $881 $(45,226) $0 $1,107 $(43,238)
                
Balance at June 30, 2012 $1,182 $(33,206) $(73) $1,561 $(30,536)
Other comprehensive income (loss) before reclassifications  1,604  (312)  38  774  2,104
Amounts reclassified from accumulated other comprehensive loss  0  746  74  (122)  698
Current period other comprehensive income  1,604  434  112  652  2,802
Related tax amounts  0  (230)  (39)  (222)  (491)
Net current period other comprehensive income  1,604  204  73  430  2,311
                
Balance at September 30, 2012 $2,786 $(33,002) $0 $1,991 $(28,225)

           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  (2,455)  (468)  0  1,353  (1,570)
Amounts reclassified from accumulated other comprehensive loss  0  3,140  0  (2,286)  854
Current period other comprehensive (loss) income  (2,455)  2,672  0  (933)  (716)
Related tax amounts  0  (984)  0  317  (667)
Net current period other comprehensive (loss) income  (2,455)  1,688  0  (616)  (1,383)
                
Balance at September 30, 2013 $881 $(45,226) $0 $1,107 $(43,238)
                
Balance at December 31, 2011 $4,709 $(34,260) $(272) $856 $(28,967)
Other comprehensive (loss) income before reclassifications  (1,923)  (204)  26  2,363  262
Amounts reclassified from accumulated other comprehensive loss  0  2,243  392  (644)  1,991
Current period other comprehensive (loss) income  (1,923)  2,039  418  1,719  2,253
Related tax amounts  0  (781)  (146)  (584)  (1,511)
Net current period other comprehensive (loss) income  (1,923)  1,258  272  1,135  742
                
Balance at September 30, 2012 $2,786 $(33,002) $0 $1,991 $(28,225)