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Translation Adjustments (Tables)
12 Months Ended
Dec. 31, 2012
Translation Adjustments [Abstract]  
Schedule of Effect of Translation on Cash Flow
(in thousands)   2012   2011   2010
                   
Change in cumulative translation adjustments   $18,287     ($13,070 )   ($10,208 )
Other noncurrent liabilities   1,352     (1,209 )   877  
Deferred taxes   (7,895 )   1,204     2,562  
Accounts receivable   (1,119 )   4,284     2,066  
Inventories   (779 )   2,756     (218 )
Property, plant and equipment, net   (7,859 )   2,789     (8,626 )
Goodwill and intangibles   (1,053 )   2,449     4,665  
Other   (1,015 )   (2,576 )   (403 )
Effect of exchange rate changes   ($81 )   ($3,373 )   ($9,285 )
Schedule of Cumulative Translation Adjustments
(in thousands)   2012   2011   2010
                   
Translation of non-U.S. subsidiaries   $16,589     ($17,061 )   $17,364  
Gain/(loss) on long-term intercompany loans   1,698     3,991     (27,572 )
Effect of exchange rate changes   $18,287     ($13,070 )   ($10,208 )