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CLOSURE AND POST-CLOSURE LIABILITIES (Changes in Post-Closure Liabilities) (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2015
Dec. 31, 2014
Changes to post-closure liabilities    
Balance at the beginning of the period $ 50,701 $ 47,085
Liabilities assumed in TFI acquisition 1,676  
New asset retirement obligations 3,151 3,595
Accretion 4,638 4,458
Changes in estimates recorded to statement of income 43 (649)
Changes in estimates recorded to balance sheet 2,942 (1,304)
Expenditures (6,123) (2,126)
Currency translation and other (779) (358)
Balance at the end of the period $ 56,249 $ 50,701
Senior secured notes | Senior unsecured notes, at 5.25%, due August 1, 2020    
Changes to post-closure liabilities    
Asset retirement obligations discount rate (as a percent) 5.99% 6.54%
Landfill Retirement Liability    
Changes to post-closure liabilities    
Balance at the beginning of the period $ 29,932 $ 27,604
Liabilities assumed in TFI acquisition 0  
New asset retirement obligations 3,151 3,595
Accretion 2,516 2,583
Changes in estimates recorded to statement of income (162) (722)
Changes in estimates recorded to balance sheet 2,942 (1,304)
Expenditures (5,946) (1,580)
Currency translation and other (410) (244)
Balance at the end of the period 32,023 29,932
Non-Landfill Retirement Liability    
Changes to post-closure liabilities    
Balance at the beginning of the period 20,769 19,481
Liabilities assumed in TFI acquisition 1,676  
Accretion 2,122 1,875
Changes in estimates recorded to statement of income 205 73
Changes in estimates recorded to balance sheet 0 0
Expenditures (177) (546)
Currency translation and other (369) (114)
Balance at the end of the period $ 24,226 $ 20,769