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Market Risks and Derivative Hedge Contracts Market Risks and Derivative Hedge Contracts (Tables)
9 Months Ended
Sep. 30, 2014
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Notional Amounts of Outstanding Derivative Positions Table
Derivative Contracts
 
US Dollar Notional Amount
 
Traded Exchange Rate
 
Settlement Date

 
(In Thousands)
 

 

Forward purchase pounds sterling
 
$
4,983

 
1.62
 
10/15/2014
Forward purchase Brazil real
 
$
2,150

 
2.45
 
10/15/2014
Forward purchase Canadian dollar
 
$
2,785

 
1.12
 
10/15/2014
Forward sale Mexican peso
 
$
9,614

 
13.43
 
10/15/2014
Forward purchase Argentina peso
 
$
3,823

 
8.60
 
10/15/2014
Forward purchase Canadian dollar
 
$
2,266

 
1.12
 
10/15/2014
Forward purchase Mexican peso
 
$
2,249

 
13.43
 
10/15/2014
Derivatives Designated as Hedging Instruments Table
Foreign currency derivative instruments
Balance Sheet Location
 
 Fair Value at
September 30, 2014

 

 
(In Thousands)
Forward purchase contracts
 
Current assets
 
$
181

Forward sale contracts
 
Current liabilities
 
(147
)
Forward purchase contracts
 
Current liabilities
 
(104
)
Total
 

 
$
(70
)