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Segment Reporting (Tables)
9 Months Ended
Sep. 30, 2012
Segment Reporting [Abstract]  
Schedule Of Segment Reporting Information By Segment
  Three Months
Ended September 30
Nine Months
Ended September 30
(In Thousands) 2012 2011 2012 2011
Net Sales                        
Film Products $ 155,296   $ 129,733   $ 459,221   $ 393,289  
Aluminum Extrusions   55,222     66,815     172,525     186,712  
Other   2,161     1,406     2,970     1,702  
Total net sales   212,679     197,954     634,716     581,703  
Add back freight   6,130     4,636     17,404     13,377  
Sales as shown in the Consolidated Statements of Income $ 218,809   $ 202,590   $ 652,120   $ 595,080  
 
Operating Profit                        
Film Products:                        
Ongoing operations $ 21,092   $ 15,485   $ 49,999   $ 43,872  
Plant shutdowns, asset impairments, restructurings and other   (87 )   (1,435 )   (1,879 )   (2,519 )
 
Aluminum Extrusions:                        
Ongoing operations   1,846     2,301     7,349     2,539  
Plant shutdowns, asset impairments, restructurings and other   (1,067 )   (43 )   (3,214 )   19  
 
Other:                        
Ongoing operations   503     778     687     610  
 
Total   22,287     17,086     52,942     44,521  
Interest income   84     278     337     778  
Interest expense   708     367     2,732     1,083  
Gain on investment accounted for under fair value method   2,700     -     9,000     -  
Stock option-based compensation costs   386     474     1,147     1,481  
Corporate expenses, net   4,789     3,920     17,206     10,954  
Income from continuining operations before income taxes   19,188     12,603     41,194     31,781  
Income taxes from continuing operations   4,661     (133 )   11,516     6,329  
Income from continuing operations   14,527     12,736     29,678     25,452  
Loss from discontinued operations   (7,100 )   -     (11,900 )   (345 )
Net income $ 7,427   $ 12,736   $ 17,778   $ 25,107  
Schedule Of Identifiable Assets By Segment
(In Thousands) September 30,
2012
December 31,
2011
Film Products $ 548,591 $ 574,571
Aluminum Extrusions   75,562   78,661
Other   21,555   17,520
Subtotal   645,708   670,752
General corporate   48,006   40,919
Cash and cash equivalents   44,167   68,939
Total $ 737,881 $ 780,610