0001193125-11-280536.txt : 20111026 0001193125-11-280536.hdr.sgml : 20111026 20111025180553 ACCESSION NUMBER: 0001193125-11-280536 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 11 CONFORMED PERIOD OF REPORT: 20110930 FILED AS OF DATE: 20111026 DATE AS OF CHANGE: 20111025 FILER: COMPANY DATA: COMPANY CONFORMED NAME: RYDER SYSTEM INC CENTRAL INDEX KEY: 0000085961 STANDARD INDUSTRIAL CLASSIFICATION: SERVICES-AUTO RENTAL & LEASING (NO DRIVERS) [7510] IRS NUMBER: 590739250 STATE OF INCORPORATION: FL FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-04364 FILM NUMBER: 111157617 BUSINESS ADDRESS: STREET 1: 11690 N.W. 105TH STREET CITY: MIAMI STATE: FL ZIP: 33178 BUSINESS PHONE: 3055003726 MAIL ADDRESS: STREET 1: 11690 N.W. 105TH STREET CITY: MIAMI STATE: FL ZIP: 33178 10-Q 1 d245472d10q.htm FORM 10-Q FORM 10-Q
Table of Contents

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM 10-Q

 

þ   

QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d)

OF THE SECURITIES EXCHANGE ACT OF 1934

 

FOR THE QUARTERLY PERIOD ENDED SEPTEMBER 30, 2011

OR

 

¨   

TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d)

OF THE SECURITIES EXCHANGE ACT OF 1934

 

FOR THE TRANSITION PERIOD FROM                      TO                     

Commission File Number: 1-4364

LOGO

RYDER SYSTEM, INC.

(Exact name of registrant as specified in its charter)

 

Florida   59-0739250
(State or other jurisdiction of incorporation or organization)   (I.R.S. Employer Identification No.)
11690 N.W. 105th Street  
Miami, Florida 33178   (305) 500-3726
(Address of principal executive offices, including zip code)   (Registrant’s telephone number, including area code)

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days. YES þ        NO ¨

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Website, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§ 232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files). YES þ        NO ¨

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See the definitions of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act.

 

Large accelerated filer þ   Accelerated filer ¨   Non-accelerated filer ¨   Smaller reporting company ¨
  (Do not check if a smaller reporting company)  

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act) ¨ YES        þ NO

The number of shares of Ryder System, Inc. Common Stock ($0.50 par value per share) outstanding at September 30, 2011 was 51,125,400.

 

 

 


Table of Contents

RYDER SYSTEM, INC.

FORM 10-Q QUARTERLY REPORT

TABLE OF CONTENTS

 

           Page No.  

PART I       FINANCIAL INFORMATION

  

ITEM 1       Financial Statements (unaudited)

  
  Consolidated Condensed Statements of Earnings — Three and nine months ended September 30, 2011 and 2010      1
  Consolidated Condensed Balance Sheets — September 30, 2011 and December 31, 2010      2
  Consolidated Condensed Statements of Cash Flows — Nine months ended September 30, 2011 and 2010      3
  Consolidated Condensed Statement of Shareholders’ Equity — Nine months ended September 30, 2011      4
  Notes to Consolidated Condensed Financial Statements      5

ITEM 2        Management’s Discussion and Analysis of Financial Condition and Results of Operations

   24

ITEM 3        Quantitative and Qualitative Disclosures About Market Risk

   45

ITEM 4       Controls and Procedures

   45

PART II       OTHER INFORMATION

  

ITEM 2        Unregistered Sales of Equity Securities and Use of Proceeds

   45

ITEM 6       Exhibits

   46
 

SIGNATURES

   47

 

i


Table of Contents

PART I. FINANCIAL INFORMATION

ITEM 1. FINANCIAL STATEMENTS

RYDER SYSTEM, INC. AND SUBSIDIARIES

CONSOLIDATED CONDENSED STATEMENTS OF EARNINGS

(unaudited)

 

     Three months ended September 30,     Nine months ended September 30,  
     2011     2010     2011     2010  
     (In thousands, except per share amounts)  

Revenue

   $ 1,570,720        1,316,948      $ 4,509,440        3,823,009   
  

 

 

   

 

 

   

 

 

   

 

 

 

Operating expense (exclusive of items shown separately)

     758,718        624,495        2,191,607        1,813,603   

Salaries and employee-related costs

     383,932        314,706        1,119,694        929,659   

Subcontracted transportation

     88,728        67,049        255,003        191,972   

Depreciation expense

     224,466        209,929        645,261        627,695   

Gains on vehicle sales, net

     (18,270     (6,904     (46,277     (18,009

Equipment rental

     14,468        16,463        43,430        49,532   

Interest expense

     32,745        31,897        100,138        96,385   

Miscellaneous income, net

     (1,722     (2,685     (6,459     (4,525

Restructuring and other charges, net

                   768          
  

 

 

   

 

 

   

 

 

   

 

 

 
     1,483,065        1,254,950        4,303,165        3,686,312   
  

 

 

   

 

 

   

 

 

   

 

 

 

Earnings from continuing operations before income taxes

     87,655        61,998        206,275        136,697   

Provision for income taxes

     30,722        22,324        82,571        53,551   
  

 

 

   

 

 

   

 

 

   

 

 

 

Earnings from continuing operations

     56,933        39,674        123,704        83,146   

Loss from discontinued operations, net of tax

     (409     (839     (2,022     (2,097
  

 

 

   

 

 

   

 

 

   

 

 

 

Net earnings

   $ 56,524        38,835      $ 121,682        81,049   
  

 

 

   

 

 

   

 

 

   

 

 

 

Earnings (loss) per common share — Basic

        

Continuing operations

   $ 1.11        0.76      $ 2.41        1.58   

Discontinued operations

     (0.01     (0.02     (0.04     (0.04
  

 

 

   

 

 

   

 

 

   

 

 

 

Net earnings

   $ 1.10        0.74      $ 2.37        1.54   
  

 

 

   

 

 

   

 

 

   

 

 

 

Earnings (loss) per common share — Diluted

        

Continuing operations

   $ 1.10        0.76      $ 2.39        1.57   

Discontinued operations

            (0.02     (0.04     (0.04
  

 

 

   

 

 

   

 

 

   

 

 

 

Net earnings

   $ 1.10        0.74      $ 2.35        1.53   
  

 

 

   

 

 

   

 

 

   

 

 

 

Cash dividends declared and paid per common share

   $ 0.29        0.27      $ 0.83        0.77   
  

 

 

   

 

 

   

 

 

   

 

 

 

See accompanying notes to consolidated condensed financial statements.

 

1


Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

CONSOLIDATED CONDENSED BALANCE SHEETS

(unaudited)

 

     September 30,
2011
    December 31,
2010
 
    

(Dollars in thousands, except per

share amount)

 

Assets:

    

Current assets:

    

Cash and cash equivalents

   $ 115,786        213,053   

Receivables, net

     758,693        615,003   

Inventories

     64,462        58,701   

Prepaid expenses and other current assets

     159,465        136,544   
  

 

 

   

 

 

 

Total current assets

     1,098,406        1,023,301   

Revenue earning equipment, net of accumulated depreciation of $3,387,027 and $3,247,400, respectively

     4,827,916        4,201,218   

Operating property and equipment, net of accumulated depreciation of $903,984 and $880,757, respectively

     627,344        606,843   

Goodwill

     379,239        355,842   

Intangible assets

     86,021        72,269   

Direct financing leases and other assets

     426,849        392,901   
  

 

 

   

 

 

 

Total assets

   $ 7,445,775        6,652,374   
  

 

 

   

 

 

 

Liabilities and shareholders’ equity:

    

Current liabilities:

    

Short-term debt and current portion of long-term debt

   $ 255,359        420,124   

Accounts payable

     408,460        294,380   

Accrued expenses and other current liabilities

     499,080        417,015   
  

 

 

   

 

 

 

Total current liabilities

     1,162,899        1,131,519   

Long-term debt

     2,943,235        2,326,878   

Other non-current liabilities

     697,401        680,808   

Deferred income taxes

     1,190,812        1,108,856   
  

 

 

   

 

 

 

Total liabilities

     5,994,347        5,248,061   
  

 

 

   

 

 

 

Shareholders’ equity:

    

Preferred stock of no par value per share — authorized, 3,800,917; none outstanding, September 30, 2011 or December 31, 2010

              

Common stock of $0.50 par value per share — authorized, 400,000,000; outstanding, September 30, 2011 — 51,125,400; December 31, 2010 — 51,174,757

     25,563        25,587   

Additional paid-in capital

     760,302        735,540   

Retained earnings

     1,062,460        1,019,785   

Accumulated other comprehensive loss

     (396,897     (376,599
  

 

 

   

 

 

 

Total shareholders’ equity

     1,451,428        1,404,313   
  

 

 

   

 

 

 

Total liabilities and shareholders’ equity

   $ 7,445,775        6,652,374   
  

 

 

   

 

 

 

See accompanying notes to consolidated condensed financial statements.

 

2


Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

CONSOLIDATED CONDENSED STATEMENTS OF CASH FLOWS

(unaudited)

 

     Nine months ended September 30,  
     2011     2010  
     (In thousands)  

Cash flows from operating activities from continuing operations:

    

Net earnings

   $ 121,682        81,049   

Less: Loss from discontinued operations, net of tax

     (2,022     (2,097
  

 

 

   

 

 

 

Earnings from continuing operations

     123,704        83,146   

Depreciation expense

     645,261        627,695   

Gains on vehicle sales, net

     (46,277     (18,009

Share-based compensation expense

     12,637        12,203   

Amortization expense and other non-cash charges, net

     27,971        27,564   

Deferred income tax expense

     68,154        21,568   

Changes in operating assets and liabilities, net of acquisitions:

    

Receivables

     (104,520     (29,367

Inventories

     (4,869     (3,132

Prepaid expenses and other assets

     (18,725     (517

Accounts payable

     20,287        9,334   

Accrued expenses and other non-current liabilities

     58,680        73,677   
  

 

 

   

 

 

 

Net cash provided by operating activities from continuing operations

     782,303        804,162   
  

 

 

   

 

 

 

Cash flows from financing activities from continuing operations:

    

Net change in commercial paper borrowings

     (101,964     (48,000

Debt proceeds

     966,399        314,511   

Debt repaid, including capital lease obligations

     (417,955     (239,560

Dividends on common stock

     (42,689     (40,603

Common stock issued

     26,213        11,124   

Common stock repurchased

     (51,425     (91,926

Excess tax benefits from share-based compensation

     1,575        641   

Debt issuance costs

     (8,016     (2,195
  

 

 

   

 

 

 

Net cash provided by (used in) financing activities from continuing operations

     372,138        (96,008
  

 

 

   

 

 

 

Cash flows from investing activities from continuing operations:

    

Purchases of property and revenue earning equipment

     (1,165,135     (860,902

Sales of revenue earning equipment

     216,055        159,012   

Sales of operating property and equipment

     7,869        2,821   

Acquisitions

     (362,184     (6,789

Collections on direct finance leases

     46,136        45,941   

Changes in restricted cash

     2,821        (6,430

Other, net

            1,950   
  

 

 

   

 

 

 

Net cash used in investing activities from continuing operations

     (1,254,438     (664,397
  

 

 

   

 

 

 

Effect of exchange rate changes on cash

     3,848        6   
  

 

 

   

 

 

 

(Decrease) increase in cash and cash equivalents from continuing operations

     (96,149     43,763   
  

 

 

   

 

 

 

Cash flows from discontinued operations:

    

Operating cash flows

     (910     (6,010

Financing cash flows

     (143     (2,941

Investing cash flows

            1,624   

Effect of exchange rate changes on cash

     (65     (265
  

 

 

   

 

 

 

Decrease in cash and cash equivalents from discontinued operations

     (1,118     (7,592
  

 

 

   

 

 

 

(Decrease) increase in cash and cash equivalents

     (97,267     36,171   

Cash and cash equivalents at January 1

     213,053        98,525   
  

 

 

   

 

 

 

Cash and cash equivalents at September 30

   $ 115,786        134,696   
  

 

 

   

 

 

 

See accompanying notes to consolidated condensed financial statements.

 

3


Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

CONSOLIDATED CONDENSED STATEMENT OF SHAREHOLDERS’ EQUITY

(unaudited)

 

     Preferred
Stock
    

 

 

Common Stock

    Additional
Paid-In
Capital
    Retained
Earnings
    Accumulated
Other
Comprehensive
Loss
    Total  
     Amount      Shares     Par          
     (Dollars in thousands, except per share amount)  

Balance at December 31, 2010

   $         51,174,757      $ 25,587        735,540        1,019,785        (376,599     1,404,313   
               

 

 

 

Components of comprehensive income:

               

Net earnings

                                  121,682               121,682   

Foreign currency translation adjustments

                                         (27,428     (27,428

Amortization of pension and postretirement items, net of tax

                                         8,650        8,650   

Change in net actuarial loss, net of tax

                                         (1,520     (1,520
               

 

 

 

Total comprehensive income

                  101,384   

Common stock dividends declared and paid — $0.83 per share

                                  (42,689            (42,689

Common stock issued under employee stock option and stock purchase plans (1)

             986,690        493        26,318                      26,811   

Benefit plan stock purchases (2)

             (13,076     (7     (591                   (598

Common stock repurchases

             (1,022,971     (510     (14,597     (36,318            (51,425

Share-based compensation

                           12,637                      12,637   

Tax benefits from share-based compensation

                           995                      995   
  

 

 

    

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Balance at September 30, 2011

   $         51,125,400      $ 25,563        760,302        1,062,460        (396,897     1,451,428   
  

 

 

    

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

 

 

(1) Net of common shares delivered as payment for the exercise price or to satisfy the option holders’ withholding tax liability upon exercise of options.

 

(2) Represents open-market transactions of common shares by the trustee of Ryder’s deferred compensation plans.

See accompanying notes to consolidated condensed financial statements.

 

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Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS

(unaudited)

(A) INTERIM FINANCIAL STATEMENTS

The accompanying unaudited Consolidated Condensed Financial Statements include the accounts of Ryder System, Inc. (Ryder) and all entities in which Ryder has a controlling voting interest (“subsidiaries”), and variable interest entities (VIEs) required to be consolidated in accordance with accounting principles generally accepted in the United States of America (U.S. GAAP). The accompanying unaudited Consolidated Condensed Financial Statements have been prepared in accordance with the accounting policies described in our 2010 Annual Report on Form 10-K and should be read in conjunction with the Consolidated Financial Statements and notes thereto. These financial statements do not include all of the information and footnotes required by U.S. GAAP for complete financial statements. In the opinion of management, all adjustments (consisting of normal recurring accruals) considered necessary for a fair statement have been included and the disclosures herein are adequate. The operating results for interim periods are unaudited and are not necessarily indicative of the results that can be expected for a full year.

(B) ACCOUNTING CHANGES

In September 2009, the Financial Accounting Standards Board (FASB) issued accounting guidance which amends the criteria for allocating a contract’s consideration to individual services or products in multiple-deliverable arrangements. The guidance requires that the best estimate of selling price be used when vendor specific objective or third-party evidence for deliverables cannot be determined. This guidance is effective for us for revenue arrangements entered into or materially modified after December 31, 2010. The adoption of this accounting guidance did not have a material impact on our consolidated financial position, results of operations or cash flows.

(C) ACQUISITIONS

Hill Hire plc — On June 8, 2011, we acquired all of the common stock of Hill Hire plc (Hill Hire), a U.K. based full service leasing, rental and maintenance company for a purchase price of $251.5 million, net of cash acquired, all of which has been paid as of September 30, 2011. The acquisition included Hill Hire’s fleet of approximately 8,000 full service lease and 5,700 rental vehicles, and approximately 400 contractual customers. The acquired fleet included 9,700 trailers. The combined network operates under the Ryder name, complementing our Fleet Management Solutions (FMS) business segment market coverage in the U.K. Transaction costs related to the Hill Hire acquisition, all of which were included in “Operating Expense” in the Consolidated Condensed Statement of Earnings, were $2.2 million for the nine months ended September 30, 2011.

The preliminary purchase price allocations and resulting impact on the September 30, 2011 Consolidated Condensed Balance Sheet relating to the Hill Hire acquisition was as follows:

     (In thousands)  

Assets:

  

Revenue earning equipment

   $ 200,376   

Operating property and equipment

     18,780   

Customer relationships and other intangibles

     9,150   

Other assets, primarily accounts receivable

     60,143   
  

 

 

 
     288,449   

Liabilities, primarily accrued liabilities

     (36,954
  

 

 

 

Net assets acquired

   $ 251,495   
  

 

 

 

Total Logistic Control — On December 31, 2010, we acquired all of the common stock of Total Logistic Control (TLC), a leading provider of comprehensive supply chain solutions to food, beverage, and consumer packaged goods manufacturers in the U.S. TLC provides customers a broad suite of end-to-end services, including distribution management, contract packaging services and solutions engineering. This acquisition enhances our Supply Chain Solutions (SCS) capabilities and growth prospects in the areas of packaging and warehousing, including temperature-controlled facilities. The purchase price was $207.1 million, of which $3.4 million was paid during the nine months ended September 30, 2011. No further payments are due related to this acquisition. During the nine months ended September 30, 2011, the purchase price was reduced by $1.5 million due to contractual adjustments in acquired deferred taxes and working capital. As of September 30, 2011, goodwill and customer relationship intangibles related to the TLC acquisition were $133.3 million and $35.0 million, respectively.

Pro Forma Information — The operating results of Hill Hire and TLC have been included in the consolidated condensed financial statements from the date of acquisition. The following table provides the unaudited pro forma revenues, net earnings and earnings per common share as if the results of the Hill Hire acquisition had been included in operations commencing January 1, 2010, and the TLC acquisition had been included in operations commencing January 1, 2009. This pro forma information is not necessarily indicative either of the combined results of operations that actually would have been realized had the acquisition been consummated during the periods for which the pro forma information is presented, or of future results.

 

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RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

     Three months ended September 30,      Nine months ended September 30,  
     2011      2010      2011      2010  
     (In thousands, except per share amounts)  

Revenue — As reported

   $ 1,570,720         1,316,948       $ 4,509,440         3,823,009   

Revenue — Pro forma

   $ 1,570,720         1,438,920       $ 4,577,010         4,122,729   

Net earnings — As reported

   $ 56,524         38,835       $ 121,682         81,049   

Net earnings — Pro forma

   $ 56,524         44,290       $ 135,337         95,601   

Net earnings per common share:

           

Basic — As reported

   $ 1.10         0.74       $ 2.37         1.54   

Basic — Pro forma

   $ 1.10         0.85       $ 2.64         1.81   

Diluted — As reported

   $ 1.10         0.74       $ 2.35         1.53   

Diluted — Proforma

   $ 1.10         0.85       $ 2.62         1.81   

During 2011 we completed several additional acquisitions as discussed below. Pro forma information for these acquisitions is not disclosed because the effect of these acquisitions is not significant.

B.I.T. Leasing Inc. — On April 1, 2011, we acquired the assets of B.I.T. Leasing, Inc. (BIT), a full service truck leasing and fleet services company located in Hayward, California, for a purchase price of $13.8 million. Approximately $13.2 million of the purchase price has been paid as of September 30, 2011. This agreement complements a 2010 acquisition whereby we acquired a portion of BIT’s fleet of full service lease and rental vehicles and contractual customers. The combination of both acquisitions included BIT’s fleet of approximately 490 full service lease and rental vehicles, 70 contract maintenance vehicles and 130 contractual customers. As of September 30, 2011, goodwill and customer relationship intangibles related to the BIT acquisition were $1.4 million and $0.5 million, respectively. The combined network operates under the Ryder name, complementing our FMS business segment market coverage in California.

The Scully Companies — On January 28, 2011, we acquired the common stock of The Scully Companies, Inc.’s (Scully) FMS business and the assets of Scully’s Dedicated Contract Carriage (DCC) business. The acquisition included Scully’s fleet of approximately 1,800 full service lease and 300 rental vehicles, and approximately 200 contractual customers. The purchase price was $91.0 million, of which $84.6 million has been paid as of September 30, 2011. During 2011, the purchase price was decreased by $0.2 million due to the settlement of working capital related items. The purchase price included $14.4 million in contingent consideration to be paid to the seller provided acquired customers are retained for a specified period. During the three months ended September 30, 2011, $13.4 million of this contingent consideration was paid and the remaining amount is expected to be paid by the end of the year. As of September 30, 2011, the fair value of the contingent consideration has been reflected within “Accrued expenses and other current liabilities” in our Consolidated Condensed Balance Sheet. See Note (N), “Fair Value Measurements,” for additional information. As of September 30, 2011, goodwill and customer relationship intangibles related to the Scully acquisition were $27.5 million and $11.1 million, respectively. The combined network operates under the Ryder name, complementing our FMS and DCC business segments market coverage in the Western United States.

Carmenita Leasing, Inc. — On January 10, 2011, we acquired the assets of Carmenita Leasing, Inc. (Carmenita), a full service leasing and rental business located in Santa Fe Springs, California, for a purchase price of $9.0 million. The acquisition included Carmenita’s fleet of approximately 190 full service lease and rental vehicles, and 60 contractual customers. Approximately $8.8 million of the purchase price has been paid as of September 30, 2011. As of September 30, 2011, goodwill and customer relationship intangibles related to the Carmenita acquisition were $0.3 million and $0.3 million, respectively. The combined network operates under the Ryder name, complementing our FMS business segment market coverage in California.

For the three months ended September 30, 2011, all acquisitions had combined revenue and net earnings of $143.4 million and $10.9 million, respectively. For the nine months ended September 30, 2011, the acquisitions had combined revenue and net earnings of $338.8 million and $18.9 million, respectively.

The initial recording of revenue earning equipment in each of the 2011 acquisitions was based on preliminary valuation assessments. As new information is obtained about facts and circumstances that existed as of the acquisition date, the valuation of revenue earning equipment may change. During the nine months ended September 30, 2011 and 2010, we paid $0.7 million and $6.8 million, respectively, related to other acquisitions completed in prior years.

 

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Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

(D) DISCONTINUED OPERATIONS

In 2009, we ceased SCS service operations in Brazil, Argentina, Chile and European markets. Accordingly, results of these operations, financial position and cash flows are separately reported as discontinued operations for all periods presented either in the Consolidated Condensed Financial Statements or notes thereto.

Summarized results of discontinued operations were as follows:

     Three months ended September 30,     Nine months ended September 30,  
     2011     2010     2011     2010  
     (In thousands)  

Pre-tax loss from discontinued operations

   $ (371     (854   $ (2,087     (2,191

Income tax (expense) benefit

     (38     15        65        94   
  

 

 

   

 

 

   

 

 

   

 

 

 

Loss from discontinued operations, net of tax

   $ (409     (839   $ (2,022     (2,097
  

 

 

   

 

 

   

 

 

   

 

 

 

Results of discontinued operations in 2011 and 2010 included losses related to adverse legal developments and professional and administrative fees partially offset by insurance and receivable recoveries associated with our discontinued South American operations.

The following is a summary of assets and liabilities of discontinued operations:

     September 30,      December 31,  
     2011      2010  
     (In thousands)  

Total assets, primarily deposits

   $ 4,570         6,346   

Total liabilities, primarily contingent accruals

   $ 6,667         7,882   

 

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Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

(E) SHARE-BASED COMPENSATION PLANS

Share-based incentive awards are provided to employees under the terms of various share-based compensation plans (collectively, the “Plans”). The Plans are administered by the Compensation Committee of the Board of Directors. Awards under the Plans principally include at-the-money stock options, nonvested stock and cash awards. Share-based compensation expense is generally recorded in “Salaries and employee-related costs” in the Consolidated Condensed Statements of Earnings.

The following table provides information on share-based compensation expense and income tax benefits recognized during the periods:

     Three months ended September 30,     Nine months ended September 30,  
     2011     2010     2011     2010  
     (In thousands)  

Stock option and stock purchase plans

   $ 2,370        2,311      $ 6,974        6,803   

Nonvested stock

     1,927        1,876        5,663        5,400   
  

 

 

   

 

 

   

 

 

   

 

 

 

Share-based compensation expense

     4,297        4,187        12,637        12,203   

Income tax benefit

     (1,425     (1,408     (4,212     (4,149
  

 

 

   

 

 

   

 

 

   

 

 

 

Share-based compensation expense, net of tax

   $ 2,872        2,779      $ 8,425        8,054   
  

 

 

   

 

 

   

 

 

   

 

 

 

During the nine months ended September 30, 2011 and 2010, approximately 710,000 and 900,000 stock options, respectively, were granted under the Plans. These awards generally vest evenly over a three year period from the date of grant and have contractual terms of seven years. The fair value of each option award at the date of grant was estimated using a Black-Scholes-Merton option-pricing valuation model. The weighted-average fair value per option granted during the nine months ended September 30, 2011 and 2010 was $12.88 and $8.93, respectively.

During the nine months ended September 30, 2011 and 2010, approximately 140,000 and 190,000 market-based restricted stock rights, respectively, were granted under the Plans. Employees only receive the grant of stock if Ryder’s cumulative average total shareholder return (TSR) at least meets the S&P 500 cumulative average TSR over an applicable three-year period. The fair value of the market-based restricted stock rights was estimated using a lattice-based option-pricing valuation model that incorporates a Monte-Carlo simulation. The fair value of the market-based awards was determined and fixed on the grant date and considers the likelihood of Ryder achieving the market-based condition. The weighted-average fair value per market-based restricted stock right granted during the nine months ended September 30, 2011 and 2010 was $25.37 and $15.50, respectively.

During the nine months ended September 30, 2011 and 2010, approximately 200,000 and 70,000 time-vested restricted stock rights and restricted stock units (RSU), respectively, were granted under the plans. The time-vested restricted stock rights entitle the holder to shares of common stock as the awards vest over a three-year period. The fair value of the time-vested awards is determined and fixed on the date of grant based on Ryder’s stock price on the date of grant. The weighted-average fair value per time-vested restricted stock right and RSU granted during the nine months ended September 30, 2011 and 2010 was $52.78 and $39.47, respectively.

During the nine months ended September 30, 2011 and 2010, employees who received market-based restricted stock rights also received market-based cash awards. The awards have the same vesting provisions as the market-based restricted stock rights except that Ryder’s TSR must at least meet the TSR of the 33rd percentile of the S&P 500. The cash awards are accounted for as liability awards under the share-based compensation accounting guidance as the awards are based upon the performance of our common stock and are settled in cash. As a result, the liability is adjusted to reflect fair value at the end of each reporting period. The fair value of the cash awards was estimated using a lattice-based option-pricing valuation model that incorporates a Monte-Carlo simulation.

 

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Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

The following table is a summary of compensation expense recognized for cash awards in addition to the share-based compensation expense reported in the previous table:

     Three months ended September 30,    Nine months ended September 30,
     2011    2010    2011    2010
     (In thousands)

Cash awards

   $396    452    $1,216    1,224

Total unrecognized pre-tax compensation expense related to all share-based compensation arrangements at September 30, 2011 was $32.2 million and is expected to be recognized over a weighted-average period of 1.9 years.

(F) EARNINGS PER SHARE

We compute earnings per share using the two-class method. The two-class method of computing earnings per share is an earnings allocation formula that determines earnings per share for common stock and any participating securities according to dividends declared (whether paid or unpaid) and participation rights in undistributed earnings. Our nonvested stock are considered participating securities since the share-based awards contain a non-forfeitable right to dividend equivalents irrespective of whether the awards ultimately vest. Under the two-class method, earnings per common share are computed by dividing the sum of distributed earnings and undistributed earnings allocated to common shareholders by the weighted average number of common shares outstanding for the period. In applying the two-class method, undistributed earnings are allocated to both common shares and participating securities based on the weighted average shares outstanding during the period.

The following table presents the calculation of basic and diluted earnings per common share from continuing operations:

    Three months ended September 30,     Nine months ended September 30,  
    2011     2010     2011     2010  
    (In thousands, except per share amounts)  

Earnings per share — Basic:

       

Earnings from continuing operations

  $ 56,933        39,674      $ 123,704        83,146   

Less: Distributed and undistributed earnings allocated to nonvested stock

    (933     (576     (1,981     (1,146
 

 

 

   

 

 

   

 

 

   

 

 

 

Earnings from continuing operations available to common shareholders — Basic

  $ 56,000        39,098      $ 121,723        82,000   
 

 

 

   

 

 

   

 

 

   

 

 

 

Weighted average common shares outstanding — Basic

    50,426        51,409        50,533        52,044   
 

 

 

   

 

 

   

 

 

   

 

 

 

Earnings from continuing operations per common share — Basic

  $ 1.11        0.76      $ 2.41        1.58   
 

 

 

   

 

 

   

 

 

   

 

 

 

Earnings per share — Diluted:

       

Earnings from continuing operations

  $ 56,933        39,674      $ 123,704        83,146   

Less: Distributed and undistributed earnings allocated to nonvested stock

    (928     (576     (1,972     (1,146
 

 

 

   

 

 

   

 

 

   

 

 

 

Earnings from continuing operations available to common shareholders — Diluted

  $ 56,005        39,098      $ 121,732        82,000   
 

 

 

   

 

 

   

 

 

   

 

 

 

Weighted average common shares outstanding — Basic

    50,426        51,409        50,533        52,044   

Effect of dilutive options

    327        126        389        122   
 

 

 

   

 

 

   

 

 

   

 

 

 

Weighted average common shares outstanding — Diluted

    50,753        51,535        50,922        52,166   
 

 

 

   

 

 

   

 

 

   

 

 

 

Earnings from continuing operations per common share — Diluted

  $ 1.10        0.76      $ 2.39        1.57   
 

 

 

   

 

 

   

 

 

   

 

 

 

Anti-dilutive options not included above

    1,718        1,793        1,462        1,833   
 

 

 

   

 

 

   

 

 

   

 

 

 

 

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Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

(G) RESTRUCTURING AND OTHER CHARGES

Restructuring charges, net for the nine months ended September 30, 2011 represented $0.8 million of employee severance and benefit costs related to workforce reductions and termination costs associated with non-essential equipment contracts assumed in the Scully acquisition. There were no restructuring charges in the third quarter of 2011.

Activity related to restructuring reserves including discontinued operations were as follows:

    December 31, 2010
Balance
     Additions     Cash
Payments
    Foreign
Translation
Adjustments
     September 30,  2011
Balance
 
    (In thousands)        

Employee severance and benefits

  $ 234         405        316                323   

Contract termination costs

    3,813         375        1,259        34         2,963   
 

 

 

    

 

 

   

 

 

   

 

 

    

 

 

 

Total

  $ 4,047         780        1,575        34         3,286   
 

 

 

    

 

 

   

 

 

   

 

 

    

 

 

 

At September 30, 2011, the majority of outstanding restructuring obligations are required to be paid over the next two years.

(H) DIRECT FINANCING LEASE RECEIVABLES

We lease revenue earning equipment to customers for periods ranging from three to seven years for trucks and tractors and up to ten years for trailers. The majority of our leases are classified as operating leases. However, some of our revenue earning equipment leases are classified as direct financing leases and, to a lesser extent, sales-type leases. The net investment in direct financing and sales-type leases consisted of:

     September 30,
2011
    December 31,
2010
 
     (In thousands)  

Total minimum lease payments receivable

   $ 543,423        548,419   

Less: Executory costs

     (160,005     (171,076
  

 

 

   

 

 

 

Minimum lease payments receivable

     383,418        377,343   

Less: Allowance for uncollectibles

     (767     (784
  

 

 

   

 

 

 

Net minimum lease payments receivable

     382,651        376,559   

Unguaranteed residuals

     61,301        57,898   

Less: Unearned income

     (94,048     (96,522
  

 

 

   

 

 

 

Net investment in direct financing and sales-type leases

     349,904        337,935   

Current portion

     (66,506     (63,304
  

 

 

   

 

 

 

Non-current portion

   $ 283,398        274,631   
  

 

 

   

 

 

 

Our direct financing lease customers operate in a wide variety of industries, and we have no significant customer concentrations in any one industry. We assess credit risk for all of our customers including those who lease equipment under direct financing leases. Credit risk is assessed using an internally developed model which incorporates credit scores from third party providers and our own custom risk ratings and is updated on a monthly basis. The external credit scores are developed based on the customer’s historical payment patterns and an overall assessment of the likelihood of delinquent payments. Our internal ratings are weighted based on the industry that the customer operates, company size, years in business, and other credit-related indicators (i.e. profitability, cash flow, liquidity, tangible net worth, etc.). Any one of the following factors may result in a customer being classified as high risk: i) the customer has a history of late payments; ii) the customer has open lawsuits, liens or judgments; iii) the customer has been in business less than 3 years; and iv) the customer operates in an industry with low barriers to entry. For those customers who are designated as high risk, we typically require deposits to be paid in advance in order to mitigate our credit risk. Additionally, our receivables are collateralized by the vehicle’s fair value, which further mitigates our credit risk.

 

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Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

The following table presents the credit risk profile by creditworthiness category of our direct financing lease receivables:

     September 30,
2011
     December 31,
2010
 
     (In thousands)  

Very low risk to low risk

   $ 119,433         91,993   

Moderate risk

     201,873         218,547   

Moderately high risk to high risk

     62,112         66,803   
  

 

 

    

 

 

 
   $ 383,418         377,343   
  

 

 

    

 

 

 

The following table is a rollforward of the allowance for credit losses on direct financing lease receivables for the nine months ended September 30, 2011:

     (In thousands)  

Balance at December 31, 2010

   $ 784   

Charged to earnings

     318   

Deductions

     (335
  

 

 

 

Balance at September 30, 2011

   $ 767   
  

 

 

 

As of September 30, 2011, the amount of direct financing lease receivables which were past due was not significant and there were no impaired receivables. Accordingly, we do not believe there is a material risk of default with respect to the direct financing lease receivables as of September 30, 2011.

(I) REVENUE EARNING EQUIPMENT

       September 30, 2011        December 31, 2010  
       Cost        Accumulated
Depreciation
     Net  Book
Value(1)
       Cost        Accumulated
Depreciation
     Net  Book
Value(1)
 
           (In thousands)  

Held for use:

    

Full service lease

     $ 5,917,192           (2,527,808      3,389,384           5,639,410           (2,408,126      3,231,284   

Commercial rental

       2,053,111           (685,436      1,367,675           1,549,094           (647,764      901,330   

Held for sale

       244,640           (173,783      70,857           260,114           (191,510      68,604   
    

 

 

      

 

 

    

 

 

      

 

 

      

 

 

    

 

 

 

Total

     $ 8,214,943           (3,387,027      4,827,916           7,448,618           (3,247,400      4,201,218   
    

 

 

      

 

 

    

 

 

      

 

 

      

 

 

    

 

 

 

 

 

(1) Revenue earning equipment, net includes vehicles acquired under capital leases of $24.7 million, less accumulated depreciation of $15.2 million, at September 30, 2011, and $29.2 million, less accumulated depreciation of $18.5 million, at December 31, 2010.

At the end of 2010, we completed our annual review of residual values and useful lives of revenue earning equipment. Based on the results of our analysis, we adjusted the estimated residual values of certain classes of revenue earning equipment effective January 1, 2011. The change in estimated residual values increased pre-tax earnings for the three and nine months ended September 30, 2011 by approximately $1.4 million and $4.1 million, respectively. In the three and nine months ended September 30, 2011, we recognized $0.1 million and $0.2 million, respectively, of accelerated depreciation for select vehicles that were expected to be sold by the end of 2011. In the three and nine months ended September 30, 2010, we recognized $1.5 million and $5.0 million, respectively, of accelerated depreciation for select vehicles that were expected to be sold by the end of 2010.

 

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Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

(J) GOODWILL

The carrying amount of goodwill attributable to each reportable business segment with changes therein was as follows:

     Fleet
Management
Solutions
     Supply
Chain
Solutions
     Dedicated
Contract
Carriage
       Total  
     (In thousands)  

Balance at January 1, 2011:

             

Goodwill

   $ 202,941         177,222         4,900           385,063   

Accumulated impairment losses

     (10,322      (18,899                (29,221
  

 

 

    

 

 

    

 

 

      

 

 

 
     192,619         158,323         4,900           355,842   

Acquisitions

     14,356                 14,853           29,209   

Purchase accounting adjustments

             (5,042                (5,042

Foreign currency translation adjustment

     (337      (433                (770
  

 

 

    

 

 

    

 

 

      

 

 

 

Balance at September 30, 2011:

             

Goodwill

     216,960         171,747         19,753           408,460   

Accumulated impairment losses

     (10,322      (18,899                (29,221
  

 

 

    

 

 

    

 

 

      

 

 

 
   $   206,638           152,848           19,753             379,239   
  

 

 

    

 

 

    

 

 

      

 

 

 

Purchase accounting adjustments related primarily to changes in deferred tax liabilities and evaluations of the physical and market condition of operating property and equipment. We did not recast the December 31, 2010 balance sheet as the adjustments are not material.

We assess goodwill for impairment on April 1st of each year or more often if deemed necessary. On April 1, 2011, we completed our annual goodwill impairment test and determined there was no impairment.

(K) ACCRUED EXPENSES AND OTHER LIABILITIES

     September 30, 2011      December 31, 2010  
     Accrued
Expenses
     Non-Current
Liabilities
     Total      Accrued
Expenses
     Non-Current
Liabilities
     Total  
         (In thousands)  

Salaries and wages

   $ 103,278                 103,278         81,037                 81,037   

Deferred compensation

     1,260         18,761         20,021         1,965         21,258         23,223   

Pension benefits

     2,952         345,073         348,025         2,984         333,074         336,058   

Other postretirement benefits

     3,375         43,012         46,387         3,382         43,787         47,169   

Employee benefits

     9,841                 9,841         2,251                 2,251   

Insurance obligations, primarily self-insurance

     121,402         154,218         275,620         110,697         148,639         259,336   

Residual value guarantees

     2,837         1,555         4,392         2,301         2,196         4,497   

Accrued rent

     3,244         10,482         13,726         2,397         16,787         19,184   

Deferred vehicle gains

     461         990         1,451         473         1,374         1,847   

Environmental liabilities

     4,650         9,614         14,264         5,145         8,908         14,053   

Asset retirement obligations

     5,599         12,442         18,041         3,868         12,319         16,187   

Operating taxes

     105,109                 105,109         73,095                 73,095   

Income taxes

     791         76,728         77,519         2,559         73,849         76,408   

Interest

     25,592                 25,592         30,478                 30,478   

Deposits, mainly from customers

     36,897         12,769         49,666         31,755         7,538         39,293   

Deferred revenue

     19,648         1,726         21,374         15,956         4,646         20,602   

Acquisition holdbacks

     7,667                 7,667         6,177                 6,177   

Other

     44,477         10,031         54,508         40,495         6,433         46,928   
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

Total

   $   499,080         697,401         1,196,481           417,015           680,808         1,097,823   
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

 

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Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

(L) INCOME TAXES

Uncertain Tax Positions

We are subject to tax audits in numerous jurisdictions in the U.S. and foreign countries. Tax audits by their very nature are often complex and can require several years to complete. In the normal course of business, we are subject to challenges from the Internal Revenue Service (IRS) and other tax authorities regarding amounts of taxes due. These challenges may alter the timing or amount of taxable income or deductions, or the allocation of income among tax jurisdictions. As part of our calculation of the provision for income taxes on earnings, we recognize the tax benefit from uncertain tax positions that are at least more likely than not of being sustained upon audit based on the technical merits of the tax position. The tax benefit to be recognized is measured as the largest amount of benefit that is greater than fifty percent likely of being realized upon ultimate settlement. Such calculations require management to make estimates and judgments with respect to the ultimate outcome of a tax audit. Actual results could vary materially from these estimates.

The following is a summary of tax years that are no longer subject to examination:

Federal — audits of our U.S. federal income tax returns are closed through fiscal year 2007.

State — for the majority of states, we are no longer subject to tax examinations by tax authorities for tax years before 2008.

Foreign — we are no longer subject to foreign tax examinations by tax authorities for tax years before 2003 in Canada, 2001 in Brazil, 2006 in Mexico and 2008 in the U.K., which are our major foreign tax jurisdictions.

At September 30, 2011 and December 31, 2010, the total amount of gross unrecognized tax benefits (excluding the federal benefit received from state positions) was $62.7 million and $61.2 million, respectively. Unrecognized tax benefits related to federal, state and foreign tax positions may decrease by $2.4 million by September 30, 2012, if audits are completed or tax years close.

Like-Kind Exchange Program

We have a like-kind exchange program for certain of our revenue earning equipment operating in the U.S. Pursuant to the program, we dispose of vehicles and acquire replacement vehicles in a form whereby tax gains on disposal of eligible vehicles are deferred. To qualify for like-kind exchange treatment, we exchange through a qualified intermediary eligible vehicles being disposed of with vehicles being acquired, allowing us to generally carryover the tax basis of the vehicles sold (“like-kind exchanges”). The program results in a material deferral of federal and state income taxes. As part of the program, the proceeds from the sale of eligible vehicles are restricted for the acquisition of replacement vehicles and other specified applications. Due to the structure utilized to facilitate the like-kind exchanges, the qualified intermediary that holds the proceeds from the sales of eligible vehicles and the entity that holds the vehicles to be acquired under the program are required to be consolidated in the accompanying Consolidated Condensed Financial Statements in accordance with U.S. GAAP. At September 30, 2011 and December 31, 2010, these consolidated entities had total assets, primarily revenue earning equipment, and total liabilities, primarily accounts payable, of $82.7 million and $49.5 million, respectively.

Tax Law Changes

On July 19, 2011, the U.K. enacted legislation which lowered the statutory rate from 27% to 26% effective April 1, 2011, and from 26% to 25% effective April 1, 2012. The impact of this change did not have a significant impact to earnings for the three or nine months ended September 30, 2011.

On May 25, 2011, the State of Michigan enacted changes to its tax system, which included a repeal of the Michigan Business Tax and replaced it with a corporate income tax. The impact of this change resulted in a non-cash charge to deferred income taxes and a decrease to earnings for the nine months ended September 30, 2011 of $5.4 million.

On January 13, 2011, the State of Illinois enacted changes to its tax system, which included an increase to the corporate income tax rate from 4.8% to 7.0%. The impact of this change resulted in a non-cash charge to deferred income taxes and a decrease to earnings for the nine months ended September 30, 2011 of $1.2 million.

 

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Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

Effective Tax Rate

Our effective income tax rate from continuing operations for the third quarter of 2011 was 35.0% compared with 36.0% in the same period of the prior year. The decrease in our effective tax rate was mainly due to a higher proportionate amount of earnings in lower rate jurisdictions as well as tax benefits from acquisition-related transaction costs incurred in 2010.

Our effective income tax rate from continuing operations for the nine months ended September 30, 2011 was 40.0% compared with 39.2% in the same period of the prior year. Our provision for income taxes and effective income tax rate were negatively impacted by tax law changes in the States of Michigan and Illinois. The increase in our effective tax rate was partially offset by a higher proportionate amount of earnings in lower rate jurisdictions and lower contingent tax accruals.

(M) DEBT

     Weighted-Average
Interest Rate
                   
     September 30,
2011
     December 31,
2010
     Maturities    September 30,
2011
    December 31,
2010
 
                        (In thousands)  

Short-term debt and current portion of long-term debt:

             

Short-term debt

     1.38%         4.56%           2011-2012    $ 5,047        42,968   

Current portion of long-term debt, including capital leases

              250,312        377,156   
           

 

 

   

 

 

 

Total short-term debt and current portion of long-term debt

              255,359        420,124   
           

 

 

   

 

 

 

Long-term debt:

             

U.S. commercial paper (1)

     0.35%         0.42%           2016      266,961        367,880   

Unsecured U.S. notes — Medium-term notes (1)

     4.47%         5.28%           2011-2025      2,484,241        2,158,647   

Unsecured U.S. obligations, principally bank term loans

     1.57%         1.54%           2012-2016      106,900        105,600   

Unsecured foreign obligations

     2.57%         5.14%           2012-2016      300,032        45,109   

Capital lease obligations

     7.81%         7.86%           2011-2017      10,721        11,369   
           

 

 

   

 

 

 

Total before fair market value adjustment

              3,168,855        2,688,605   

Fair market value adjustment on notes subject to hedging (2)

              24,692        15,429   
           

 

 

   

 

 

 
              3,193,547        2,704,034   

Current portion of long-term debt, including capital leases

              (250,312     (377,156
           

 

 

   

 

 

 

Long-term debt

              2,943,235        2,326,878   
           

 

 

   

 

 

 

Total debt

            $ 3,198,594        2,747,002   
           

 

 

   

 

 

 

 

 

(1) We had unamortized original issue discounts of $9.8 million and $10.5 million at September 30, 2011 and December 31, 2010, respectively.

 

(2) The notional amount of executed interest rate swaps designated as fair value hedges was $550 million and $250 million at September 30, 2011 and December 31, 2010, respectively.

In June 2011, we executed a new $900 million global revolving credit facility with a syndicate of twelve lending institutions led by Bank of America N.A., Bank of Tokyo-Mitsubishi UFJ, Ltd., BNP Paribas, Mizuho Corporate Bank, Ltd., Royal Bank of Canada, Royal Bank of Scotland Plc, U.S. Bank National Association and Wells Fargo Bank, N.A. This facility replaced an $875 million credit facility that was scheduled to mature in April 2012. The new global credit facility matures in June 2016 and is used primarily to finance working capital and provide support for the issuance of unsecured commercial paper in the U.S. and Canada. This facility can also be used to issue up to $75 million in letters of credit (there were no letters of credit outstanding against the facility at September 30, 2011). At our option, the interest rate on borrowings under the credit facility is based on LIBOR, prime, federal funds or local equivalent rates. The agreement provides for annual facility fees, which range from 10.0 basis points to 32.5 basis points, and are based on Ryder’s long-term credit ratings. The current annual facility fee is 15.0 basis points, which applies to the total facility size of $900 million. The credit facility contains no provisions limiting its availability in the event of a material adverse change to Ryder’s business operations; however, the credit facility does contain standard representations and warranties, events of default, cross-default provisions and certain affirmative and negative covenants. In order to maintain availability of funding, we must maintain a ratio of debt to consolidated tangible net worth, of less than or equal to 300%. Tangible net worth, as defined in the credit facility, includes

 

14


Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

50% of our deferred federal income tax liability and excludes the book value of our intangibles. The ratio at September 30, 2011 was 214%. At September 30, 2011, $631.1 million was available under the credit facility, net of the support for commercial paper borrowings.

Our global revolving credit facility permits us to refinance short-term commercial paper obligations on a long-term basis. Settlement of short-term commercial paper obligations not expected to require the use of working capital are classified as long-term as we have both the intent and ability to refinance on a long-term basis. At September 30, 2011 and December 31, 2010, we classified $267.0 million and $367.9 million, respectively, of short-term commercial paper as long-term debt.

In May 2011, we issued $350 million of unsecured medium-term notes maturing in June 2017. If the notes are downgraded following, and as a result of, a change in control, the note holder can require us to repurchase all or a portion of the notes at a purchase price equal to 101% of the principal amount plus accrued and unpaid interest. In connection with the issuance of the medium term notes, we entered into three interest rate swaps with an aggregate notional amount of $150 million maturing in June 2017. Refer to Note (O), “Derivatives,” for additional information.

In February 2011, we issued $350 million of unsecured medium-term notes maturing in March 2015. If the notes are downgraded following, and as a result of, a change in control, the note holder can require us to repurchase all or a portion of the notes at a purchase price equal to 101% of the principal amount plus accrued and unpaid interest. In connection with the issuance of the medium term notes, we entered into two interest rate swaps with an aggregate notional amount of $150 million maturing in March 2015. Refer to Note (O), “Derivatives,” for additional information.

We have a trade receivables purchase and sale program, pursuant to which we sell certain of our domestic trade accounts receivable to a bankruptcy remote, consolidated subsidiary of Ryder, that in turn sells, on a revolving basis, an ownership interest in certain of these accounts receivable to a receivables conduit or committed purchasers. The subsidiary is considered a VIE and is consolidated based on our control of the entity’s activities. We use this program to provide additional liquidity to fund our operations, particularly when it is cost effective to do so. The costs under the program may vary based on changes in interest rates. The available proceeds that may be received under the program are limited to $175 million. If no event occurs which causes early termination, the 364-day program will expire on October 28, 2011. The program contains provisions restricting its availability in the event of a material adverse change to our business operations or the collectability of the collateralized receivables. At September 30, 2011 and December 31, 2010, no amounts were outstanding under the program. Sales of receivables under this program will be accounted for as secured borrowings based on our continuing involvement in the transferred assets.

At September 30, 2011 and December 31, 2010, we had letters of credit and surety bonds outstanding totaling $264.2 million and $264.8 million, respectively, which primarily guarantee the payment of insurance claims.

 

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RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

(N) FAIR VALUE MEASUREMENTS

The following tables present our assets and liabilities that are measured at fair value on a recurring basis and the levels of inputs used to measure fair value:

000000 000000 000000 000000 000000
    

Balance Sheet Location

     Fair Value Measurements
At September 30, 2011 Using
       Total  
          Level 1        Level 2        Level 3       
            (In thousands)  

Assets:

                      

Investments held in Rabbi Trusts:

                      

Cash and cash equivalents

        $ 4,745                               4,745   

U.S. equity mutual funds

          6,923                               6,923   

Foreign equity mutual funds

          2,158                               2,158   

Fixed income mutual funds

          3,336                               3,336   
       

 

 

      

 

 

      

 

 

      

 

 

 

Investments held in Rabbi Trusts

   DFL and other assets        17,162                               17,162   

Interest rate swaps

   DFL and other assets                  24,692                     24,692   
       

 

 

      

 

 

      

 

 

      

 

 

 

Total assets at fair value

        $ 17,162           24,692                     41,854   
       

 

 

      

 

 

      

 

 

      

 

 

 

Liabilities:

                      

Contingent consideration

   Accrued expenses      $                     1,000           1,000   
       

 

 

      

 

 

      

 

 

      

 

 

 

Total liabilities at fair value

        $                     1,000           1,000   
       

 

 

      

 

 

      

 

 

      

 

 

 
     Balance Sheet Location      Fair Value Measurements
At December 31, 2010 Using
       Total  
          Level 1        Level 2        Level 3       
            (In thousands)  

Assets:

       

Investments held in Rabbi Trusts

                      

Cash and cash equivalents

        $ 2,348                               2,348   

U.S. equity mutual funds

          8,409                               8,409   

Foreign equity mutual funds

          5,188                               5,188   

Fixed income mutual funds

          1,459                               1,459   
       

 

 

      

 

 

      

 

 

      

 

 

 

Investments held in Rabbi Trusts

   DFL and other assets        17,404                               17,404   

Interest rate swap

   DFL and other assets                  15,429                     15,429   
       

 

 

      

 

 

      

 

 

      

 

 

 

Total assets at fair value

        $ 17,404           15,429                     32,833   
       

 

 

      

 

 

      

 

 

      

 

 

 

The following is a description of the valuation methodologies used for these items, as well as the level of inputs used to measure fair value:

Investments held in Rabbi Trusts — The investments primarily include mutual funds that invest in equity and fixed income securities. Shares of mutual funds were valued based on quoted market prices, which represents the net asset value of the shares and were therefore classified within Level 1 of the fair value hierarchy.

Interest rate swaps — The derivatives are pay-variable, receive-fixed interest rate swaps based on the LIBOR rate and are designated as fair value hedges. Fair value was based on a model-driven income approach using the LIBOR rate at each interest payment date, which was observable at commonly quoted intervals for the full term of the swaps. Therefore, our interest rate swaps were classified within Level 2 of the fair value hierarchy.

Contingent consideration — Fair value was based on the income approach and uses significant inputs that are not observable in the market. These inputs are based on our expectations as to what amount we will pay based on contractual provisions. Therefore, the liability was classified within Level 3 of the fair value hierarchy. There was no change in the fair value of the liability during 2011. Refer to Note (C), “Acquisitions,” for additional information.

The following tables present our assets and liabilities that are measured at fair value on a nonrecurring basis and the levels of inputs used to measure fair value:

$ 0,000 $ 0,000 $ 0,000 $ 0,000 $ 0,000
       Fair Value Measurements
At September 30, 2011 Using
       Total Losses (2)  
       Level 1        Level 2        Level 3        Three months ended        Nine months ended  
       (In thousands)  

Assets held for sale:

                        

Revenue earning equipment: (1)

                        

Trucks

     $                     6,401         $ 1,300         $ 4,943   

Tractors

                           1,972           445           1,545   

Trailers

                           357           406           1,774   
    

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 

Total assets at fair value

     $                     8,730         $ 2,151         $ 8,262   
    

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 

 

$ 000,000 $ 000,000 $ 000,000 $ 000,000 $ 000,000
     Fair Value Measurements
At September 30, 2010 Using
     Total Losses (2)  
     Level 1      Level 2      Level 3      Three months ended      Nine months ended  
     (In thousands)  

Assets held for sale:

              

Revenue earning equipment (1)

              

Trucks

   $                 12,507       $ 2,541       $ 10,423   

Tractors

                     13,298         1,911         8,403   

Trailers

                     1,920         867         3,098   
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

Total assets at fair value

   $                 27,725       $ 5,319       $ 21,924   
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

 

(1) Represents the portion of all revenue earning equipment held for sale that is recorded at fair value, less costs to sell.

 

(2) Total losses represent fair value adjustments for all vehicles held for sale throughout the period for which fair value was less than carrying value.

 

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RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

Revenue earning equipment held for sale is stated at the lower of carrying amount or fair value less costs to sell. Losses to reflect changes in fair value are presented within “Depreciation expense” in the Consolidated Condensed Statements of Earnings. For revenue earning equipment held for sale, we stratify our fleet by vehicle type (tractors, trucks and trailers), weight class, age and other relevant characteristics and create classes of similar assets for analysis purposes. Fair value was determined based upon recent market prices obtained from our own sales experience for sales of each class of similar assets and vehicle condition. Therefore, our revenue earning equipment held for sale was classified within Level 3 of the fair value hierarchy.

Fair value of total debt (excluding capital lease obligations) at September 30, 2011 and December 31, 2010 was approximately $3.37 billion and $2.86 billion, respectively. For publicly-traded debt, estimates of fair value were based on market prices. For other debt, fair value was estimated based on rates currently available to us for debt with similar terms and remaining maturities. The carrying amounts reported in the Consolidated Condensed Balance Sheets for cash and cash equivalents, accounts receivable and accounts payable approximate fair value because of the immediate or short-term maturities of these financial instruments.

(O) DERIVATIVES

Interest Rate Swaps

In May 2011, we issued $350 million of unsecured medium-term notes maturing in June 2017. Concurrently, we entered into three interest rate swaps, with an aggregate notional amount of $150 million maturing in June 2017. The swaps were designated as fair value hedges whereby we receive fixed interest rate payments in exchange for making variable interest rate payments. The differential to be paid or received is accrued and recognized as interest expense. At September 30, 2011, the interest rate swap agreements effectively changed $150 million of fixed-rate debt instruments with an interest rate of 3.50% to LIBOR-based floating-rate debt at a weighted-average interest rate of 1.50%. Changes in the fair value of our interest rate swaps are offset by changes in the fair value of the debt instrument. Accordingly, there is no ineffectiveness related to the interest rate swaps.

In February 2011, we issued $350 million of unsecured medium-term notes maturing in March 2015. Concurrently, we entered into two interest rate swaps, with an aggregate notional amount of $150 million maturing in March 2015. The swaps were designated as fair value hedges whereby we receive fixed interest rate payments in exchange for making variable interest rate payments. The differential to be paid or received is accrued and recognized as interest expense. At September 30, 2011, the interest rate swap agreements effectively changed $150 million of fixed-rate debt instruments with an interest rate of 3.15% to LIBOR-based floating-rate debt at a weighted-average interest rate of 1.43%. Changes in the fair value of our interest rate swaps are offset by changes in the fair value of the debt instrument. Accordingly, there is no ineffectiveness related to the interest rate swaps.

In February 2008, we issued $250 million of unsecured medium-term notes maturing in March 2013. Concurrently, we entered into an interest rate swap with a notional amount of $250 million maturing in March 2013. The swap was designated as a fair value hedge whereby we receive fixed interest rate payments in exchange for making variable interest rate payments. The differential to be paid or received is accrued and recognized as interest expense. At September 30, 2011, the interest rate swap agreement effectively changed $250 million of fixed-rate debt with an interest rate of 6.00% to LIBOR-based floating-rate debt at a rate of 2.61%. Changes in the fair value of our interest rate swap are offset by changes in the fair value of the debt instrument. Accordingly, there is no ineffectiveness related to the interest rate swap.

The location and amount of gains (losses) on interest rate swap agreements designated as fair value hedges and related hedged items reported in the Consolidated Condensed Statements of Earnings were as follows:

Fair Value Hedging Relationship

   Location of Gain (Loss)
Recognized in Income
   Three months ended September 30,     Nine months ended September 30,  
      2011     2010     2011     2010  
          (In thousands)  

Derivatives: Interest rate swaps

   Interest expense    $ 8,251        1,813      $ 9,263        5,938   

Hedged items: Fixed-rate debt

   Interest expense      (8,251     (1,813     (9,263     (5,938
     

 

 

   

 

 

   

 

 

   

 

 

 

Total

      $             $          
     

 

 

   

 

 

   

 

 

   

 

 

 

 

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Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

(P) SHARE REPURCHASE PROGRAMS

In December 2009, our Board of Directors authorized a share repurchase program intended to mitigate the dilutive impact of shares issued under our various employee stock, stock option and stock purchase plans. Under the December 2009 program, management is authorized to repurchase shares of common stock in an amount not to exceed the number of shares issued to employees under the Company’s various employee stock, stock option and stock purchase plans from December 1, 2009 through December 15, 2011. The December 2009 program limits aggregate share repurchases to no more than 2 million shares of Ryder common stock. Share repurchases of common stock are made periodically in open-market transactions and are subject to market conditions, legal requirements and other factors. Management established a prearranged written plan for the Company under Rule 10b5-1 of the Securities Exchange Act of 1934 as part of the December 2009 program, which allowed for share repurchases during Ryder’s quarterly blackout periods as set forth in the plan. For the three months ended September 30, 2011 and 2010, we repurchased and retired 202,971 shares and 109,064 shares, respectively, under this program at an aggregate cost of $9.5 million and $4.6 million, respectively. For the nine months ended September 30, 2011 and 2010, we repurchased and retired 1,022,971 shares and 416,761 shares, respectively, under this program at an aggregate cost of $51.4 million and $16.8 million, respectively.

In February 2010, our Board of Directors authorized a $100 million discretionary share repurchase program over a period not to exceed two years. For the three months ended September 30, 2010, we repurchased and retired 720,000 shares under the program at an aggregate cost of $29.6 million. For the nine months ended September 30, 2010, we repurchased and retired 1,855,000 shares under this program at an aggregate cost of $75.1 million. The program was completed in December 2010.

(Q) COMPREHENSIVE INCOME

Comprehensive income presents a measure of all changes in shareholders’ equity except for changes resulting from transactions with shareholders in their capacity as shareholders. Our total comprehensive income presently consists of net earnings, currency translation adjustments associated with foreign operations that use the local currency as their functional currency and adjustments for derivative instruments accounted for as cash flow hedges and various pension and other postretirement benefits related items.

The following table provides a reconciliation of net earnings as reported in the Consolidated Condensed Statements of Earnings to comprehensive income:

     Three months ended September 30,     Nine months ended September 30,  
     2011     2010     2011     2010  
     (In thousands)  

Net earnings

   $ 56,524        38,835      $ 121,682        81,049   

Other comprehensive income:

        

Foreign currency translation adjustments

     (53,416     31,825        (27,428     1,451   

Unrealized gain on derivative instruments

     136                        

Amortization of transition obligation (1)

     (6     (4     (17     (13

Amortization of net actuarial loss (1)

     3,274        3,112        9,887        9,331   

Amortization of prior service credit (1)

     (406     (400     (1,220     (1,200

Change in net actuarial loss (1)

            (3     (1,520     (971
  

 

 

   

 

 

   

 

 

   

 

 

 

Total comprehensive income

   $ 6,106        73,365      $ 101,384        89,647   
  

 

 

   

 

 

   

 

 

   

 

 

 

 

 

(1) Amounts pertain to our pension and/or postretirement benefit plans and are presented net of tax. See Note (R), “Employee Benefit Plans,” for additional information.

 

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Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

(R) EMPLOYEE BENEFIT PLANS

Components of net periodic benefit cost were as follows:

     Three months ended September 30,     Nine months ended September 30,  
     2011     2010     2011     2010  
     (In thousands)  

Pension Benefits

        

Company-administered plans:

        

Service cost

   $ 3,676        3,538      $ 11,059        11,690   

Interest cost

     24,374        24,062        73,248        72,004   

Expected return on plan assets

     (25,441     (23,322     (76,477     (69,743

Amortization of:

        

Transition obligation

     (8     (6     (23     (18

Net actuarial loss

     5,054        4,758        15,185        14,257   

Prior service credit

     (568     (564     (1,710     (1,690
  

 

 

   

 

 

   

 

 

   

 

 

 
     7,087        8,466        21,282        26,500   

Union-administered plans

     1,627        1,296        4,423        3,887   
  

 

 

   

 

 

   

 

 

   

 

 

 

Net periodic benefit cost

   $ 8,714        9,762      $ 25,705        30,387   
  

 

 

   

 

 

   

 

 

   

 

 

 

Company-administered plans:

        

U.S.

   $ 7,243        8,433      $ 21,730        25,300   

Non-U.S.

     (156     33        (448     1,200   
  

 

 

   

 

 

   

 

 

   

 

 

 
     7,087        8,466        21,282        26,500   

Union-administered plans

     1,627        1,296        4,423        3,887   
  

 

 

   

 

 

   

 

 

   

 

 

 
   $ 8,714        9,762      $ 25,705        30,387   
  

 

 

   

 

 

   

 

 

   

 

 

 

Postretirement Benefits

        

Company-administered plans:

        

Service cost

   $ 323        343      $ 973        1,028   

Interest cost

     625        680        1,879        2,039   

Amortization of:

        

Net actuarial loss

     36        88        173        263   

Prior service credit

     (58     (58     (173     (173
  

 

 

   

 

 

   

 

 

   

 

 

 

Net periodic benefit cost

   $ 926        1,053      $ 2,852        3,157   
  

 

 

   

 

 

   

 

 

   

 

 

 

Company-administered plans:

        

U.S.

   $ 789        783      $ 2,366        2,350   

Non-U.S.

     137        270        486        807   
  

 

 

   

 

 

   

 

 

   

 

 

 
   $ 926        1,053      $ 2,852        3,157   
  

 

 

   

 

 

   

 

 

   

 

 

 

Pension Contributions

During the nine months ended September 30, 2011, we contributed $12.4 million to our pension plans. During the fourth quarter of 2011, we expect to contribute approximately $3.4 million to our pension plans.

Savings Plans

Employees who do not actively participate in pension plans and are not covered by union-administered plans are generally eligible to participate in enhanced savings plans. Plans provide for (i) a company contribution even if employees do not make contributions, (ii) a company match of employee contributions of eligible pay, subject to tax limits and (iii) a discretionary company match based on our performance. During the three months ended September 30, 2011 and 2010, we recognized total savings plan costs of $9.6 million and $6.7 million, respectively. During the nine months ended September 30, 2011 and 2010, we recognized total savings plan costs of $30.1 million and $20.0 million, respectively.

 

19


Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

(S) OTHER ITEMS IMPACTING COMPARABILITY

Our primary measure of segment performance excludes certain items we do not believe are representative of the ongoing operations of the segment. We believe that excluding these items from our segment measure of performance allows for better comparison of results.

During the second quarter of 2011, we incurred $1.7 million of transaction costs related to the acquisition of Hill Hire. These charges were recorded within “Operating expense” in our Consolidated Statements of Earnings.

(T) SUPPLEMENTAL CASH FLOW INFORMATION

Supplemental cash flow information was as follows:

     Nine months ended September 30,  
     2011      2010  
     (In thousands)  

Interest paid

   $ 99,047         89,017   

Income taxes paid (refunded)

   $ 17,675         (6,602

Changes in accounts payable related to purchases of revenue earning equipment

   $ 83,937         33,808   

Operating and revenue earning equipment acquired under capital leases

   $ 1,187         106   

(U) SEGMENT REPORTING

Our operating segments are aggregated into reportable business segments based upon similar economic characteristics, products, services, customers and delivery methods. We operate in three reportable business segments: (1) FMS, which provides full service leasing, contract maintenance, contract-related maintenance and commercial rental of trucks, tractors and trailers to customers, principally in the U.S., Canada and the U.K.; (2) SCS, which provides comprehensive supply chain consulting including distribution and transportation services in North America and Asia; and (3) DCC, which provides vehicles and drivers as part of a dedicated transportation solution in the U.S.

Our primary measurement of segment financial performance, defined as “Net Before Taxes” (NBT), includes an allocation of Central Support Services (CSS) and excludes restructuring and other charges, net described in Note (G), “Restructuring and Other Charges” and excludes the items discussed in Note (S), “Other Items Impacting Comparability.” CSS represents those costs incurred to support all business segments, including human resources, finance, corporate services, public affairs, information technology, health and safety, legal and corporate communications. The objective of the NBT measurement is to provide clarity on the profitability of each business segment and, ultimately, to hold leadership of each business segment and each operating segment within each business segment accountable for their allocated share of CSS costs. Certain costs are considered to be overhead not attributable to any segment and remain unallocated in CSS. Included among the unallocated overhead remaining within CSS are the costs for investor relations, public affairs and certain executive compensation.

Our FMS segment leases revenue earning equipment and provides fuel, maintenance and other ancillary services to the SCS and DCC segments. Inter-segment revenue and NBT are accounted for at rates similar to those executed with third parties. NBT related to inter-segment equipment and services billed to customers (equipment contribution) are included in both FMS and the business segment which served the customer and then eliminated (presented as “Eliminations”).

 

20


Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

The following tables set forth financial information for each of our business segments and reconciliation between segment NBT and earnings from continuing operations before income taxes for the three and nine months ended September 30, 2011 and 2010. Segment results are not necessarily indicative of the results of operations that would have occurred had each segment been an independent, stand-alone entity during the periods presented.

    FMS     SCS     DCC     Eliminations     Total  
                (In thousands)              

For the three months ended September 30, 2011

         

Revenue from external customers

  $ 1,005,716        406,078        158,926               1,570,720   

Inter-segment revenue

    93,333                      (93,333       
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total revenue

  $ 1,099,049        406,078        158,926        (93,333     1,570,720   
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Segment NBT

  $ 74,156        22,398        8,358        (5,665     99,247   
 

 

 

   

 

 

   

 

 

   

 

 

   

Unallocated CSS

            (11,592
         

 

 

 

Earnings from continuing operations before income taxes

          $ 87,655   
         

 

 

 

Segment capital expenditures (1), (2)

  $ 334,672      $ 8,741      $ 575               343,988   
 

 

 

   

 

 

   

 

 

   

 

 

   

Unallocated CSS

            3,770   
         

 

 

 

Capital expenditures paid

          $ 347,758   
         

 

 

 

For the three months ended September 30, 2010

         

Revenue from external customers

  $ 872,685        322,871        121,392               1,316,948   

Inter-segment revenue

    76,254                      (76,254       
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total revenue

  $ 948,939        322,871        121,392        (76,254     1,316,948   
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Segment NBT

  $ 54,766        15,199        8,619        (4,629     73,955   
 

 

 

   

 

 

   

 

 

   

 

 

   

Unallocated CSS

            (11,957
         

 

 

 

Earnings from continuing operations before income taxes

          $ 61,998   
         

 

 

 

Segment capital expenditures (1), (2)

  $ 310,374        3,554        215               314,143   
 

 

 

   

 

 

   

 

 

   

 

 

   

Unallocated CSS

            2,370   
         

 

 

 

Capital expenditures paid

          $ 316,513   
         

 

 

 

 

 

(1) Excludes revenue earning equipment acquired under capital leases.
(2) Excludes acquisition payments of $13.6 million and $4.4 million during the three months ended September 30, 2011 and 2010, respectively.

 

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RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

     FMS      SCS      DCC      Eliminations     Total  
                   (In thousands)               

For the nine months ended September 30, 2011

             

Revenue from external customers

   $ 2,868,699         1,196,694         444,047                4,509,440   

Inter-segment revenue

     274,976                         (274,976       
  

 

 

    

 

 

    

 

 

    

 

 

   

 

 

 

Total revenue

   $ 3,143,675         1,196,694         444,047         (274,976     4,509,440   
  

 

 

    

 

 

    

 

 

    

 

 

   

 

 

 

Segment NBT

   $ 180,222         51,693         25,517         (17,098     240,334   
  

 

 

    

 

 

    

 

 

    

 

 

   

Unallocated CSS

                (31,564

Restructuring and other charges, net and other items (3)

                (2,495
             

 

 

 

Earnings from continuing operations before income taxes

              $ 206,275   
             

 

 

 

Segment capital expenditures (1), (2)

   $ 1,128,560         21,706         2,613                1,152,879   
  

 

 

    

 

 

    

 

 

    

 

 

   

Unallocated CSS

                12,256   
             

 

 

 

Capital expenditures paid

              $ 1,165,135   
             

 

 

 

For the nine months ended September 30, 2010

             

Revenue from external customers

   $ 2,535,094         927,157         360,758                3,823,009   

Inter-segment revenue

     228,999                         (228,999       
  

 

 

    

 

 

    

 

 

    

 

 

   

 

 

 

Total revenue

   $ 2,764,093         927,157         360,758         (228,999     3,823,009   
  

 

 

    

 

 

    

 

 

    

 

 

   

 

 

 

Segment NBT

   $ 122,687         34,784         24,437         (14,505     167,403   
  

 

 

    

 

 

    

 

 

    

 

 

   

Unallocated CSS

                (30,706
             

 

 

 

Earnings from continuing operations before income taxes

              $ 136,697   
             

 

 

 

Segment capital expenditures (1), (2)

   $ 844,659         7,051         1,206                852,916   
  

 

 

    

 

 

    

 

 

    

 

 

   

Unallocated CSS

                7,986   
             

 

 

 

Capital expenditures paid

              $ 860,902   
             

 

 

 

 

 

(1) Excludes revenue earning equipment acquired under capital leases.
(2) Excludes acquisition payments of $362.2 million and $6.8 million during the nine months ended September 30, 2011 and 2010, respectively.
(3) See Note (S), “Other Items Impacting Comparability,” for a discussion of items, in addition to restructuring and other charges, net that are excluded from our primary measure of segment performance.

 

22


Table of Contents

RYDER SYSTEM, INC. AND SUBSIDIARIES

NOTES TO CONSOLIDATED CONDENSED FINANCIAL STATEMENTS — (Continued)

(unaudited)

 

(V) OTHER MATTERS

We are a party to various claims, complaints and proceedings arising in the ordinary course of business including but not limited to those relating to litigation matters, environmental matters, risk management matters (e.g. vehicle liability, workers’ compensation, etc.) and administrative assessments primarily associated with operating taxes. We are also subject to various claims, tax assessments and administrative proceedings associated with our discontinued operations. We have established loss provisions for matters in which losses are probable and can be reasonably estimated. It is not possible at this time for us to determine fully the effect of all unasserted claims and assessments on our consolidated financial condition, results of operations or liquidity; however, to the extent possible, where unasserted claims can be estimated and where such claims are considered probable we have recorded a liability. Litigation is subject to many uncertainties, and the outcome of any individual litigated matter is not predictable with assurance. It is possible that certain of the actions, claims, inquiries or proceedings could be decided unfavorably to Ryder. To the extent that these matters pertain to our discontinued operations, additional adjustments and expenses may be recorded through discontinued operations in future periods as further relevant information becomes available. Although the final resolution of any such matters could have a material effect on our consolidated operating results for the particular reporting period in which an adjustment of the estimated liability is recorded, we believe that any resulting liability should not materially affect our consolidated financial position.

In Brazil, we were assessed $15.7 million, including penalties and interest, related to tax due on the sale of our outbound auto carriage business in 2001. On November 11, 2010, the Administrative Tax Court dismissed the assessment. The tax authority has filed a motion to review the decision and the matter therefore remains before the Administrative Tax Court. We believe it is more likely than not that our tax position will ultimately be sustained and no amounts have been reserved for this matter.

We are also a defendant in a number of lawsuits containing various class-action allegations of wage-and-hour violations and improper pay practice claims. The plaintiffs in these lawsuits allege, among other things, that they were not paid for certain hours worked, were not paid overtime or were not provided work breaks or other benefits. The complaints generally seek unspecified monetary damages, injunctive relief, or both. We cannot currently estimate a reasonably possible range of loss related to these lawsuits. Although the final resolution of any such matters could have a material effect on our consolidated operating results for the particular reporting period in which an adjustment of the estimated liability is recorded, we believe that any resulting liability should not materially affect our consolidated financial position.

(W) RECENT ACCOUNTING PRONOUNCEMENTS

In June 2011, the FASB issued accounting guidance on the presentation of comprehensive income. Under this guidance, entities have the option to present the components of net income and other comprehensive income in either a single continuous statement of comprehensive income or in two separate but consecutive statements. This guidance is effective for us beginning in our March 31, 2012 10-Q. We are currently evaluating these changes to determine which option will be chosen for the presentation of comprehensive income. Other than the change in presentation, this accounting guidance will not have an impact on our consolidated financial position, results of operations or cash flows.

 

23


Table of Contents

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS

OVERVIEW

The following discussion should be read in conjunction with the unaudited Consolidated Condensed Financial Statements and notes thereto included under Item 1. In addition, reference should be made to our audited Consolidated Financial Statements and notes thereto and related Management’s Discussion and Analysis of Financial Condition and Results of Operations included in the 2010 Annual Report on Form 10-K.

Ryder System, Inc. (Ryder) is a global leader in transportation and supply chain management solutions. Our business is divided into three business segments: Fleet Management Solutions (FMS), which provides full service leasing, contract maintenance, contract-related maintenance and commercial rental of trucks, tractors and trailers to customers principally in the U.S., Canada and the U.K.; Supply Chain Solutions (SCS), which provides comprehensive supply chain consulting including distribution and transportation services in North America and Asia; and Dedicated Contract Carriage (DCC), which provides vehicles and drivers as part of a dedicated transportation solution in the U.S. We operate in highly competitive markets. Our customers select us based on numerous factors including service quality, price, technology and service offerings. As an alternative to using our services, customers may choose to provide these services for themselves, or may choose to obtain similar or alternative services from other third-party vendors. Our customer base includes enterprises operating in a variety of industries including automotive, electronics, transportation, grocery, lumber and wood products, food service and home furnishing.

ITEMS AFFECTING COMPARABILITY BETWEEN PERIODS

  Accounting Changes

See Note (B), “Accounting Changes,” for a discussion of the impact of changes in accounting guidance.

ACQUISITIONS

We completed four acquisitions in 2011 under which we acquired a company’s fleet of vehicles and contractual customers. The combined networks operate under Ryder’s name and complement our existing market coverage and service network. The results of these acquisitions have been included in our consolidated results since the dates of acquisition.

 

Company Acquired

   Business
Segment
   Date            Vehicles            Contractual
       Customers      
   Market

Hill Hire plc

   FMS    June 8, 2011    13,700    400    U.K.

B.I.T. Leasing, Inc. (BIT) (1)

   FMS    April 1, 2011         490    130    California

The Scully Companies (Scully)

       FMS/DCC        January 28, 2011      2,100    200    Western U.S.

Carmenita Leasing, Inc.

   FMS    January 10, 2011         190    60    California

 

(1) This acquisition complements a 2010 acquisition whereby we acquired a portion of BIT’s full service lease and rental vehicles and contractual customers. Vehicles and contractual customers disclosed above represented the combination of both acquisitions.

Total Logistic Control — On December 31, 2010, we acquired all of the common stock of Total Logistic Control (TLC), a leading provider of comprehensive supply chain solutions to food, beverage, and consumer packaged goods manufacturers in the U.S. TLC provides customers a broad suite of end-to-end services, including distribution management, contract packaging services and solutions engineering. This acquisition enhances our SCS capabilities and growth prospects in the areas of packaging and warehousing, including temperature-controlled facilities.

 

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Table of Contents

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

CONSOLIDATED RESULTS

 

     Three months ended September 30,      Nine months ended September 30,      Change 2011/2010
     2011      2010      2011      2010      Three
Months
   Nine
Months
     (In thousands, except per share amounts)            

Total revenue

   $ 1,570,720         1,316,948       $ 4,509,440         3,823,009       19%    18%

Operating revenue (1)

     1,256,489         1,071,611         3,577,565         3,096,300       17        16    

Pre-tax earnings from continuing operations

     87,655         61,998         206,275         136,697       41        51    

Earnings from continuing operations

     56,933         39,674         123,704         83,146       44        49    

Net earnings

     56,524         38,835         121,682         81,049       46        50    

Earnings (loss) per common share — Diluted

                 

Continuing operations

   $ 1.10         0.76       $ 2.39         1.57       45%    52%

Net earnings

     1.10         0.74       $ 2.35         1.53       49    54

Weighted-average shares outstanding — Diluted

     50,753         51,535         50,922         52,166       (2)%    (2)%
  

 

 

    

 

 

    

 

 

    

 

 

       

 

 

(1) We use operating revenue, a non-GAAP financial measure, to evaluate the operating performance of our businesses and as a measure of sales activity. FMS fuel services revenue, which is directly impacted by fluctuations in market fuel prices, is excluded from the operating revenue computation as fuel is largely a pass-through to our customers for which we realize minimal changes in profitability during periods of steady market fuel prices. However, profitability may be positively or negatively impacted by rapid changes in market fuel prices during a short period of time as customer pricing for fuel services is established based on market fuel costs. Subcontracted transportation is deducted from total revenue to arrive at operating revenue as subcontracted transportation is typically a pass-through to our customers. We realize minimal changes in profitability as a result of fluctuations in subcontracted transportation. Refer to the section titled “Non-GAAP Financial Measures” for a reconciliation of total revenue to operating revenue.

Revenue

Total revenue increased 19% in the third quarter of 2011 to $1.57 billion. Operating revenue (revenue excluding FMS fuel and all subcontracted transportation) increased 17% in the third quarter of 2011 to $1.26 billion. In the nine months ended September 30, 2011, total revenue increased 18% to $4.51 billion and operating revenue increased 16% to $3.58 billion. The following table summarizes the components of the change in revenue on a percentage basis versus the prior year:

 

000000000 000000000 000000000 000000000
     Three months ended September 30, 2011    Nine months ended September 30, 2011
     Total    Operating    Total    Operating

Acquisitions

   11%    12%     9%    10%

Organic including price and volume

   3      4      4      5  

FMS fuel

   3         3     

Subcontracted transportation

   1         1     

Foreign exchange

   1      1      1      1  
  

 

  

 

  

 

  

 

Total increase

   19%    17%    18%    16%
  

 

  

 

  

 

  

 

See “Operating Results by Business Segment” for a further discussion of the revenue impact from acquisitions and organic growth.

 

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ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

Pre-Tax Earnings from Continuing Operations (NBT)

NBT increased 41% in the third quarter of 2011 to $87.7 million. In the nine months ended September 30, 2011, NBT increased 51% to $206.3 million. The increase in NBT was primarily driven by improved commercial rental performance and used vehicle sales results. Acquisitions accounted for 27% and 22% of year-over-year NBT growth in the third quarter and first nine months of 2011, respectively. However, these increases were partially offset by higher incentive-based compensation costs as a result of improved company performance. In addition, the nine months ended September 30, 2011 included a $4.1 million negative impact from SCS automotive production cuts due to the Japan earthquake. See “Operating Results by Business Segment” for a further discussion of operating results. For the nine months ended September 30, 2011, NBT also included acquisition-related restructuring and other costs of $0.8 million and transaction costs of $2.2 million.

Earnings and Diluted Earnings Per Share (EPS) from Continuing Operations

Earnings from continuing operations increased 44% to $56.9 million in the third quarter of 2011. Earnings from continuing operations included an income tax benefit of $0.6 million, or $0.01 per diluted common share, associated with the deduction of acquisition-related transaction costs incurred in a prior year. Excluding this item, comparable earnings and EPS from continuing operations increased 42% to $56.4 million and 43% to $1.09 per diluted common share, respectively.

In the nine months ended September 30, 2011, earnings from continuing operations increased 49% to $123.7 million. Earnings from continuing operations included an income tax charge of $5.4 million, or $0.10 per diluted common share, due to a tax law change in Michigan. EPS from continuing operations also included the previously discussed tax benefit from acquisition-related transaction costs of $0.01 per diluted common share, acquisition-related transaction costs of $0.03 per diluted common share and a first quarter restructuring charge of $0.01 per diluted common share. Excluding these items, comparable earnings and EPS from continuing operations increased 57% to $130.5 million and 61% to $2.52 per diluted common share, respectively.

We believe that comparable earnings from continuing operations and comparable earnings per diluted common share from continuing operations measures provide useful information to investors because they exclude significant items that are unrelated to our ongoing business operations. See Note (S), “Other Items Impacting Comparability,” for information regarding items excluded from 2011 results.

Net Earnings and EPS

Net earnings increased 46% in the third quarter of 2011 to $56.5 million or $1.10 per diluted common share and increased 50% in the nine months ended September 30, 2011 to $121.7 million or $2.35 per diluted common share. Net earnings in the third quarter and in the first nine months of 2011 were negatively impacted by losses from discontinued operations of $0.4 million and $2.0 million, respectively. EPS growth in the third quarter and in the first nine months of 2011 exceeded the earnings growth reflecting the impact of share repurchase programs.

The changes in the individual expense components of net earnings are discussed in more detail below.

 

         Three months ended September 30,              Nine months ended September 30,              Change 2011/2010    
     2011      2010      2011      2010      Three
Months
   Nine
Months
     (Dollars in thousands)            

Fuel expense

   $ 272,158         208,832       $ 811,839         623,898       30%    30%

Maintenance and repairs expense

     258,857         223,708         724,635         638,921       16        13    

Other operating expense

     227,703         191,955         655,133         550,784       19        19    
  

 

 

    

 

 

    

 

 

    

 

 

       

Total operating expense

   $ 758,718         624,495       $ 2,191,607         1,813,603       21%    21%
  

 

 

    

 

 

    

 

 

    

 

 

       

Percentage of total revenue

         48%             47%           49%           47%         

Total operating expense increased 21% in the third quarter and first nine months of 2011 to $758.7 million and $2.19 billion, respectively, as a result of higher fuel and maintenance and repairs expense. Fuel expense, which primarily impacts our FMS segment, increased in the third quarter and first nine months of 2011 as a result of higher fuel costs per gallon passed through to

 

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Table of Contents

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

customers. Maintenance and repairs expense, which includes the cost of parts, labor and outside repairs and principally impacts our FMS business segment, increased in the third quarter and first nine months of 2011 primarily due to the impact of an older lease fleet. Other operating expense primarily includes operating taxes and licensing costs, facilities, insurance, professional services and outside driver costs and typically fluctuates in line with revenue volumes. Other operating expense as a percentage of operating revenue was approximately 18% for all periods.

 

         Three months ended September 30,            Nine months ended September 30,            Change 2011/2010    
     2011    2010    2011    2010    Three
Months
   Nine
Months
     (Dollars in thousands)          

Salaries and wages

     $ 331,095          266,559        $ 958,219          785,697          24%          22%  

Employee-related costs

       52,837          48,147          161,475          143,962          10             12     
    

 

 

      

 

 

      

 

 

      

 

 

           

Total salaries and employee-related costs

     $ 383,932          314,706        $ 1,119,694          929,659          22%          20%  
    

 

 

      

 

 

      

 

 

      

 

 

           

Percentage of revenue

       24%          24%          25%          24%            

Percentage of operating revenue

       31%          29%          31%          30%            

Salaries and employee-related costs increased 22% in the third quarter of 2011 to $383.9 million primarily due to an increase in salaries and wages. Salaries and wages increased 24% in the third quarter of 2011 of which 15% came from acquisitions, 6% came from higher incentive-based compensation as a result of improved company performance and 3% came from organic business growth. Employee-related costs increased 10% primarily due to higher savings plan costs from improved company performance and increased headcount.

Salaries and employee-related costs increased 20% in the nine months ended September 30, 2011 to $1.12 billion due to the same factors as those in the third quarter of 2011. The growth in salaries and wages of 22% included an increase of 14% from acquisitions, 4% from organic business growth and 4% from incentive-based compensation.

 

         Three months ended September 30,            Nine months ended September 30,            Change 2011/2010    
     2011    2010    2011    2010    Three
Months
   Nine
Months
     (Dollars in thousands)          

Subcontracted transportation

     $ 88,728          67,049        $ 255,003          191,972          32%          33%  

Percentage of revenue

       6%          5%          6%          5%            

Subcontracted transportation expense which only impacts our SCS and DCC business segments, represents freight management costs on logistics contracts for which we purchase transportation from third parties. Subcontracted transportation expense is directly impacted by whether we are acting as an agent or principal in our transportation management contracts. To the extent that we are acting as a principal, revenue is reported on a gross basis and transportation costs to third parties are recorded as subcontracted transportation expense. To the extent we are acting as an agent, revenue is reported net of transportation costs to third parties. The impact to net earnings is the same whether we are acting as an agent or principal in the arrangement. Subcontracted transportation expense increased 32% in the third quarter and 33% in the first nine months of 2011 from the impact of recent acquisitions and higher overall freight volumes. The TLC and Scully acquisitions increased subcontracted transportation by 14% in the third quarter and 16% in the first nine months of 2011 compared to the same periods in the prior year.

 

         Three months ended September 30,            Nine months ended September 30,            Change 2011/2010    
     2011    2010    2011    2010    Three
Months
   Nine
Months
     (Dollars in thousands)          

Depreciation expense

     $ 224,466           209,929         $ 645,261           627,695           7%          3%  

Gains on vehicle sales, net

     $ (18,270)          (6,904)        $ (46,277)          (18,009)          165%          157%  

Equipment rental

     $ 14,468           16,463         $ 43,430           49,532           (12)%          (12)%  

Depreciation expense relates primarily to FMS revenue earning equipment. Revenue earning equipment held for sale is recorded at the lower of fair value less costs to sell or carrying value. Losses to reflect changes in fair value are reflected within depreciation expense. Depreciation expense increased 7% in the third quarter of 2011 to $224.5 million. The increase was primarily driven by acquisitions which increased our average fleet size and added $14.6 million of depreciation. Additionally, depreciation expense was impacted by increasing average new vehicle investments. The growth in depreciation expense was partially offset by $3.2 million

 

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Table of Contents

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

of lower write-downs in the carrying value of vehicles held for sale and $2.8 million from changes in residual values of certain classes of our revenue earning equipment effective January 1, 2011 as well as lower accelerated depreciation.

Depreciation expense increased 3% in the nine months ended September 30, 2011 to $645.3 million driven by $26.2 million from acquisitions, foreign exchange movements of $6.7 million and higher average net vehicle investments. The increase was partially offset by $13.7 million of lower write-downs and $8.9 million from changes in residual values and accelerated depreciation. Refer to Note (I), “Revenue Earning Equipment,” in the Notes to Consolidated Condensed Financial Statements for further discussion.

Gains on vehicle sales, net increased 165% in the third quarter of 2011 to $18.3 million and increased 157% in the nine months ended September 30, 2011 to $46.3 million due to higher average pricing on vehicles sold of 26% and 36%, respectively.

Equipment rental consists primarily of rent expense for FMS revenue earning equipment under lease. Equipment rental decreased 12% in the third quarter and the first nine months of 2011 to $14.5 million and $43.4 million, respectively, due to a lower number of leased vehicles.

 

         Three months ended September 30,             Nine months ended September 30,            Change 2011/2010      
     2011      2010    2011      2010    Three
    Months     
     Nine
    Months     
 
    

(Dollars in thousands)

             

Interest expense

       $ 32,745               31,897            $ 100,138               96,385          3%             4%       

Effective interest rate

             4.1%             5.1%              4.5%              5.2%      

Interest expense increased 3% in the third quarter of 2011 to $32.7 million and increased 4% in the nine months ended September 30, 2011 to $100.1 million reflecting higher average outstanding debt partially offset by a lower effective interest rate. The increase in average outstanding debt reflects funding for recent acquisitions and increased commercial rental capital spending. The lower effective interest rate in 2011 compared to 2010 reflects the replacement of higher interest rate debt with debt issuances at lower rates as well as an increased percentage of variable rate debt.

 

     Three months ended September 30,    Nine months ended September 30,
     2011      2010    2011      2010
     (In thousands)

Miscellaneous income, net

     $(1,722)         (2,685)        $(6,459)         (4,525)  

Miscellaneous income, net consists of investment income on securities used to fund certain benefit plans, interest income, gains from sales of operating property, foreign currency transaction gains and other non-operating items. Miscellaneous income, net decreased in the third quarter of 2011 primarily due to lower income on investment securities partially offset by insurance-related recoveries and gains on foreign currency transactions. Miscellaneous income, net improved in the nine months ended September 30, 2011 due to $1.9 million of gains recognized from sales of facilities and insurance-related recoveries, partially offset by lower income on investment securities.

     Three months ended September 30,    Nine months ended September 30,
     2011      2010    2011      2010
     (In thousands)

Restructuring and other charges, net

         $  —               —          $768               —

Refer to Note (G), “Restructuring and Other Charges,” for a discussion of the restructuring and other charges recognized during the nine months ended September 30, 2011.

 

28


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ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

     Three months ended September 30,    Nine months ended September 30,    Change 2011/2010
     2011      2010    2011      2010    Three
Months
   Nine
Months
     (Dollars in thousands)          

Provision for income taxes

     $30,722                 22,324                $82,571                 53,551          38%    54%

Effective tax rate from continuing operations

         35.0%            36.0%              40.0%           39.2%          

Our effective income tax rate from continuing operations for the third quarter of 2011 was 35.0% compared with 36.0% in the same period of the prior year. The decrease in our effective tax rate was mainly due to a higher proportionate amount of earnings in lower rate jurisdictions as well as tax benefits from acquisition-related transaction costs incurred in 2010.

Our effective income tax rate from continuing operations for the nine months ended September 30, 2011 was 40.0% compared with 39.2% in the same period of the prior year. Our provision for income taxes and effective income tax rate were negatively impacted by tax law changes in the States of Michigan (second quarter) and Illinois (first quarter). The increase in our effective tax rate was partially offset by a higher proportionate amount of earnings in lower rate jurisdictions and lower contingent tax accruals.

 

     Three months ended September 30,    Nine months ended September 30,
     2011      2010    2011      2010
     (In thousands)

Loss from discontinued operations, net of tax

         $  (409)                    (839)               $  (2,022)                (2,097)     

Refer to Note (D), “Discontinued Operations,” in the Notes to Consolidated Condensed Financial Statements for a discussion of losses from discontinued operations.

 

29


Table of Contents

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

OPERATING RESULTS BY BUSINESS SEGMENT

 

         Three months ended September 30,             Nine months ended September 30,             Change 2011/2010    
     2011     2010     2011     2010     Three
    Months    
  Nine
    Months    
     (Dollars in thousands)          

Revenue:

            

Fleet Management Solutions

   $ 1,099,049        948,939      $ 3,143,675        2,764,093         16%        14%  

Supply Chain Solutions

     406,078        322,871        1,196,694        927,157      26   29

Dedicated Contract Carriage

     158,926        121,392        444,047        360,758      31   23

Eliminations

     (93,333     (76,254     (274,976     (228,999   (22)   (20)
  

 

 

   

 

 

   

 

 

   

 

 

     

Total

   $ 1,570,720        1,316,948      $ 4,509,440        3,823,009         19%      18%
  

 

 

   

 

 

   

 

 

   

 

 

     

Operating Revenue:

            

Fleet Management Solutions

   $ 824,651        733,870      $ 2,322,544        2,120,278         12%      10%

Supply Chain Solutions

     326,817        258,542        966,238        746,653      26   29

Dedicated Contract Carriage

     149,463        118,672        419,503        349,290      26   20

Eliminations

     (44,442     (39,473     (130,720     (119,921   (13)     (9)
  

 

 

   

 

 

   

 

 

   

 

 

     

Total

   $ 1,256,489        1,071,611      $ 3,577,565        3,096,300         17%      16%
  

 

 

   

 

 

   

 

 

   

 

 

     

NBT:

            

Fleet Management Solutions

   $ 74,156        54,766      $ 180,222        122,687         35%      47%

Supply Chain Solutions

     22,398        15,199        51,693        34,784      47   49

Dedicated Contract Carriage

     8,358        8,619        25,517        24,437        (3)     4

Eliminations

     (5,665     (4,629     (17,098     (14,505   (22)   (18)
  

 

 

   

 

 

   

 

 

   

 

 

     
     99,247        73,955        240,334        167,403      34   44

Unallocated Central Support Services

     (11,592     (11,957     (31,564     (30,706     3     (3)

Restructuring and other charges, net and other items

     —          —          (2,495     —        NM   NM
  

 

 

   

 

 

   

 

 

   

 

 

     

Pre-tax earnings from continuing operations

   $ 87,655        61,998      $ 206,275        136,697         41%      51%
  

 

 

   

 

 

   

 

 

   

 

 

     

As part of management’s evaluation of segment operating performance, we define the primary measurement of our segment financial performance as “Net Before Taxes” (NBT) from continuing operations, which includes an allocation of Central Support Services (CSS), and excludes restructuring and other charges, net, described in Note (G), “Restructuring and Other Charges” and the items discussed in Note (S), “Other Items Impacting Comparability,” in the Notes to Consolidated Condensed Financial Statements. CSS represents those costs incurred to support all business segments, including human resources, finance, corporate services and public affairs, information technology, health and safety, legal and corporate communications. The objective of the NBT measurement is to provide clarity on the profitability of each business segment and, ultimately, to hold leadership of each business segment and each operating segment within each business segment accountable for their allocated share of CSS costs. Segment results are not necessarily indicative of the results of operations that would have occurred had each segment been an independent, stand-alone entity during the periods presented. Certain costs are considered to be overhead not attributable to any segment and remain unallocated in CSS. Included within the unallocated overhead remaining within CSS are the costs for investor relations, public affairs and certain executive compensation.

 

30


Table of Contents

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

The following table provides a reconciliation of items excluded from our segment NBT measure to their classification within our Consolidated Condensed Statements of Earnings:

 

00000000 00000000 00000000 00000000 00000000
    

Consolidated

Condensed Statements of Earnings

Line Item

   Three months ended September 30,      Nine months ended September 30,  

Description

      2011      2010      2011     2010  
          (In thousands)  

Restructuring and other charges, net

   Restructuring (1)    $               $ (768       

Acquisition-related transaction costs (2)

   Operating expense                      (1,727       
     

 

 

    

 

 

    

 

 

   

 

 

 
      $               $ (2,495       
     

 

 

    

 

 

    

 

 

   

 

 

 

 

 

(1) Restructuring refers to “Restructuring and Other Charges, net” on our Consolidated Condensed Statements of Earnings.

 

(2) See Note (S), “Other Items Impacting Comparability,” for additional information.

Inter-segment revenue and NBT are accounted for at rates similar to those executed with third parties. NBT related to inter-segment equipment and services billed to customers (equipment contribution) are included in both FMS and the business segment which served the customer and then eliminated (presented as “Eliminations”). The following table sets forth equipment contribution included in NBT for our SCS and DCC business segments:

 

     Three months ended September 30,      Nine months ended September 30,      Change 2011/2010
     2011      2010      2011      2010      Three
Months
   Nine
Months
     (Dollars in thousands)            

Equipment contribution:

                 

Supply Chain Solutions

   $ 1,725         1,973       $ 5,518         6,228         (13)%        (11)%  

Dedicated Contract Carriage

     3,940         2,656         11,580         8,277       48       40   
  

 

 

    

 

 

    

 

 

    

 

 

       

Total

   $ 5,665         4,629       $ 17,098         14,505        22%     18%
  

 

 

    

 

 

    

 

 

    

 

 

       

 

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Table of Contents

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

Fleet Management Solutions

 

      Three months ended September 30,     Nine months ended September 30,     Change 2011/2010
          2011             2010             2011             2010         Three
Months
  Nine
Months
     (Dollars in thousands)          

Full service lease

   $ 509,852        487,488      $ 1,487,882        1,449,365            5%         3%

Contract maintenance

     39,117        40,098        116,384        119,757          (2)       (3)
  

 

 

   

 

 

   

 

 

   

 

 

     

Contractual revenue

     548,969        527,586        1,604,266        1,569,122          4       2

Contract-related maintenance

     51,633        41,176        143,658        121,247        25     18

Commercial rental

     206,531        147,899        522,229        379,544        40     38

Other

     17,518        17,209        52,391        50,365          2       4
  

 

 

   

 

 

   

 

 

   

 

 

     

Operating revenue (1)

     824,651        733,870        2,322,544        2,120,278        12     10

Fuel services revenue

     274,398        215,069        821,131        643,815        28     28
  

 

 

   

 

 

   

 

 

   

 

 

     

Total revenue

   $ 1,099,049        948,939      $ 3,143,675        2,764,093            16%         14%
  

 

 

   

 

 

   

 

 

   

 

 

     

Segment NBT

   $ 74,156        54,766      $ 180,222        122,687            35%         47%
  

 

 

   

 

 

   

 

 

   

 

 

     

Segment NBT as a % of total revenue

     6.7     5.8     5.7     4.4     90 bps   130 bps
  

 

 

   

 

 

   

 

 

   

 

 

     

Segment NBT as a % of operating revenue (1)

     9.0     7.5     7.8     5.8   150 bps   200 bps
  

 

 

   

 

 

   

 

 

   

 

 

     

 

 

(1) We use operating revenue, a non-GAAP financial measure, to evaluate the operating performance of our FMS business segment and as a measure of sales activity. Fuel services revenue, which is directly impacted by fluctuations in market fuel prices, is excluded from our operating revenue computation as fuel is largely a pass-through to customers for which we realize minimal changes in profitability during periods of steady market fuel prices. However, profitability may be positively or negatively impacted by rapid changes in market fuel prices during a short period of time as customer pricing for fuel services is established based on market fuel costs.

Total revenue increased 16% in the third quarter of 2011 to $1.10 billion. Operating revenue (revenue excluding fuel) increased 12% in the third quarter of 2011 to $824.7 million. In the nine months ended September 30, 2011, total revenue increased 14% to $3.14 billion and operating revenue increased 10% to $2.32 billion. The following table summarizes the components of the change in revenue on a percentage basis versus the prior year:

 

000000000 000000000 000000000 000000000
     Three months ended September 30, 2011   Nine months ended September 30, 2011
     Total   Operating   Total   Operating

Acquisitions

      6%       7%      3%      4%

Organic including price and volume

   3   4   4   5

FMS fuel

   6     6  

Foreign exchange

   1   1   1   1
  

 

 

 

 

 

 

 

Total increase

   16%   12%   14%   10%
  

 

 

 

 

 

 

 

Fuel services revenue increased 28% in the third quarter and first nine months of 2011 due to higher prices passed through to customers. Full service lease revenue increased 5% in the third quarter of 2011 and 3% in the nine months ended September 30, 2011 reflecting the impact of recent acquisitions. We expect favorable full service lease comparisons to continue through the end of the year primarily due to recent acquisitions. Commercial rental revenue increased 40% in the third quarter of 2011 and 38% in the nine months ended September 30, 2011 reflecting improved global market demand and higher pricing. We expect favorable commercial rental revenue comparisons to continue through the end of the year driven by higher demand and higher pricing on a larger fleet.

 

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Table of Contents

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

The following table provides commercial rental statistics on our global fleet:

 

     Three months ended September 30,     Nine months ended September 30,     Change 2011/2010
     2011     2010     2011     2010     Three
Months
  Nine
Months
     (Dollars in thousands)          

Rental revenue from non-lease customers

   $ 121,991        95,479      $ 318,201        238,594      28%   33%
  

 

 

   

 

 

   

 

 

   

 

 

     

Rental revenue from lease customers (1)

   $ 84,540        52,420      $ 204,028        140,950      61%   45%
  

 

 

   

 

 

   

 

 

   

 

 

     

Average commercial rental power fleet size — in service (2), (3)

     30,800        25,100        31,100        23,500      23%   32%
  

 

 

   

 

 

   

 

 

   

 

 

     

Commercial rental utilization — power fleet

     79.3     79.2     77.1     75.5   10 bps   160 bps
  

 

 

   

 

 

   

 

 

   

 

 

     

 

 

(1) Represents revenue from rental vehicles provided to our existing full service lease customers, generally during peak periods in their operations.

 

(2) Number of units rounded to nearest hundred and calculated using quarterly average unit counts.

 

(3) Fleet size excluding trailers.

FMS NBT increased 35% in the third quarter of 2011 to $74.2 million primarily due to significantly better commercial rental performance, improved used vehicle sales results and the impact of acquisitions. The increase in NBT was partially offset by higher compensation-related expenses as well as higher maintenance costs on an older fleet. Commercial rental performance improved 62% as a result of increased market demand and higher pricing on a 30% larger average fleet. The increase in the average fleet reflects organic growth of 12% and an acquisition-related impact of 18%. Used vehicle sales results improved by $14.6 million primarily due to higher pricing. The improvements in our commercial rental and used vehicle sales activities allowed us to better leverage our fixed costs. Acquisitions increased FMS NBT by 21%.

FMS NBT increased 47% in the nine months ended September 30, 2011 to $180.2 million reflecting the same trends as those that impacted the third quarter of 2011. Commercial rental performance improved 71%. Used vehicle sales results improved by $42.0 million. Acquisitions increased NBT by 14%. FMS NBT also benefited from a gain of $2.4 million on the sale of a facility.

 

33


Table of Contents

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

Our global fleet of owned and leased revenue earning equipment and contract maintenance vehicles is summarized as follows (number of units rounded to the nearest hundred):

 

                          Change  
     September 30,
2011
     December 31,
2010
     September 30,
2010
             Sep. 2011/        
Dec. 2010
         Sep. 2011/    
Sep. 2010
 

End of period vehicle count

              

By type:

              

Trucks (1)

     67,600         63,000         63,700         7%                 6%       

Tractors (2)

     54,400         49,600         50,300         10                    8          

Trailers (3), (4)

     43,200         33,000         33,300         31                    30          

Other

     2,500         3,100         2,900         (19)                   (14)         
  

 

 

    

 

 

    

 

 

       

Total

     167,700         148,700         150,200         13%                 12%       
  

 

 

    

 

 

    

 

 

       

By ownership:

              

Owned

     164,300         145,000         145,500         13%                 13%       

Leased

     3,400         3,700         4,700         (8)                   (28)         
  

 

 

    

 

 

    

 

 

       

Total

     167,700         148,700         150,200         13%                 12%       
  

 

 

    

 

 

    

 

 

       

By product line:

              

Full service lease (4)

     119,600         111,100         111,800         8%                 7%       

Commercial rental (4)

     40,100         29,700         30,900         35                    30          

Service vehicles and other

     2,900         2,700         2,800         7                    4          
  

 

 

    

 

 

    

 

 

       

Active units

     162,600         143,500         145,500         13                    12          

Held for sale (4)

     5,100         5,200         4,700         (2)                   9          
  

 

 

    

 

 

    

 

 

       

Total

     167,700         148,700         150,200         13%                 12%       
  

 

 

    

 

 

    

 

 

       

Customer vehicles under contract maintenance

     35,300         33,400         33,600         6%                 5%       
  

 

 

    

 

 

    

 

 

       

Quarterly average vehicle count

              

By product line:

              

Full service lease

     119,700         111,200         111,900         8%                 7%       

Commercial rental

     40,400         30,400         31,100         33                    30          

Service vehicles and other

     2,900         2,800         1,900         4                    53          
  

 

 

    

 

 

    

 

 

       

Active units

     163,000         144,400         144,900         13                    12          

Held for sale

     4,900         4,900         5,100         —                    (4)         
  

 

 

    

 

 

    

 

 

       

Total

     167,900         149,300         150,000         12                    12          
  

 

 

    

 

 

    

 

 

       

Customer vehicles under contract maintenance

     34,900         33,400         33,700         4%                 4%       
  

 

 

    

 

 

    

 

 

       

Year-to-date average vehicle count

              

By product line:

              

Full service lease

     114,800         112,500         112,900         2%                 2%       

Commercial rental

     35,600         29,800         29,600         19                    20          

Service vehicles and other

     2,900         2,600         2,600         12                    12          
  

 

 

    

 

 

    

 

 

       

Active units

     153,300         144,900         145,100         6                    6          

Held for sale

     5,000         5,800         6,100         (14)                   (18)         
  

 

 

    

 

 

    

 

 

       

Total

     158,300         150,700         151,200         5                    5          
  

 

 

    

 

 

    

 

 

       

Customer vehicles under contract maintenance

     33,800         33,700         33,800         —%                 —%       
  

 

 

    

 

 

    

 

 

       

 

 

(1) Generally comprised of Class 1 through Class 6 type vehicles with a Gross Vehicle Weight (GVW) up to 26,000 pounds.

 

(2) Generally comprised of over the road on highway tractors and are primarily comprised of Classes 7 and 8 type vehicles with a GVW of over 26,000 pounds.

 

(3) Generally comprised of dry, flatbed and refrigerated type trailers.

 

(4) Includes 9,500 trailers (6,100 full service lease and 3,400 commercial rental) acquired as part of the Hill Hire acquisition.

NOTE: Amounts were computed using a 6-point average based on monthly information.

 

34


Table of Contents

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

The following table provides a breakdown of our non-revenue earning equipment included in our global fleet count (number of units rounded to nearest hundred):

 

                          Change  
     September 30,
2011
     December 31,
2010
     September 30,
2010
             Sep. 2011/        
Dec. 2010
         Sep. 2011/    
Sep. 2010
 

Not yet earning revenue (NYE)

     1,500         800         1,000         88%                 50%        

No longer earning revenue (NLE):

              

Units held for sale

     5,100         5,200         4,700         (2)                   9           

Other NLE units

     2,500         2,000         2,200         25                    14           
  

 

 

    

 

 

    

 

 

       

Total

     9,100         8,000         7,900         14%                 15%        
  

 

 

    

 

 

    

 

 

       

NYE units represent new vehicles on hand that are being prepared for deployment to a lease customer or into the rental fleet. Preparations include activities such as adding lift gates, paint, decals, cargo area and refrigeration equipment. For 2011, NYE units increased reflecting new lease sales. We expect NYE levels to continue at the current level based on lease sales activity. NLE units represent vehicles held for sale and vehicles for which no revenue has been earned in the previous 30 days. For 2011, NLE units increased compared to year-end due to an increase in lease replacement activity. We expect NLE levels to continue at the current level as lease replacement activity continues.

Supply Chain Solutions

 

     Three months ended September 30,     Nine months ended September 30,     Change 2011/2010  
     2011     2010     2011     2010     Three
       Months      
     Nine
       Months      
 
     (Dollars in thousands)               

Operating revenue:

             

Automotive

   $ 115,377        114,744      $ 345,855        334,438        1%             3%       

High-Tech

     59,241        57,236        176,768        161,806        4                9          

Retail & CPG

     109,586        45,734        317,347        131,716        140                141          

Industrial and other

     42,613        40,828        126,268        118,693        4                6          
  

 

 

   

 

 

   

 

 

   

 

 

      

Total operating revenue (1)

     326,817        258,542        966,238        746,653        26                29          

Subcontracted transportation

     79,261        64,329        230,456        180,504        23                28          
  

 

 

   

 

 

   

 

 

   

 

 

      

Total revenue

   $ 406,078        322,871      $ 1,196,694        927,157        26%             29%       
  

 

 

   

 

 

   

 

 

   

 

 

      

Segment NBT

   $ 22,398        15,199      $ 51,693        34,784        47%             49%       
  

 

 

   

 

 

   

 

 

   

 

 

      

Segment NBT as a % of total revenue

     5.5     4.7     4.3     3.8     80 bps         50 bps   
  

 

 

   

 

 

   

 

 

   

 

 

      

Segment NBT as a % of operating revenue (1)

     6.9     5.9     5.3     4.7     100 bps         60 bps   
  

 

 

   

 

 

   

 

 

   

 

 

      

Memo: Fuel costs (2)

   $ 21,516        19,357      $ 70,166        57,762        11%             21%       
  

 

 

   

 

 

   

 

 

   

 

 

      

 

 

 

(1) In SCS transportation management arrangements, we may act as a principal or as an agent in purchasing transportation on behalf of our customer. We record revenue on a gross basis when acting as principal and we record revenue on a net basis when acting as an agent. As a result, total revenue may fluctuate depending on our role in subcontracted transportation arrangements yet our profitability remains unchanged as we typically realize minimal profitability from subcontracting transportation. We deduct subcontracted transportation expense from total revenue to arrive at operating revenue. We use operating revenue and NBT as a percent of operating revenue, non-GAAP financial measures, to evaluate the operating performance of our SCS business segment and as a measure of sales activity and profitability.

 

(2) Fuel costs are largely a pass-through to customers and therefore have a direct impact on revenue.

 

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ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

Total revenue increased 26% in the third quarter of 2011 to $406.1 million. Operating revenue (revenue excluding subcontracted transportation) increased 26% in the third quarter of 2011 to $326.8 million. For the nine months ended September 30, 2011, total revenue increased 29% to $1.20 billion and operating revenue increased 29% to $966.2 million. We expect favorable revenue comparisons to continue through the end of the year due to the impact of the TLC acquisition, higher overall freight volumes and new business. The following table summarizes the components of the change in revenue on a percentage basis versus the prior year:

 

     Three months ended September 30, 2011   Nine months ended September 30, 2011
     Total   Operating   Total   Operating

TLC acquisition

   20%   23%   21%   23%

Subcontracted transportation

   3     3  

Organic including price and volume

   1   1   2   3

Fuel cost pass-throughs

   1   1   1   1

Foreign exchange

   1   1   2   2
  

 

 

 

 

 

 

 

Total increase

   26%   26%   29%   29%
  

 

 

 

 

 

 

 

SCS NBT increased 47% in the third quarter of 2011 to $22.4 million and 49% in the nine months ended September 30, 2011 to $51.7 million. The TLC acquisition increased SCS NBT by 37% during the third quarter of 2011 and 33% during the first nine months of 2011. SCS NBT also benefited from higher freight volumes as well as new business, partially offset by increased compensation-related expenses. The third quarter of 2011 also benefitted from favorable insurance development and gains related to foreign exchange and the sale of a facility.

Dedicated Contract Carriage

 

     Three months ended September 30,     Nine months ended September 30,     Change 2011/2010  
     2011     2010     2011     2010     Three
Months
     Nine
Months
 
     (Dollars in thousands)               

Operating revenue (1)

   $ 149,463        118,672      $ 419,503        349,290        26%              20%        

Subcontracted transportation

     9,463        2,720        24,544        11,468        248                 114           
  

 

 

   

 

 

   

 

 

   

 

 

      

Total revenue

   $ 158,926        121,392      $ 444,047        360,758        31%              23%        
  

 

 

   

 

 

   

 

 

   

 

 

      

Segment NBT

   $ 8,358        8,619      $ 25,517        24,437        (3)%            4%        
  

 

 

   

 

 

   

 

 

   

 

 

      

Segment NBT as a % of total revenue

     5.3     7.1     5.7     6.8     (180) bps         (110) bps   
  

 

 

   

 

 

   

 

 

   

 

 

      

Segment NBT as a % of operating revenue (1)

     5.6     7.3     6.1     7.0     (170) bps         (90) bps   
  

 

 

   

 

 

   

 

 

   

 

 

      

Memo: Fuel costs (2)

   $ 33,367        21,058      $ 93,587        61,630        58%              52%        
  

 

 

   

 

 

   

 

 

   

 

 

      

 

 

(1) In DCC transportation management arrangements we may act as a principal or as an agent in purchasing transportation on behalf of our customer. We record revenue on a gross basis when acting as principal and we record revenue on a net basis when acting as an agent. As a result, total revenue may fluctuate depending on our role in subcontracted transportation arrangements yet our profitability remains unchanged as we typically realize minimal profitability from subcontracting transportation. We deduct subcontracted transportation expense from total revenue to arrive at operating revenue. We use operating revenue and NBT as a percent of operating revenue, non-GAAP financial measures, to evaluate the operating performance of our DCC business segment and as a measure of sales activity and profitability.

 

(2) Fuel costs are largely a pass-through to customers and therefore have a direct impact on revenue.

Total revenue increased 31% in the third quarter of 2011 to $158.9 million. Operating revenue (revenue excluding subcontracted transportation) increased 26% in the third quarter of 2011 to $149.5 million. For the nine months ended September 30, 2011, total revenue increased 23% to $444.0 million and operating revenue increased 20% to $419.5 million. We expect favorable revenue comparisons to continue through the end of the year due to the impact of the Scully acquisition. The following table summarizes the components of the change in revenue on a percentage basis versus the prior year:

 

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ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

     Three months ended September 30, 2011   Nine months ended September 30, 2011
     Total   Operating   Total   Operating

Scully acquisition

   21%   17%   17%   14%

Fuel cost pass-throughs

   6   6   5   6

Subcontracted transportation

   2      

Organic including price and volume

   2   3   1  
  

 

 

 

 

 

 

 

Total increase

   31%   26%   23%   20%
  

 

 

 

 

 

 

 

DCC NBT decreased 3% in the third quarter of 2011 to $8.4 million reflecting higher compensation-related expense and legal claims partially offset by better operating performance. DCC NBT increased 4% in the first nine months of 2011 to $25.5 million reflecting the impact of the Scully acquisition partially offset by higher compensation costs.

Central Support Services

 

     Three months ended September 30,     Nine months ended September 30,     Change 2011/2010  
     2011     2010     2011     2010     Three
       Months      
     Nine
       Months      
 
     (Dollars in thousands)               

Human resources

   $ 4,656        3,839      $ 13,690        11,351        21%               21%         

Finance

     12,817        13,622        37,221        38,198        (6)                 (3)           

Corporate services and public affairs

     3,284        3,317        9,893        10,199        (1)                 (3)           

Information technology

     15,430        14,289        45,850        42,078        8                  9            

Health and safety

     1,843        1,688        5,659        5,364        9                  5            

Other

     16,565        10,952        39,566        28,518        51                  39            
  

 

 

   

 

 

   

 

 

   

 

 

      

Total CSS

     54,595        47,707        151,879        135,708        14                  12            

Allocation of CSS to business segments

     (43,003     (35,750     (120,315     (105,002     (20)                 (15)           
  

 

 

   

 

 

   

 

 

   

 

 

      

Unallocated CSS

   $ 11,592        11,957      $ 31,564        30,706        (3)%               3%         
  

 

 

   

 

 

   

 

 

   

 

 

      

Total CSS costs increased 14% in the third quarter of 2011 to $54.6 million and increased 12% in the first nine months of 2011 to $151.9 million primarily due to higher compensation-related expenses and investments in information technology. Unallocated CSS costs decreased 3% in the third quarter of 2011 due to lower professional services. Unallocated CSS costs increased 3% in the nine months ended September 30, 2011 due to higher compensation-related expenses.

FINANCIAL RESOURCES AND LIQUIDITY

Cash Flows

The following is a summary of our cash flows from operating, financing and investing activities from continuing operations:

 

     Nine months ended September 30,  
     2011     2010  
     (In thousands)  

Net cash provided by (used in):

    

Operating activities

   $ 782,303        804,162   

Financing activities

     372,138        (96,008

Investing activities

     (1,254,438     (664,397

Effect of exchange rate changes on cash

     3,848        6   
  

 

 

   

 

 

 

Net change in cash and cash equivalents

   $ (96,149     43,763   
  

 

 

   

 

 

 

A detail of the individual items contributing to the cash flow changes is included in the Consolidated Condensed Statements of Cash Flows.

 

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ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

Cash provided by operating activities from continuing operations decreased to $782.3 million in the nine months ended September 30, 2011 compared with $804.2 million in 2010 because of an increase in working capital needs. Cash provided by financing activities increased to $372.1 million compared with cash used in financing activities of $96.0 million in 2010 due to higher borrowing needs to fund acquisitions and capital spending. Cash used in investing activities increased to $1.25 billion compared with $664.4 million in 2010 due to acquisition-related payments and higher vehicle spending.

We refer to the sum of operating cash flows, proceeds from the sales of revenue earning equipment and operating property and equipment, collections on direct finance leases and other investing cash inflows from continuing operations as “total cash generated.” We refer to the net amount of cash generated from operating and investing activities (excluding changes in restricted cash and acquisitions) from continuing operations as “free cash flow.” Although total cash generated and free cash flow are non-GAAP financial measures, we consider them to be important measures of comparative operating performance. We also believe total cash generated to be an important measure of total cash inflows generated from our ongoing business activities. We believe free cash flow provides investors with an important perspective on the cash available for debt service and for shareholders after making capital investments required to support ongoing business operations. Our calculation of free cash flow may be different from the calculation used by other companies and therefore comparability may be limited.

The following table shows the sources of our free cash flow computation:

 

     Nine months ended September 30,  
     2011     2010  
     (In thousands)  

Net cash provided by operating activities from continuing operations

   $ 782,303        804,162   

Sales of revenue earning equipment

     216,055        159,012   

Sales of operating property and equipment

     7,869        2,821   

Collections on direct finance leases

     46,136        45,941   

Other, net

            1,950   
  

 

 

   

 

 

 

Total cash generated

     1,052,363        1,013,886   

Purchases of property and revenue earning equipment

     (1,165,135     (860,902
  

 

 

   

 

 

 

Free cash flow

   $ (112,772     152,984   
  

 

 

   

 

 

 

Free cash flow decreased $265.8 million to negative $112.8 million in the nine months ended September 30, 2011 primarily due to higher vehicle spending. We anticipate full-year 2011 free cash flow to be consistent with our previous forecast of negative $215 million.

The following table provides a summary of capital expenditures:

 

     Nine months ended September 30,  
     2011     2010  
     (In thousands)  

Revenue earning equipment: (1)

    

Full service lease

   $ 614,227        487,703   

Commercial rental

     579,511        357,510   
  

 

 

   

 

 

 
     1,193,738        845,213   

Operating property and equipment

     55,334        49,497   
  

 

 

   

 

 

 

Total capital expenditures

     1,249,072        894,710   

Changes in accounts payable related to purchases of revenue earning equipment

     (83,937     (33,808
  

 

 

   

 

 

 

Cash paid for purchases of property and revenue earning equipment

   $ 1,165,135        860,902   
  

 

 

   

 

 

 

 

 

(1) Capital expenditures exclude non-cash additions of approximately $1.2 million and $0.1 million during the nine months ended September 30, 2011 and 2010, respectively, in assets held under capital leases resulting from the extension of existing operating leases and other additions.

Capital expenditures (accrual basis) increased 40% in the nine months ended September 30, 2011 to $1.25 billion because of increased commercial rental spending to refresh and grow the rental fleet and higher full service lease vehicle spending for new business and replacement of customer fleets. We anticipate full-year 2011 accrual basis capital expenditures to be consistent with our previous forecast of $1.75 billion.

 

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Table of Contents

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

Financing and Other Funding Transactions

We utilize external capital primarily to support working capital needs and growth in our asset-based product lines. The variety of debt financing alternatives typically available to fund our capital needs include commercial paper, long-term and medium-term public and private debt, asset-backed securities, bank term loans, leasing arrangements and bank credit facilities. Our principal sources of financing are issuances of commercial paper and medium-term notes.

Our ability to access unsecured debt in the capital markets is impacted by both our short-term and long-term debt ratings. These ratings are intended to provide guidance to investors in determining the credit risk associated with particular Ryder securities based on current information obtained by the rating agencies from us or from other sources. Lower ratings generally result in higher borrowing costs as well as reduced access to unsecured capital markets. A significant downgrade of our short-term debt ratings would impair our ability to issue commercial paper and likely require us to rely on alternative funding sources. A significant downgrade would not affect our ability to borrow amounts under our revolving credit facility described below.

Our debt ratings at September 30, 2011 were as follows:

 

     Short-term    Long-term   

Outlook

Moody’s Investors Service

   P2    Baa1   

Stable (affirmed February 2011)

Standard & Poor’s Ratings Services

   A2    BBB+   

Stable (affirmed August 2011)

Fitch Ratings

   F2    A –   

Stable (affirmed March 2011)

We believe that our operating cash flows, together with our access to commercial paper markets and other available debt financing, will be adequate to meet our operating, investing and financing needs in the foreseeable future. However, there can be no assurance that unanticipated volatility and disruption in commercial paper markets would not impair our ability to access these markets on terms commercially acceptable to us or at all. If we cease to have access to commercial paper and other sources of unsecured borrowings, we would meet our liquidity needs by drawing upon contractually committed lending agreements as described below and/or by seeking other funding sources.

In June 2011, we executed a new $900 million global revolving credit facility with a syndicate of twelve lending institutions led by Bank of America N.A., Bank of Tokyo-Mitsubishi UFJ, Ltd., BNP Paribas, Mizuho Corporate Bank, Ltd., Royal Bank of Canada, Royal Bank of Scotland Plc, U.S. Bank National Association and Wells Fargo Bank, N.A. This replaced an $875 million credit facility which was scheduled to mature in April 2012. The new global credit facility matures in June 2016 and is used primarily to finance working capital and provide support for the issuance of unsecured commercial paper in the U.S. and Canada. This facility can also be used to issue up to $75 million in letters of credit (there were no letters of credit outstanding against the facility at September 30, 2011). At our option, the interest rate on borrowings under the credit facility is based on LIBOR, prime, federal funds or local equivalent rates. The agreement provides for annual facility fees, which range from 10.0 basis points to 32.5 basis points, and are based on Ryder’s long-term credit ratings. The current annual facility fee is 15.0 basis points, which applies to the total facility size of $900 million. The credit facility contains no provisions limiting its availability in the event of a material adverse change to Ryder’s business operations; however, the credit facility does contain standard representations and warranties, events of default, cross-default provisions and certain affirmative and negative covenants. In order to maintain availability of funding, we must maintain a ratio of debt to consolidated tangible net worth, of less than or equal to 300%. Tangible net worth, as defined in the credit facility, includes 50% of our deferred federal income tax liability and excludes the book value of our intangibles. The ratio at September 30, 2011 was 214%. At September 30, 2011, $631.1 million was available under the credit facility, net of the support for commercial paper borrowings.

Our global revolving credit facility permits us to refinance short-term commercial paper obligations on a long-term basis. Settlement of short-term commercial paper obligations not expected to require the use of working capital are classified as long-term as we have both the intent and ability to refinance on a long-term basis.

In May 2011, we issued $350 million of unsecured medium-term notes maturing in June 2017. In connection with the issuance of the medium term notes, we entered into three interest rate swaps with an aggregate notional amount of $150 million maturing in June 2017. The swaps were designated as fair value hedges whereby we receive fixed interest rate payments in exchange for making variable interest rate payments. The differential to be paid or received is accrued and recognized as interest expense. Refer to Note (O),”Derivatives” for additional information.

 

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Table of Contents

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

In February 2011, we issued $350 million of unsecured medium-term notes maturing in March 2015. In connection with the issuance of the medium term notes, we entered into two interest rate swaps with an aggregate notional amount of $150 million maturing in March 2015. The swaps were designated as fair value hedges whereby we receive fixed interest rate payments in exchange for making variable interest rate payments. The differential to be paid or received is accrued and recognized as interest expense. Refer to Note (O), “Derivatives” for additional information.

We have a trade receivables purchase and sale program, pursuant to which we sell certain of our domestic trade accounts receivable to a bankruptcy remote, consolidated subsidiary of Ryder, that in turn sells, on a revolving basis, an ownership interest in certain of these accounts receivable to a receivables conduit or committed purchasers. The subsidiary is considered a VIE and is consolidated based on our control of the entity’s activities. We use this program to provide additional liquidity to fund our operations, particularly when it is cost effective to do so. The costs under the program may vary based on changes in interest rates. The available proceeds that may be received under the program are limited to $175 million. If no event occurs which causes early termination, the 364-day program will expire on October 28, 2011. We are currently in the process of renewing the program through October 2012. The program contains provisions restricting its availability in the event of a material adverse change to our business operations or the collectability of the collateralized receivables. At September 30, 2011 and December 31, 2010, no amounts were outstanding under the program. Sales of receivables under this program will be accounted for as secured borrowings based on our continuing involvement in the transferred assets.

Historically, we have established asset-backed securitization programs whereby we have sold beneficial interests in certain long-term vehicle leases and related vehicle residuals to a bankruptcy-remote special purpose entity that in turn transfers the beneficial interest to a special purpose securitization trust in exchange for cash. The securitization trust funds the cash requirement with the issuance of asset-backed securities, secured or otherwise collateralized by the beneficial interest in the long-term vehicle leases and the residual value of the vehicles. The securitization provides us with further liquidity and access to additional capital markets based on market conditions. On June 18, 2008, Ryder Funding II LP, a special purpose bankruptcy-remote subsidiary wholly-owned by Ryder, filed a registration statement on Form S-3 with the SEC for the registration of $600 million in asset-backed notes. The registration statement became effective on November 6, 2008.

At September 30, 2011 we had the following amounts available to fund operations under the aforementioned facilities:

 

     (In millions)

Global revolving credit facility

   $631

Trade receivables program

   $175

 

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Table of Contents

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

The following table shows the movements in our debt balance:

 

     Nine months ended September 30,  
     2011     2010  
     (In thousands)  

Debt balance at January 1

   $ 2,747,002        2,497,691   
  

 

 

   

 

 

 

Cash-related changes in debt:

    

Net change in commercial paper borrowings

     (101,964     (48,000

Proceeds from issuance of medium-term notes

     699,244        300,000   

Proceeds from issuance of other debt instruments

     267,155        14,511   

Retirement of medium-term notes

     (375,000     (175,000

Other debt repaid, including capital lease obligations

     (42,955     (64,560

Net change from discontinued operations

     (143     (2,941
  

 

 

   

 

 

 
     446,337        24,010   

Non-cash changes in debt:

    

Fair market value adjustment on notes subject to hedging

     9,263        5,938   

Addition of capital lease obligations

     1,187        106   

Changes in foreign currency exchange rates and other non-cash items

     (5,195     2,040   
  

 

 

   

 

 

 

Total changes in debt

     451,592        32,094   
  

 

 

   

 

 

 

Debt balance at September 30

   $ 3,198,594        2,529,785   
  

 

 

   

 

 

 

In accordance with our funding philosophy, we attempt to balance the aggregate average remaining re-pricing life of our debt with the aggregate average remaining re-pricing life of our assets. We utilize both fixed-rate and variable-rate debt to achieve this match and generally target a mix of 25% to 45% variable-rate debt as a percentage of total debt outstanding. The variable-rate portion of our total obligations (including notional value of swap agreements) was 38% and 28% at September 30, 2011 and December 31, 2010, respectively.

Ryder’s leverage ratios and a reconciliation of on-balance sheet debt to total obligations were as follows:

 

     September 30,
2011
     % to
Equity
     December 31,
2010
     % to
Equity
 
     (Dollars in thousands)  

On-balance sheet debt

   $ 3,198,594         220%         2,747,002         196%     

Off-balance sheet debt—PV of minimum lease payments and guaranteed residual values under operating leases for vehicles (1)

     64,474            99,797      
  

 

 

       

 

 

    

Total obligations

   $ 3,263,068         225%         2,846,799         203%     
  

 

 

       

 

 

    

 

 

(1) Present value (PV) does not reflect payments Ryder would be required to make if we terminated the related leases prior to the scheduled expiration dates.

On-balance sheet debt to equity consists of balance sheet debt divided by total equity. Total obligations to equity represents balance sheet debt plus the present value of minimum lease payments and guaranteed residual values under operating leases for vehicles, discounted based on our incremental borrowing rate at lease inception, all divided by total equity. Although total obligations is a non-GAAP financial measure, we believe that total obligations is useful as it provides a more complete analysis of our existing financial obligations and helps better assess our overall leverage position. Our leverage ratios increased in 2011 due to acquisitions and increased investment in vehicles.

Off-Balance Sheet Arrangements

We periodically enter into sale-leaseback transactions in order to lower the total cost of funding our operations, to diversify our funding among different classes of investors and to diversify our funding among different types of funding instruments. These sale-leaseback transactions are often executed with third-party financial institutions. In general, these sale-leaseback transactions results in a reduction in revenue earning equipment and debt on the balance sheet, as proceeds from the sale of revenue earning equipment are primarily used to repay debt. Accordingly, sale-leaseback transactions will result in reduced depreciation and interest expense and

 

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ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

increased equipment rental expense. These leases contain limited guarantees by us of the residual values of the leased vehicles (residual value guarantees) that are conditioned upon disposal of the leased vehicles prior to the end of their lease term. The amount of future payments for residual value guarantees will depend on the market for used vehicles and the condition of the vehicles at time of disposal. We did not enter into any sale-leaseback transactions during the nine months ended September 30, 2011 or 2010.

Pension Information

The funded status of our pension plans is dependent upon many factors, including returns on invested assets and the level of certain market interest rates. We review pension assumptions regularly and we may from time to time make voluntary contributions to our pension plans, which exceed the amounts required by statute. In 2011, we expect to contribute approximately $15.8 million to our pension plans. During the nine months ended September 30, 2011, we contributed $12.4 million to our pension plans. Changes in interest rates and the market value of the securities held by the plans during 2011 could materially change, positively or negatively, the funded status of the plans and affect the level of pension expense and required contributions in 2012 and beyond. See Note (R), “Employee Benefit Plans,” in the Notes to Consolidated Condensed Financial Statements for additional information.

Share Repurchases and Cash Dividends

See Note (P), “Share Repurchase Programs,” in the Notes to Consolidated Condensed Financial Statements for a discussion of share repurchases.

In October 2011, our Board of Directors declared a quarterly cash dividend of $0.29 per share of common stock.

NON-GAAP FINANCIAL MEASURES

This Quarterly Report on Form 10-Q includes information extracted from consolidated condensed financial information but not required by generally accepted accounting principles (GAAP) to be presented in the financial statements. Certain of this information are considered “non-GAAP financial measures” as defined by SEC rules. Specifically, we refer to comparable earnings from continuing operations, comparable EPS from continuing operations, operating revenue, salaries and employee-related costs as a percentage of operating revenue, FMS operating revenue, FMS NBT as a % of operating revenue, SCS operating revenue, SCS NBT as a % of operating revenue, DCC operating revenue, DCC NBT as a % of operating revenue, total cash generated, free cash flow, total obligations and total obligations to equity. As required by SEC rules, we provide a reconciliation of each non-GAAP financial measure to the most comparable GAAP measure and an explanation why management believes that presentation of the non-GAAP financial measure provides useful information to investors. Non-GAAP financial measures should be considered in addition to, but not as a substitute for or superior to, other measures of financial performance prepared in accordance with GAAP.

The following table provides a numerical reconciliation of total revenue to operating revenue which was not provided within the MD&A discussion:

 

     Three months ended September 30,     Nine months ended September 30,  
     2011     2010     2011     2010  
     (In thousands)  

Total revenue

   $ 1,570,720        1,316,948      $ 4,509,440        3,823,009   

FMS fuel services and SCS/DCC subcontracted transportation (1)

     (363,122     (282,118     (1,076,131     (835,787

Fuel eliminations

     48,891        36,781        144,256        109,078   
  

 

 

   

 

 

   

 

 

   

 

 

 

Operating revenue

   $ 1,256,489        1,071,611      $ 3,577,565        3,096,300   
  

 

 

   

 

 

   

 

 

   

 

 

 

 

 

(1) Includes intercompany fuel sales.

 

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ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

FORWARD-LOOKING STATEMENTS

Forward-looking statements (within the meaning of the Federal Private Securities Litigation Reform Act of 1995) are statements that relate to expectations, beliefs, projections, future plans and strategies, anticipated events or trends concerning matters that are not historical facts. These statements are often preceded by or include the words “believe,” “expect,” “intend,” “estimate,” “anticipate,” “will,” “may,” “could,” “should” or similar expressions. This Quarterly Report on Form 10-Q contains forward-looking statements including, but not limited to, statements regarding:

 

 

our expectations as to anticipated revenue and earnings in each business segment, as well as future economic conditions and market demand with respect to higher overall freight volume, continued improvement in contractual lease demand, favorable commercial rental, SCS and DCC demand, increased revenue from recent acquisitions and new business;

 

 

our expectations regarding commercial rental pricing trends and fleet utilization;

 

 

our expectations of the long-term residual values of revenue earning equipment;

 

 

our ability to sell certain revenue earning vehicles throughout the year;

 

 

the anticipated levels of NYE and NLE vehicles in inventory through the end of the year;

 

 

our expectations of free cash flow, operating cash flow, total cash generated and capital expenditures for the remainder of 2011;

 

 

our expectations regarding future payments of contingent consideration with respect to recent acquisitions;

 

 

the adequacy of our accounting estimates and reserves for pension expense, employee benefit plan obligations, depreciation and residual value guarantees, self-insurance reserves, goodwill impairment, accounting changes and income taxes;

 

 

the adequacy of our fair value estimates of employee incentive awards under our share-based compensation plans;

 

 

the adequacy of our fair value estimates of total debt;

 

 

our beliefs regarding the default risk of our direct financing lease receivables

 

 

our ability to fund all of our operations for the foreseeable future through internally generated funds and outside funding sources;

 

 

the anticipated impact of foreign exchange rate movements;

 

 

the anticipated impact of fuel price fluctuations;

 

 

our expectations as to return on pension plan assets, future pension expense and estimated contributions;

 

 

our expectations regarding the completion and ultimate resolution of tax audits;

 

 

our expectations regarding the scope, anticipated outcomes and the adequacy of our loss provisions with respect to certain claims, proceedings and lawsuits;

 

 

the anticipated deferral of tax gains on disposal of eligible revenue earning equipment pursuant to our vehicle like-kind exchange program;

 

 

our expectations regarding the impact of recently adopted or implemented accounting pronouncements;

 

 

our ability to access short-term and long-term unsecured debt in the capital markets;

 

 

our expectations regarding the future use and availability of funding sources; and

 

 

the appropriateness of our short-term and long-term target leverage ranges and our expectations regarding meeting those ranges.

These statements, as well as other forward-looking statements contained in this Quarterly Report, are based on our current plans and expectations and are subject to risks, uncertainties and assumptions. We caution readers that certain important factors could cause actual results and events to differ significantly from those expressed in any forward-looking statements. These risk factors include, but are not limited to, the following:

 

 

Market Conditions:

 

  ¡    

Changes in general economic and financial conditions in the U.S. and worldwide leading to decreased demand for our services, lower profit margins, increased levels of bad debt and reduced access to credit

 

  ¡    

Decrease in freight demand or setbacks in the recent recovery of the freight recession which would impact both our transactions and variable-based contractual business

 

  ¡    

Changes in our customers’ operations, financial condition or business environment that may limit their need for, or ability to purchase, our services

 

  ¡    

Changes in market conditions affecting the commercial rental market or the sale of used vehicles

 

  ¡    

Volatility in automotive and high-tech volumes and shifting customer demand in the automotive and high-tech industries

 

  ¡    

Less than anticipated growth rates in the markets in which we operate

 

  ¡    

Changes in current financial, tax or regulatory requirements that could negatively impact the leasing market

 

 

Competition:

 

43


Table of Contents

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION

AND RESULTS OF OPERATIONS — (Continued)

 

  ¡    

Advances in technology may require increased investments to remain competitive, and our customers may not be willing to accept higher prices to cover the cost of these investments

 

  ¡    

Competition from other service providers, some of which have greater capital resources or lower capital costs

 

  ¡    

Continued consolidation in the markets in which we operate which may create large competitors with greater financial resources

 

  ¡    

Our inability to maintain current pricing levels due to economic conditions, demand for services, customer acceptance or competition

 

 

Profitability:

 

  ¡    

Our inability to obtain adequate profit margins for our services

 

  ¡    

Lower than expected sales volumes or customer retention levels

 

  ¡    

Our inability to integrate acquisitions as projected, achieve planned synergies, anticipate costs and liabilities or retain customers of companies we acquire

 

  ¡    

Lower full service lease sales activity

 

  ¡    

Loss of key customers in our SCS and DCC business segments

 

  ¡    

Our inability to adapt our product offerings to meet changing consumer preferences on a cost-effective basis

 

  ¡    

The inability of our business segments to create operating efficiencies

 

  ¡    

The inability of our legacy information technology systems to provide timely access to data

 

  ¡    

The inability of our data security measures to prevent a data privacy breach

 

  ¡    

Sudden changes in fuel prices and fuel shortages

 

  ¡    

Higher prices for vehicles, diesel engines and fuel as a result of exhaust emissions standards enacted over the last few years

 

  ¡    

Our inability to successfully implement our asset management initiatives

 

  ¡    

Our key assumptions and pricing structure of our SCS contracts prove to be invalid

 

  ¡    

Increased unionizing, labor strikes, work stoppages and driver shortages

 

  ¡    

Difficulties in attracting and retaining drivers due to driver shortages, which may result in higher costs to procure drivers and higher turnover rates affecting our customers

 

  ¡    

Our inability to manage our cost structure

 

  ¡    

Our inability to limit our exposure for customer claims

 

  ¡    

Unfavorable or unanticipated outcomes in legal proceedings

 

 

Financing Concerns:

 

  ¡    

Higher borrowing costs and possible decreases in available funding sources caused by an adverse change in our debt ratings

 

  ¡    

Unanticipated interest rate and currency exchange rate fluctuations

 

  ¡    

Negative funding status of our pension plans caused by lower than expected returns on invested assets and unanticipated changes in interest rates

 

  ¡    

Withdrawal liability as a result of our participation in multi-employer plans

 

  ¡    

Instability in U.S. and worldwide credit markets, resulting in higher borrowing costs and/or reduced access to credit

 

 

Accounting Matters:

 

  ¡    

Impact of unusual items resulting from ongoing evaluations of business strategies, asset valuations, acquisitions, divestitures and our organizational structure

 

  ¡    

Reductions in residual values or useful lives of revenue earning equipment

 

  ¡    

Increases in compensation levels, retirement rate and mortality resulting in higher pension expense; regulatory changes affecting pension estimates, accruals and expenses

 

  ¡    

Increases in healthcare costs resulting in higher insurance costs

 

  ¡    

Changes in accounting rules, assumptions and accruals

 

  ¡    

Impact of actual insurance claim and settlement activity compared to historical loss development factors used to project future development

 

 

Other risks detailed from time to time in our SEC filings

New risk factors emerge from time to time and it is not possible for management to predict all such risk factors or to assess the impact of such risk factors on our business. As a result, no assurance can be given as to our future results or achievements. You should not place undue reliance on the forward-looking statements contained herein, which speak only as of the date of this Quarterly Report. We do not intend, or assume any obligation, to update or revise any forward-looking statements contained in this Quarterly Report, whether as a result of new information, future events or otherwise.

 

44


Table of Contents

ITEM 3. QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK

There have been no material changes to Ryder’s exposures to market risks since December 31, 2010. Please refer to the 2010 Annual Report on Form 10-K for a complete discussion of Ryder’s exposures to market risks.

ITEM 4. CONTROLS AND PROCEDURES

Evaluation of Disclosure Controls and Procedures

As of the end of the third quarter of 2011, we carried out an evaluation, under the supervision and with the participation of management, including Ryder’s Chief Executive Officer and Chief Financial Officer, of the effectiveness of the design and operation of Ryder’s disclosure controls and procedures (as defined in Rule 13a-15(e) under the Securities Exchange Act of 1934). Based upon that evaluation, the Chief Executive Officer and Chief Financial Officer concluded that as of the end of the third quarter of 2011, Ryder’s disclosure controls and procedures (as defined in Rule 13a-15(e) under the Securities Exchange Act of 1934) were effective.

Changes in Internal Controls over Financial Reporting

During the three months ended September 30, 2011, there were no changes in Ryder’s internal control over financial reporting that have materially affected or are reasonably likely to materially affect such internal control over financial reporting.

PART II. OTHER INFORMATION

ITEM 2. UNREGISTERED SALES OF EQUITY SECURITIES AND USE OF PROCEEDS

The following table provides information with respect to purchases we made of our common stock during the three months ended September 30, 2011:

 

     Total Number
of Shares
Purchased(1)
     Average Price
Paid per  Share
     Total Number  of
Shares
Purchased as
Part of Publicly
Announced
Programs
     Maximum
Number of
Shares That May
Yet Be
Purchased Under
the Anti-Dilutive
Program(2)
 

July 1 through July 31, 2011

     35,516       $ 55.52         30,000         588,344   

August 1 through August 31, 2011

     181,051         45.50         172,971         415,373   

September 1 through September 30, 2011

     2,330         40.14                 415,373   
  

 

 

    

 

 

    

 

 

    

Total

     218,897       $ 47.07         202,971      
  

 

 

    

 

 

    

 

 

    

 

 

(1) During the three months ended September 30, 2011, we purchased an aggregate of 15,926 shares of our common stock in employee-related transactions. Employee-related transactions may include: (i) shares of common stock delivered as payment for the exercise price of options exercised or to satisfy the option holders’ tax withholding liability associated with our share-based compensation programs and (ii) open-market purchases by the trustee of Ryder’s deferred compensation plans relating to investments by employees in our stock, one of the investment options available under the plans.

 

(2) In December 2009, our Board of Directors authorized a share repurchase program intended to mitigate the dilutive impact of shares issued under our various employee stock, stock option and stock purchase plans. Under the December 2009 program, management is authorized to repurchase shares of common stock in an amount not to exceed the number of shares issued to employees under our various employee stock, stock option and stock purchase plans from December 1, 2009 through December 15, 2011. The December 2009 program limits aggregate share repurchases to no more than 2 million shares of Ryder common stock. Share repurchases of common stock are made periodically in open-market transactions and are subject to market conditions, legal requirements and other factors. Management established a prearranged written plan for the Company under Rule 10b5-1 of the Securities Exchange Act of 1934 as part of the December 2009 program, which allowed for share repurchases during Ryder’s quarterly blackout periods as set forth in the trading plan. For the three months ended September 30, 2011 we repurchased and retired 202,971 shares under this program at an aggregate cost of $9.5 million.

 

45


Table of Contents

ITEM 6. EXHIBITS

 

31.1

   Certification of Gregory T. Swienton pursuant to Rule 13a-14(a) or Rule 15d-14(a).

31.2

   Certification of Art A. Garcia pursuant to Rule 13a-14(a) or Rule 15d-14(a).

   32

   Certification of Gregory T. Swienton and Art A. Garcia pursuant to Rule 13a-14(b) or Rule 15d-14(b) and 18 U.S.C. Section 1350.

 

46


Table of Contents

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.

 

  RYDER SYSTEM, INC.
  (Registrant)
Date: October 25, 2011   By:  

/s/ Art A. Garcia

 
    Art A. Garcia  
    Executive Vice President and Chief Financial Officer  
    (Principal Financial Officer and Duly Authorized Officer)  
Date: October 25, 2011   By:  

/s/ Cristina A. Gallo-Aquino

 
    Cristina A. Gallo-Aquino  
   

Vice President and Controller

(Principal Accounting Officer)

 

 

47

EX-31.1 2 d245472dex311.htm CERTIFICATION OF GREGORY T. SWIENTON Certification of Gregory T. Swienton

EXHIBIT 31.1

CERTIFICATION

I, Gregory T. Swienton, certify that:

 

  1. I have reviewed this quarterly report on Form 10-Q of Ryder System, Inc.;

 

  2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

  3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

 

  4. The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 

  a) designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

  b) designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

  c) evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

  d) disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

  5. The registrant’s other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

  a) all significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

  b) any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date: October 25, 2011  

/s/ Gregory T. Swienton

 
 

Gregory T. Swienton

Chairman and Chief Executive Officer

EX-31.2 3 d245472dex312.htm CERTIFICATION OF ART A. GARCIA Certification of Art A. Garcia

EXHIBIT 31.2

CERTIFICATION

I, Art A. Garcia, certify that:

 

  1. I have reviewed this quarterly report on Form 10-Q of Ryder System, Inc.;

 

  2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

  3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

 

  4. The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

 

  a) designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

  b) designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

  c) evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

  d) disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

  5. The registrant’s other certifying officer and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

  a) all significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

  b) any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date: October 25, 2011  

/s/ Art A. Garcia

 
 

Art A. Garcia

Executive Vice President and Chief Financial Officer

EX-32 4 d245472dex32.htm CERTIFICATION OF GREGORY T. SWIENTON AND ART A. GARCIA Certification of Gregory T. Swienton and Art A. Garcia

EXHIBIT 32

CERTIFICATION

In connection with the Quarterly Report of Ryder System, Inc. (the “Company”) on Form 10-Q for the period ended September 30, 2011 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), Gregory T. Swienton, Chief Executive Officer of the Company, and Art A.Garcia, Chief Financial Officer of the Company, certify, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:

 

1. The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

2. The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

/s/ Gregory T. Swienton

Gregory T. Swienton

Chairman and Chief Executive Officer

October 25, 2011

 

/s/ Art A. Garcia

Art A. Garcia

Executive Vice President and Chief Financial Officer

October 25, 2011

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Tax audits by their very nature are often complex and can require several years to complete. In the normal course of business, we are subject to challenges from the Internal Revenue Service (IRS) and other tax authorities regarding amounts of taxes due. These challenges may alter the timing or amount of taxable income or deductions, or the allocation of income among tax jurisdictions. As part of our calculation of the provision for income taxes on earnings, we recognize the tax benefit from uncertain tax positions that are at least more likely than not of being sustained upon audit based on the technical merits of the tax position. The tax benefit to be recognized is measured as the largest amount of benefit that is greater than fifty percent likely of being realized upon ultimate settlement. Such calculations require management to make estimates and judgments with respect to the ultimate outcome of a tax audit. Actual results could vary materially from these estimates. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:2%"><font style="font-family:times new roman" size="2"> The following is a summary of tax years that are no longer subject to examination: </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:2%"><font style="font-family:times new roman" size="2"><i>Federal&#160;&#8212;</i> audits of our U.S.&#160;federal income tax returns are closed through fiscal year 2007. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:2%"><font style="font-family:times new roman" size="2"><i>State</i>&#160;&#8212; for the majority of states, we are no longer subject to tax examinations by tax authorities for tax years before 2008. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:2%"><font style="font-family:times new roman" size="2"><i>Foreign</i>&#160;&#8212; we are no longer subject to foreign tax examinations by tax authorities for tax years before 2003 in Canada, 2001 in Brazil, 2006 in Mexico and 2008 in the U.K., which are our major foreign tax jurisdictions. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:2%"><font style="font-family:times new roman" size="2">At September&#160;30, 2011 and December&#160;31, 2010, the total amount of gross unrecognized tax benefits (excluding the federal benefit received from state positions) was $62.7 million and $61.2 million, respectively. 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This facility replaced an $875 million credit facility that was scheduled to mature in April 2012. The new global credit facility matures in June 2016 and is used primarily to finance working capital and provide support for the issuance of unsecured commercial paper in the U.S. and Canada. This facility can also be used to issue up to $75 million in letters of credit (there were no letters of credit outstanding against the facility at September&#160;30, 2011). At our option, the interest rate on borrowings under the credit facility is based on LIBOR, prime, federal funds or local equivalent rates. The agreement provides for annual facility fees, which range from 10.0 basis points to 32.5 basis points, and are based on Ryder&#8217;s long-term credit ratings. The current annual facility fee is 15.0 basis points, which applies to the total facility size of $900 million. 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We are also subject to various claims, tax assessments and administrative proceedings associated with our discontinued operations. We have established loss provisions for matters in which losses are probable and can be reasonably estimated. It is not possible at this time for us to determine fully the effect of all unasserted claims and assessments on our consolidated financial condition, results of operations or liquidity; however, to the extent possible, where unasserted claims can be estimated and where such claims are considered probable we have recorded a liability. Litigation is subject to many uncertainties, and the outcome of any individual litigated matter is not predictable with assurance. It is possible that certain of the actions, claims, inquiries or proceedings could be decided unfavorably to Ryder. To the extent that these matters pertain to our discontinued operations, additional adjustments and expenses may be recorded through discontinued operations in future periods as further relevant information becomes available. Although the final resolution of any such matters could have a material effect on our consolidated operating results for the particular reporting period in which an adjustment of the estimated liability is recorded, we believe that any resulting liability should not materially affect our consolidated financial position. </font></p> <p style="margin-top:6px;margin-bottom:0px; text-indent:2%"><font style="font-family:times new roman" size="2">In Brazil, we were assessed $15.7 million, including penalties and interest, related to tax due on the sale of our outbound auto carriage business in 2001. On November&#160;11, 2010, the Administrative Tax Court dismissed the assessment. 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MFFCIIHZ::.FFCIIHZ::.FFCIIHZ::.FFCIIHZ::.FFCIIHZ::.FFCIIK"]@Z MWU[MG%+3!-I8-B&Q\)NQH&XQ'.LVWT+D_V>-#,)S'.>_7N7Q[QQ.)G)'#+6*/VGAW^E=B0GC%XJY2*1<><'P:U.ZKY?1/QZ::0:TPG-:0K8] MUAF75!WO,-H;3&+R`5SXQ5!(8TBM_'Z=--..UU\%F58+!:R&HUHXI'JJ._+V8]6M-6)/B?\`XE&_]'\L=.69Q2:.*V.1K&E?X--7 M[>FFCIIHZ::.FFCIIHZ::.FFCIIHZ::.FFCIIHZ::.FFCIIHZ::.FFCIIHZ: &:.FFO__9 ` end XML 12 R50.htm IDEA: XBRL DOCUMENT v2.3.0.15
Discontiued Operations (Details) (USD $)
In Thousands
3 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Sep. 30, 2011
Sep. 30, 2010
Dec. 31, 2010
Loss from discontinued operations     
Pre-tax loss from discontinued operations$ (371)$ (854)$ (2,087)$ (2,191) 
Income tax (expense) benefit(38)156594 
Loss from discontinued operations, net of tax(409)(839)(2,022)(2,097) 
Assets:     
Total assets4,570 4,570 6,346
Liabilities:     
Total liabilities$ 6,667 $ 6,667 $ 7,882
XML 13 R3.htm IDEA: XBRL DOCUMENT v2.3.0.15
Consolidated Condensed Balance Sheets (Unaudited) (USD $)
In Thousands
Sep. 30, 2011
Dec. 31, 2010
Current assets:  
Cash and cash equivalents$ 115,786$ 213,053
Receivables, net758,693615,003
Inventories64,46258,701
Prepaid expenses and other current assets159,465136,544
Total current assets1,098,4061,023,301
Revenue earning equipment, net of accumulated depreciation of $3,387,027 and $3,247,400, respectively4,827,9164,201,218
Operating property and equipment, net of accumulated depreciation of $903,984 and $880,757, respectively627,344606,843
Goodwill379,239355,842
Intangible assets86,02172,269
Direct financing leases and other assets426,849392,901
Total assets7,445,7756,652,374
Current liabilities:  
Short-term debt and current portion of long-term debt255,359420,124
Accounts payable408,460294,380
Accrued expenses and other current liabilities499,080417,015
Total current liabilities1,162,8991,131,519
Long-term debt2,943,2352,326,878
Other non-current liabilities697,401680,808
Deferred income taxes1,190,8121,108,856
Total liabilities5,994,3475,248,061
Shareholders' equity:  
Preferred stock of no par value per share - authorized, 3,800,917; none outstanding, September 30, 2011 or December 31, 2010  
Common stock of $0.50 par value per share - authorized, 400,000,000; outstanding, September 30, 2011 - 51,125,400; December 31, 2010 - 51,174,75725,56325,587
Additional paid-in capital760,302735,540
Retained earnings1,062,4601,019,785
Accumulated other comprehensive loss(396,897)(376,599)
Total shareholders' equity1,451,4281,404,313
Total liabilities and shareholders' equity$ 7,445,775$ 6,652,374
XML 14 R4.htm IDEA: XBRL DOCUMENT v2.3.0.15
Consolidated Condensed Balance Sheets (Unaudited) (Parenthetical) (USD $)
In Thousands, except Share data
Sep. 30, 2011
Dec. 31, 2010
Assets:  
Accumulated depreciation on revenue earning equipment$ 3,387,027$ 3,247,400
Accumulated depreciation on operating property and equipment$ 903,984$ 880,757
Shareholders' equity:  
Preferred stock, par value  
Preferred stock, shares authorized3,800,9173,800,917
Preferred stock, shares outstanding  
Common stock, par value$ 0.50$ 0.50
Common stock, shares authorized400,000,000400,000,000
Common stock, shares outstanding51,125,40051,174,757
XML 15 R71.htm IDEA: XBRL DOCUMENT v2.3.0.15
Share Repurchase Programs (Details) (USD $)
9 Months Ended3 Months Ended9 Months Ended3 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
February 2010 Discretionary Share Repurchase Program [Member]
Sep. 30, 2010
February 2010 Discretionary Share Repurchase Program [Member]
Feb. 28, 2010
February 2010 Discretionary Share Repurchase Program [Member]
Sep. 30, 2011
December 2009 Anti-Dilutive Share Repurchase Program [Member]
Sep. 30, 2010
December 2009 Anti-Dilutive Share Repurchase Program [Member]
Sep. 30, 2011
December 2009 Anti-Dilutive Share Repurchase Program [Member]
Sep. 30, 2010
December 2009 Anti-Dilutive Share Repurchase Program [Member]
Dec. 31, 2009
December 2009 Anti-Dilutive Share Repurchase Program [Member]
Share Repurchase Programs (Textuals) [Abstract]         
Repurchased and retired shares 720,0001,855,000 202,971109,0641,022,971416,761 
Aggregate cost of repurchased and retired$ 51,425,000$ 29,600,000$ 75,100,000 $ 9,500,000$ 4,600,000$ 51,400,000$ 16,800,000 
Discretionary Share Repurchase Program Authorization   $ 100,000,000     
Maximum period of discretionary share repurchase program   2 years     
Maximum number of share repurchases authorization        2,000,000
XML 16 R53.htm IDEA: XBRL DOCUMENT v2.3.0.15
Restructuring and Other Charges (Details) (USD $)
In Thousands
9 Months Ended
Sep. 30, 2011
Restructuring reserves 
Restructuring Reserves, Beginning Balance$ 4,047
Additions780
Cash Payments1,575
Foreign Translation Adjustments34
Restructuring Reserves, Ending Balance3,286
Employee severance and benefits [Member]
 
Restructuring reserves 
Restructuring Reserves, Beginning Balance234
Additions405
Cash Payments316
Restructuring Reserves, Ending Balance323
Contract termination costs [Member]
 
Restructuring reserves 
Restructuring Reserves, Beginning Balance3,813
Additions375
Cash Payments1,259
Foreign Translation Adjustments34
Restructuring Reserves, Ending Balance$ 2,963
XML 17 R23.htm IDEA: XBRL DOCUMENT v2.3.0.15
Share Repurchase Programs
9 Months Ended
Sep. 30, 2011
Share Repurchase Programs [Abstract] 
SHARE REPURCHASE PROGRAMS

(P) SHARE REPURCHASE PROGRAMS

In December 2009, our Board of Directors authorized a share repurchase program intended to mitigate the dilutive impact of shares issued under our various employee stock, stock option and stock purchase plans. Under the December 2009 program, management is authorized to repurchase shares of common stock in an amount not to exceed the number of shares issued to employees under the Company’s various employee stock, stock option and stock purchase plans from December 1, 2009 through December 15, 2011. The December 2009 program limits aggregate share repurchases to no more than 2 million shares of Ryder common stock. Share repurchases of common stock are made periodically in open-market transactions and are subject to market conditions, legal requirements and other factors. Management established a prearranged written plan for the Company under Rule 10b5-1 of the Securities Exchange Act of 1934 as part of the December 2009 program, which allowed for share repurchases during Ryder’s quarterly blackout periods as set forth in the plan. For the three months ended September 30, 2011 and 2010, we repurchased and retired 202,971 shares and 109,064 shares, respectively, under this program at an aggregate cost of $9.5 million and $4.6 million, respectively. For the nine months ended September 30, 2011 and 2010, we repurchased and retired 1,022,971 shares and 416,761 shares, respectively, under this program at an aggregate cost of $51.4 million and $16.8 million, respectively.

In February 2010, our Board of Directors authorized a $100 million discretionary share repurchase program over a period not to exceed two years. For the three months ended September 30, 2010, we repurchased and retired 720,000 shares under the program at an aggregate cost of $29.6 million. For the nine months ended September 30, 2010, we repurchased and retired 1,855,000 shares under this program at an aggregate cost of $75.1 million. The program was completed in December 2010.

XML 18 R1.htm IDEA: XBRL DOCUMENT v2.3.0.15
Document and Entity Information (USD $)
9 Months Ended
Sep. 30, 2011
Jun. 30, 2010
Document and Entity Information [Abstract]  
Entity Registrant NameRYDER SYSTEM INC 
Entity Central Index Key0000085961 
Document Type10-Q 
Document Period End DateSep. 30, 2011
Amendment Flagfalse 
Document Fiscal Year Focus2011 
Document Fiscal Period FocusQ3 
Current Fiscal Year End Date--12-31 
Entity Well-known Seasoned IssuerYes 
Entity Voluntary FilersNo 
Entity Current Reporting StatusYes 
Entity Filer CategoryLarge Accelerated Filer 
Entity Public Float $ 2,106,482,262
Entity Common Stock, Shares Outstanding51,125,400 
XML 19 R48.htm IDEA: XBRL DOCUMENT v2.3.0.15
Acquisitions (Details 1) (USD $)
In Thousands, except Per Share data
3 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Sep. 30, 2011
Sep. 30, 2010
Schedule of unaudited proforma information    
Revenue - As reported$ 1,570,720$ 1,316,948$ 4,509,440$ 3,823,009
Net earnings - As reported56,52438,835121,68281,049
Net earnings per common share:    
Basic - As reported$ 1.10$ 0.74$ 2.37$ 1.54
Diluted - As reported$ 1.10$ 0.74$ 2.35$ 1.53
Hill Hire and TLC [Member]
    
Schedule of unaudited proforma information    
Revenue - Pro forma1,570,7201,438,9204,577,0104,122,729
Net earnings - Pro forma$ 56,524$ 44,290$ 135,337$ 95,601
Net earnings per common share:    
Basic - Pro forma$ 1.10$ 0.85$ 2.64$ 1.81
Diluted - Pro forma$ 1.10$ 0.85$ 2.62$ 1.81
XML 20 R26.htm IDEA: XBRL DOCUMENT v2.3.0.15
Other Items Impacting Comparability
9 Months Ended
Sep. 30, 2011
Other Items Impacting Comparability [Abstract] 
OTHER ITEMS IMPACTING COMPARABILITY

(S) OTHER ITEMS IMPACTING COMPARABILITY

Our primary measure of segment performance excludes certain items we do not believe are representative of the ongoing operations of the segment. We believe that excluding these items from our segment measure of performance allows for better comparison of results.

During the second quarter of 2011, we incurred $1.7 million of transaction costs related to the acquisition of Hill Hire. These charges were recorded within “Operating expense” in our Consolidated Statements of Earnings.

XML 21 R47.htm IDEA: XBRL DOCUMENT v2.3.0.15
Acquisitions (Details) (Hill Hire [Member], USD $)
In Thousands
Sep. 30, 2011
Hill Hire [Member]
 
Summary of purchase price allocations 
Revenue earning equipment$ 200,376
Operating property and equipment18,780
Customer relationships and other intangibles9,150
Other assets, primarily accounts receivable60,143
Assets288,449
Liabilities, primarily accrued liabilities(36,954)
Net asset acquired$ 251,495
XML 22 R77.htm IDEA: XBRL DOCUMENT v2.3.0.15
Other Matters (Details) (USD $)
In Millions
9 Months Ended
Sep. 30, 2011
Other Matters (Textuals) [Abstract] 
Foreign tax (Brazil) assessed including penalties and interest$ 15.7
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XML 24 R12.htm IDEA: XBRL DOCUMENT v2.3.0.15
Share-Based Compensation Plans
9 Months Ended
Sep. 30, 2011
Share-Based Compensation Plans [Abstract] 
SHARE-BASED COMPENSATION PLANS

(E) SHARE-BASED COMPENSATION PLANS

Share-based incentive awards are provided to employees under the terms of various share-based compensation plans (collectively, the “Plans”). The Plans are administered by the Compensation Committee of the Board of Directors. Awards under the Plans principally include at-the-money stock options, nonvested stock and cash awards. Share-based compensation expense is generally recorded in “Salaries and employee-related costs” in the Consolidated Condensed Statements of Earnings.

The following table provides information on share-based compensation expense and income tax benefits recognized during the periods:

                                 
    Three months ended September 30,     Nine months ended September 30,  
    2011     2010     2011     2010  
    (In thousands)  
         

Stock option and stock purchase plans

  $ 2,370       2,311     $ 6,974       6,803  

Nonvested stock

    1,927       1,876       5,663       5,400  
   

 

 

   

 

 

   

 

 

   

 

 

 

Share-based compensation expense

    4,297       4,187       12,637       12,203  

Income tax benefit

    (1,425     (1,408     (4,212     (4,149
   

 

 

   

 

 

   

 

 

   

 

 

 

Share-based compensation expense, net of tax

  $ 2,872       2,779     $ 8,425       8,054  
   

 

 

   

 

 

   

 

 

   

 

 

 

During the nine months ended September 30, 2011 and 2010, approximately 710,000 and 900,000 stock options, respectively, were granted under the Plans. These awards generally vest evenly over a three year period from the date of grant and have contractual terms of seven years. The fair value of each option award at the date of grant was estimated using a Black-Scholes-Merton option-pricing valuation model. The weighted-average fair value per option granted during the nine months ended September 30, 2011 and 2010 was $12.88 and $8.93, respectively.

During the nine months ended September 30, 2011 and 2010, approximately 140,000 and 190,000 market-based restricted stock rights, respectively, were granted under the Plans. Employees only receive the grant of stock if Ryder’s cumulative average total shareholder return (TSR) at least meets the S&P 500 cumulative average TSR over an applicable three-year period. The fair value of the market-based restricted stock rights was estimated using a lattice-based option-pricing valuation model that incorporates a Monte-Carlo simulation. The fair value of the market-based awards was determined and fixed on the grant date and considers the likelihood of Ryder achieving the market-based condition. The weighted-average fair value per market-based restricted stock right granted during the nine months ended September 30, 2011 and 2010 was $25.37 and $15.50, respectively.

During the nine months ended September 30, 2011 and 2010, approximately 200,000 and 70,000 time-vested restricted stock rights and restricted stock units (RSU), respectively, were granted under the plans. The time-vested restricted stock rights entitle the holder to shares of common stock as the awards vest over a three-year period. The fair value of the time-vested awards is determined and fixed on the date of grant based on Ryder’s stock price on the date of grant. The weighted-average fair value per time-vested restricted stock right and RSU granted during the nine months ended September 30, 2011 and 2010 was $52.78 and $39.47, respectively.

During the nine months ended September 30, 2011 and 2010, employees who received market-based restricted stock rights also received market-based cash awards. The awards have the same vesting provisions as the market-based restricted stock rights except that Ryder’s TSR must at least meet the TSR of the 33rd percentile of the S&P 500. The cash awards are accounted for as liability awards under the share-based compensation accounting guidance as the awards are based upon the performance of our common stock and are settled in cash. As a result, the liability is adjusted to reflect fair value at the end of each reporting period. The fair value of the cash awards was estimated using a lattice-based option-pricing valuation model that incorporates a Monte-Carlo simulation.

 

The following table is a summary of compensation expense recognized for cash awards in addition to the share-based compensation expense reported in the previous table:

                 
    Three months ended September 30,   Nine months ended September 30,
    2011   2010   2011   2010
    (In thousands)
         

Cash awards

  $396   452   $1,216   1,224

Total unrecognized pre-tax compensation expense related to all share-based compensation arrangements at September 30, 2011 was $32.2 million and is expected to be recognized over a weighted-average period of 1.9 years.

XML 25 R27.htm IDEA: XBRL DOCUMENT v2.3.0.15
Supplemental Cash Flow Information
9 Months Ended
Sep. 30, 2011
Supplemental Cash Flow Information [Abstract] 
SUPPLEMENTAL CASH FLOW INFORMATION

(T) SUPPLEMENTAL CASH FLOW INFORMATION

Supplemental cash flow information was as follows:

                 
    Nine months ended September 30,  
    2011     2010  
    (In thousands)  

Interest paid

  $ 99,047       89,017  

Income taxes paid (refunded)

  $ 17,675       (6,602

Changes in accounts payable related to purchases of revenue earning equipment

  $ 83,937       33,808  

Operating and revenue earning equipment acquired under capital leases

  $ 1,187       106  
XML 26 R43.htm IDEA: XBRL DOCUMENT v2.3.0.15
Comprehensive Income (Tables)
9 Months Ended
Sep. 30, 2011
Comprehensive Income [Abstract] 
Reconciliation of net earnings to comprehensive income
                                 
    Three months ended September 30,     Nine months ended September 30,  
    2011     2010     2011     2010  
    (In thousands)  
         

Net earnings

  $ 56,524       38,835     $ 121,682       81,049  

Other comprehensive income:

                               

Foreign currency translation adjustments

    (53,416     31,825       (27,428     1,451  

Unrealized gain on derivative instruments

    136                    

Amortization of transition obligation (1)

    (6     (4     (17     (13

Amortization of net actuarial loss (1)

    3,274       3,112       9,887       9,331  

Amortization of prior service credit (1)

    (406     (400     (1,220     (1,200

Change in net actuarial loss (1)

          (3     (1,520     (971
   

 

 

   

 

 

   

 

 

   

 

 

 

Total comprehensive income

  $ 6,106       73,365     $ 101,384       89,647  
   

 

 

   

 

 

   

 

 

   

 

 

 

 

 

(1) Amounts pertain to our pension and/or postretirement benefit plans and are presented net of tax. See Note (R), “Employee Benefit Plans,” for additional information.
XML 27 R38.htm IDEA: XBRL DOCUMENT v2.3.0.15
Goodwill (Tables)
9 Months Ended
Sep. 30, 2011
Goodwill [Abstract] 
Carrying amount of goodwill attributable to each reportable business segment
                                 
    Fleet
Management
Solutions
    Supply
Chain
Solutions
    Dedicated
Contract
Carriage
    Total  
    (In thousands)  

Balance at January 1, 2011:

                               

Goodwill

  $ 202,941       177,222       4,900       385,063  

Accumulated impairment losses

    (10,322     (18,899           (29,221
   

 

 

   

 

 

   

 

 

   

 

 

 
      192,619       158,323       4,900       355,842  

Acquisitions

    14,356             14,853       29,209  

Purchase accounting adjustments

          (5,042           (5,042

Foreign currency translation adjustment

    (337     (433           (770
   

 

 

   

 

 

   

 

 

   

 

 

 

Balance at September 30, 2011:

                               

Goodwill

    216,960       171,747       19,753       408,460  

Accumulated impairment losses

    (10,322     (18,899           (29,221
   

 

 

   

 

 

   

 

 

   

 

 

 
    $   206,638         152,848         19,753         379,239  
   

 

 

   

 

 

   

 

 

   

 

 

 
XML 28 R25.htm IDEA: XBRL DOCUMENT v2.3.0.15
Employee Benefit Plans
9 Months Ended
Sep. 30, 2011
Employee Benefit Plans [Abstract] 
EMPLOYEE BENEFIT PLANS

(R) EMPLOYEE BENEFIT PLANS

Components of net periodic benefit cost were as follows:

                                 
    Three months ended September 30,     Nine months ended September 30,  
    2011     2010     2011     2010  
    (In thousands)  

Pension Benefits

                               

Company-administered plans:

                               

Service cost

  $ 3,676       3,538     $ 11,059       11,690  

Interest cost

    24,374       24,062       73,248       72,004  

Expected return on plan assets

    (25,441     (23,322     (76,477     (69,743

Amortization of:

                               

Transition obligation

    (8     (6     (23     (18

Net actuarial loss

    5,054       4,758       15,185       14,257  

Prior service credit

    (568     (564     (1,710     (1,690
   

 

 

   

 

 

   

 

 

   

 

 

 
      7,087       8,466       21,282       26,500  

Union-administered plans

    1,627       1,296       4,423       3,887  
   

 

 

   

 

 

   

 

 

   

 

 

 

Net periodic benefit cost

  $ 8,714       9,762     $ 25,705       30,387  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Company-administered plans:

                               

U.S.

  $ 7,243       8,433     $ 21,730       25,300  

Non-U.S.

    (156     33       (448     1,200  
   

 

 

   

 

 

   

 

 

   

 

 

 
      7,087       8,466       21,282       26,500  

Union-administered plans

    1,627       1,296       4,423       3,887  
   

 

 

   

 

 

   

 

 

   

 

 

 
    $ 8,714       9,762     $ 25,705       30,387  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Postretirement Benefits

                               

Company-administered plans:

                               

Service cost

  $ 323       343     $ 973       1,028  

Interest cost

    625       680       1,879       2,039  

Amortization of:

                               

Net actuarial loss

    36       88       173       263  

Prior service credit

    (58     (58     (173     (173
   

 

 

   

 

 

   

 

 

   

 

 

 

Net periodic benefit cost

  $ 926       1,053     $ 2,852       3,157  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Company-administered plans:

                               

U.S.

  $ 789       783     $ 2,366       2,350  

Non-U.S.

    137       270       486       807  
   

 

 

   

 

 

   

 

 

   

 

 

 
    $ 926       1,053     $ 2,852       3,157  
   

 

 

   

 

 

   

 

 

   

 

 

 

Pension Contributions

During the nine months ended September 30, 2011, we contributed $12.4 million to our pension plans. During the fourth quarter of 2011, we expect to contribute approximately $3.4 million to our pension plans.

Savings Plans

Employees who do not actively participate in pension plans and are not covered by union-administered plans are generally eligible to participate in enhanced savings plans. Plans provide for (i) a company contribution even if employees do not make contributions, (ii) a company match of employee contributions of eligible pay, subject to tax limits and (iii) a discretionary company match based on our performance. During the three months ended September 30, 2011 and 2010, we recognized total savings plan costs of $9.6 million and $6.7 million, respectively. During the nine months ended September 30, 2011 and 2010, we recognized total savings plan costs of $30.1 million and $20.0 million, respectively.

 

XML 29 R17.htm IDEA: XBRL DOCUMENT v2.3.0.15
Goodwill
9 Months Ended
Sep. 30, 2011
Goodwill [Abstract] 
GOODWILL

(J) GOODWILL

The carrying amount of goodwill attributable to each reportable business segment with changes therein was as follows:

                                 
    Fleet
Management
Solutions
    Supply
Chain
Solutions
    Dedicated
Contract
Carriage
    Total  
    (In thousands)  

Balance at January 1, 2011:

                               

Goodwill

  $ 202,941       177,222       4,900       385,063  

Accumulated impairment losses

    (10,322     (18,899           (29,221
   

 

 

   

 

 

   

 

 

   

 

 

 
      192,619       158,323       4,900       355,842  

Acquisitions

    14,356             14,853       29,209  

Purchase accounting adjustments

          (5,042           (5,042

Foreign currency translation adjustment

    (337     (433           (770
   

 

 

   

 

 

   

 

 

   

 

 

 

Balance at September 30, 2011:

                               

Goodwill

    216,960       171,747       19,753       408,460  

Accumulated impairment losses

    (10,322     (18,899           (29,221
   

 

 

   

 

 

   

 

 

   

 

 

 
    $   206,638         152,848         19,753         379,239  
   

 

 

   

 

 

   

 

 

   

 

 

 

Purchase accounting adjustments related primarily to changes in deferred tax liabilities and evaluations of the physical and market condition of operating property and equipment. We did not recast the December 31, 2010 balance sheet as the adjustments are not material.

We assess goodwill for impairment on April 1st of each year or more often if deemed necessary. On April 1, 2011, we completed our annual goodwill impairment test and determined there was no impairment.

XML 30 R8.htm IDEA: XBRL DOCUMENT v2.3.0.15
Interim Financial Statements
9 Months Ended
Sep. 30, 2011
Interim Financial Statements [Abstract] 
INTERIM FINANCIAL STATEMENTS

(A) INTERIM FINANCIAL STATEMENTS

The accompanying unaudited Consolidated Condensed Financial Statements include the accounts of Ryder System, Inc. (Ryder) and all entities in which Ryder has a controlling voting interest (“subsidiaries”), and variable interest entities (VIEs) required to be consolidated in accordance with accounting principles generally accepted in the United States of America (U.S. GAAP). The accompanying unaudited Consolidated Condensed Financial Statements have been prepared in accordance with the accounting policies described in our 2010 Annual Report on Form 10-K and should be read in conjunction with the Consolidated Financial Statements and notes thereto. These financial statements do not include all of the information and footnotes required by U.S. GAAP for complete financial statements. In the opinion of management, all adjustments (consisting of normal recurring accruals) considered necessary for a fair statement have been included and the disclosures herein are adequate. The operating results for interim periods are unaudited and are not necessarily indicative of the results that can be expected for a full year.

XML 31 R35.htm IDEA: XBRL DOCUMENT v2.3.0.15
Restructuring and Other Charges (Tables)
9 Months Ended
Sep. 30, 2011
Restructuring and Other Charges [Abstract] 
Restructuring reserves
                                         
    December 31, 2010
Balance
    Additions     Cash
Payments
    Foreign
Translation
Adjustments
    September 30,  2011
Balance
 
    (In thousands)        
           

Employee severance and benefits

  $ 234       405       316             323  

Contract termination costs

    3,813       375       1,259       34       2,963  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 4,047       780       1,575       34       3,286  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
XML 32 R14.htm IDEA: XBRL DOCUMENT v2.3.0.15
Restructuring and Other Charges
9 Months Ended
Sep. 30, 2011
Restructuring and Other Charges [Abstract] 
RESTRUCTURING AND OTHER CHARGES

(G) RESTRUCTURING AND OTHER CHARGES

Restructuring charges, net for the nine months ended September 30, 2011 represented $0.8 million of employee severance and benefit costs related to workforce reductions and termination costs associated with non-essential equipment contracts assumed in the Scully acquisition. There were no restructuring charges in the third quarter of 2011.

Activity related to restructuring reserves including discontinued operations were as follows:

                                         
    December 31, 2010
Balance
    Additions     Cash
Payments
    Foreign
Translation
Adjustments
    September 30,  2011
Balance
 
    (In thousands)        
           

Employee severance and benefits

  $ 234       405       316             323  

Contract termination costs

    3,813       375       1,259       34       2,963  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 4,047       780       1,575       34       3,286  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

At September 30, 2011, the majority of outstanding restructuring obligations are required to be paid over the next two years.

XML 33 R19.htm IDEA: XBRL DOCUMENT v2.3.0.15
Income Taxes
9 Months Ended
Sep. 30, 2011
Income Taxes [Abstract] 
INCOME TAXES

(L) INCOME TAXES

Uncertain Tax Positions

We are subject to tax audits in numerous jurisdictions in the U.S. and foreign countries. Tax audits by their very nature are often complex and can require several years to complete. In the normal course of business, we are subject to challenges from the Internal Revenue Service (IRS) and other tax authorities regarding amounts of taxes due. These challenges may alter the timing or amount of taxable income or deductions, or the allocation of income among tax jurisdictions. As part of our calculation of the provision for income taxes on earnings, we recognize the tax benefit from uncertain tax positions that are at least more likely than not of being sustained upon audit based on the technical merits of the tax position. The tax benefit to be recognized is measured as the largest amount of benefit that is greater than fifty percent likely of being realized upon ultimate settlement. Such calculations require management to make estimates and judgments with respect to the ultimate outcome of a tax audit. Actual results could vary materially from these estimates.

The following is a summary of tax years that are no longer subject to examination:

Federal — audits of our U.S. federal income tax returns are closed through fiscal year 2007.

State — for the majority of states, we are no longer subject to tax examinations by tax authorities for tax years before 2008.

Foreign — we are no longer subject to foreign tax examinations by tax authorities for tax years before 2003 in Canada, 2001 in Brazil, 2006 in Mexico and 2008 in the U.K., which are our major foreign tax jurisdictions.

At September 30, 2011 and December 31, 2010, the total amount of gross unrecognized tax benefits (excluding the federal benefit received from state positions) was $62.7 million and $61.2 million, respectively. Unrecognized tax benefits related to federal, state and foreign tax positions may decrease by $2.4 million by September 30, 2012, if audits are completed or tax years close.

Like-Kind Exchange Program

We have a like-kind exchange program for certain of our revenue earning equipment operating in the U.S. Pursuant to the program, we dispose of vehicles and acquire replacement vehicles in a form whereby tax gains on disposal of eligible vehicles are deferred. To qualify for like-kind exchange treatment, we exchange through a qualified intermediary eligible vehicles being disposed of with vehicles being acquired, allowing us to generally carryover the tax basis of the vehicles sold (“like-kind exchanges”). The program results in a material deferral of federal and state income taxes. As part of the program, the proceeds from the sale of eligible vehicles are restricted for the acquisition of replacement vehicles and other specified applications. Due to the structure utilized to facilitate the like-kind exchanges, the qualified intermediary that holds the proceeds from the sales of eligible vehicles and the entity that holds the vehicles to be acquired under the program are required to be consolidated in the accompanying Consolidated Condensed Financial Statements in accordance with U.S. GAAP. At September 30, 2011 and December 31, 2010, these consolidated entities had total assets, primarily revenue earning equipment, and total liabilities, primarily accounts payable, of $82.7 million and $49.5 million, respectively.

Tax Law Changes

On July 19, 2011, the U.K. enacted legislation which lowered the statutory rate from 27% to 26% effective April 1, 2011, and from 26% to 25% effective April 1, 2012. The impact of this change did not have a significant impact to earnings for the three or nine months ended September 30, 2011.

On May 25, 2011, the State of Michigan enacted changes to its tax system, which included a repeal of the Michigan Business Tax and replaced it with a corporate income tax. The impact of this change resulted in a non-cash charge to deferred income taxes and a decrease to earnings for the nine months ended September 30, 2011 of $5.4 million.

On January 13, 2011, the State of Illinois enacted changes to its tax system, which included an increase to the corporate income tax rate from 4.8% to 7.0%. The impact of this change resulted in a non-cash charge to deferred income taxes and a decrease to earnings for the nine months ended September 30, 2011 of $1.2 million.

 

Effective Tax Rate

Our effective income tax rate from continuing operations for the third quarter of 2011 was 35.0% compared with 36.0% in the same period of the prior year. The decrease in our effective tax rate was mainly due to a higher proportionate amount of earnings in lower rate jurisdictions as well as tax benefits from acquisition-related transaction costs incurred in 2010.

Our effective income tax rate from continuing operations for the nine months ended September 30, 2011 was 40.0% compared with 39.2% in the same period of the prior year. Our provision for income taxes and effective income tax rate were negatively impacted by tax law changes in the States of Michigan and Illinois. The increase in our effective tax rate was partially offset by a higher proportionate amount of earnings in lower rate jurisdictions and lower contingent tax accruals.

XML 34 R73.htm IDEA: XBRL DOCUMENT v2.3.0.15
Employee Benefits Plans (Details) (USD $)
3 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Sep. 30, 2011
Sep. 30, 2010
Employee Benefit Plans (Textuals) [Abstract]    
Contribution to pension plans  $ 12,400,000 
Expected Contribution to pension plans during current fiscal year3,400,000 3,400,000 
Savings Plan Costs9,600,0006,700,00030,100,00020,000,000
Company Administered Plan [Member] | Pension Benefits [Member]
    
Components of net periodic benefit cost    
Service cost3,676,0003,538,00011,059,00011,690,000
Interest Cost24,374,00024,062,00073,248,00072,004,000
Expected Return on Plan Assets(25,441,000)(23,322,000)(76,477,000)(69,743,000)
Amortization of:    
Transition obligation(8,000)(6,000)(23,000)(18,000)
Net actuarial loss5,054,0004,758,00015,185,00014,257,000
Prior service credit(568,000)(564,000)(1,710,000)(1,690,000)
Net periodic benefit cost7,087,0008,466,00021,282,00026,500,000
Company Administered Plan [Member] | Pension Benefits U.S. [Member]
    
Amortization of:    
Net periodic benefit cost7,243,0008,433,00021,730,00025,300,000
Company Administered Plan [Member] | Pension Benefits Non-U.S. [Member]
    
Amortization of:    
Net periodic benefit cost(156,000)33,000(448,000)1,200,000
Company Administered Plan [Member] | Postretirement Benefits [Member]
    
Components of net periodic benefit cost    
Service cost323,000343,000973,0001,028,000
Interest Cost625,000680,0001,879,0002,039,000
Amortization of:    
Net actuarial loss36,00088,000173,000263,000
Prior service credit(58,000)(58,000)(173,000)(173,000)
Net periodic benefit cost926,0001,053,0002,852,0003,157,000
Company Administered Plan [Member] | Postretirement Benefits U.S [Member]
    
Amortization of:    
Net periodic benefit cost789,000783,0002,366,0002,350,000
Company Administered Plan [Member] | Postretirement Benefits Non-U.S [Member]
    
Amortization of:    
Net periodic benefit cost137,000270,000486,000807,000
Union Administered Plan [Member] | Pension Benefits [Member]
    
Amortization of:    
Net periodic benefit cost1,627,0001,296,0004,423,0003,887,000
Pension Benefits [Member]
    
Amortization of:    
Net periodic benefit cost$ 8,714,000$ 9,762,000$ 25,705,000$ 30,387,000
XML 35 R15.htm IDEA: XBRL DOCUMENT v2.3.0.15
Direct Financing Lease Receivables
9 Months Ended
Sep. 30, 2011
Direct Financing Lease Receivables [Abstract] 
DIRECT FINANCING LEASE RECEIVABLES

(H) DIRECT FINANCING LEASE RECEIVABLES

We lease revenue earning equipment to customers for periods ranging from three to seven years for trucks and tractors and up to ten years for trailers. The majority of our leases are classified as operating leases. However, some of our revenue earning equipment leases are classified as direct financing leases and, to a lesser extent, sales-type leases. The net investment in direct financing and sales-type leases consisted of:

                 
    September 30,
2011
    December 31,
2010
 
    (In thousands)  
     

Total minimum lease payments receivable

  $ 543,423       548,419  

Less: Executory costs

    (160,005     (171,076
   

 

 

   

 

 

 

Minimum lease payments receivable

    383,418       377,343  

Less: Allowance for uncollectibles

    (767     (784
   

 

 

   

 

 

 

Net minimum lease payments receivable

    382,651       376,559  

Unguaranteed residuals

    61,301       57,898  

Less: Unearned income

    (94,048     (96,522
   

 

 

   

 

 

 

Net investment in direct financing and sales-type leases

    349,904       337,935  

Current portion

    (66,506     (63,304
   

 

 

   

 

 

 

Non-current portion

  $ 283,398       274,631  
   

 

 

   

 

 

 

Our direct financing lease customers operate in a wide variety of industries, and we have no significant customer concentrations in any one industry. We assess credit risk for all of our customers including those who lease equipment under direct financing leases. Credit risk is assessed using an internally developed model which incorporates credit scores from third party providers and our own custom risk ratings and is updated on a monthly basis. The external credit scores are developed based on the customer’s historical payment patterns and an overall assessment of the likelihood of delinquent payments. Our internal ratings are weighted based on the industry that the customer operates, company size, years in business, and other credit-related indicators (i.e. profitability, cash flow, liquidity, tangible net worth, etc.). Any one of the following factors may result in a customer being classified as high risk: i) the customer has a history of late payments; ii) the customer has open lawsuits, liens or judgments; iii) the customer has been in business less than 3 years; and iv) the customer operates in an industry with low barriers to entry. For those customers who are designated as high risk, we typically require deposits to be paid in advance in order to mitigate our credit risk. Additionally, our receivables are collateralized by the vehicle’s fair value, which further mitigates our credit risk.

 

The following table presents the credit risk profile by creditworthiness category of our direct financing lease receivables:

                 
    September 30,
2011
    December 31,
2010
 
    (In thousands)  
     

Very low risk to low risk

  $ 119,433       91,993  

Moderate risk

    201,873       218,547  

Moderately high risk to high risk

    62,112       66,803  
   

 

 

   

 

 

 
    $ 383,418       377,343  
   

 

 

   

 

 

 

The following table is a rollforward of the allowance for credit losses on direct financing lease receivables for the nine months ended September 30, 2011:

         
    (In thousands)  

Balance at December 31, 2010

  $ 784  

Charged to earnings

    318  

Deductions

    (335
   

 

 

 

Balance at September 30, 2011

  $ 767  
   

 

 

 

As of September 30, 2011, the amount of direct financing lease receivables which were past due was not significant and there were no impaired receivables. Accordingly, we do not believe there is a material risk of default with respect to the direct financing lease receivables as of September 30, 2011.

XML 36 R32.htm IDEA: XBRL DOCUMENT v2.3.0.15
Discontinued Operations (Tables)
9 Months Ended
Sep. 30, 2011
Discontinued Operations [Abstract] 
Loss from discontinued operations
                                 
    Three months ended September 30,     Nine months ended September 30,  
    2011     2010     2011     2010  
    (In thousands)  
         

Pre-tax loss from discontinued operations

  $ (371     (854   $ (2,087     (2,191

Income tax (expense) benefit

    (38     15       65       94  
   

 

 

   

 

 

   

 

 

   

 

 

 

Loss from discontinued operations, net of tax

  $ (409     (839   $ (2,022     (2,097
   

 

 

   

 

 

   

 

 

   

 

 

 
Summary of assets and liabilities of discontinued operations
                 
    September 30,     December 31,  
    2011     2010  
    (In thousands)  

Total assets, primarily deposits

  $ 4,570       6,346  
     

Total liabilities, primarily contingent accruals

  $ 6,667       7,882  
XML 37 R13.htm IDEA: XBRL DOCUMENT v2.3.0.15
Earnings Per Share
9 Months Ended
Sep. 30, 2011
Earnings Per Share [Abstract] 
EARNINGS PER SHARE

(F) EARNINGS PER SHARE

We compute earnings per share using the two-class method. The two-class method of computing earnings per share is an earnings allocation formula that determines earnings per share for common stock and any participating securities according to dividends declared (whether paid or unpaid) and participation rights in undistributed earnings. Our nonvested stock are considered participating securities since the share-based awards contain a non-forfeitable right to dividend equivalents irrespective of whether the awards ultimately vest. Under the two-class method, earnings per common share are computed by dividing the sum of distributed earnings and undistributed earnings allocated to common shareholders by the weighted average number of common shares outstanding for the period. In applying the two-class method, undistributed earnings are allocated to both common shares and participating securities based on the weighted average shares outstanding during the period.

The following table presents the calculation of basic and diluted earnings per common share from continuing operations:

                                 
    Three months ended September 30,     Nine months ended September 30,  
    2011     2010     2011     2010  
    (In thousands, except per share amounts)  

Earnings per share — Basic:

                               

Earnings from continuing operations

  $ 56,933       39,674     $ 123,704       83,146  

Less: Distributed and undistributed earnings allocated to nonvested stock

    (933     (576     (1,981     (1,146
   

 

 

   

 

 

   

 

 

   

 

 

 

Earnings from continuing operations available to common shareholders — Basic

  $ 56,000       39,098     $ 121,723       82,000  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Weighted average common shares outstanding — Basic

    50,426       51,409       50,533       52,044  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Earnings from continuing operations per common share — Basic

  $ 1.11       0.76     $ 2.41       1.58  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Earnings per share — Diluted:

                               

Earnings from continuing operations

  $ 56,933       39,674     $ 123,704       83,146  

Less: Distributed and undistributed earnings allocated to nonvested stock

    (928     (576     (1,972     (1,146
   

 

 

   

 

 

   

 

 

   

 

 

 

Earnings from continuing operations available to common shareholders — Diluted

  $ 56,005       39,098     $ 121,732       82,000  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Weighted average common shares outstanding — Basic

    50,426       51,409       50,533       52,044  

Effect of dilutive options

    327       126       389       122  
   

 

 

   

 

 

   

 

 

   

 

 

 

Weighted average common shares outstanding — Diluted

    50,753       51,535       50,922       52,166  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Earnings from continuing operations per common share — Diluted

  $ 1.10       0.76     $ 2.39       1.57  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Anti-dilutive options not included above

    1,718       1,793       1,462       1,833  
   

 

 

   

 

 

   

 

 

   

 

 

 

 

XML 38 R52.htm IDEA: XBRL DOCUMENT v2.3.0.15
Earnings Per Share (Details) (USD $)
In Thousands, except Per Share data
3 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Sep. 30, 2011
Sep. 30, 2010
Earnings per share - Basic:    
Earnings from continuing operations$ 56,933$ 39,674$ 123,704$ 83,146
Less: Distributed and undistributed earnings allocated to nonvested stock(933)(576)(1,981)(1,146)
Earnings from continuing operations available to common shareholders - Basic56,00039,098121,72382,000
Weighted average common shares outstanding - Basic50,42651,40950,53352,044
Earnings from continuing operations per common share - Basic$ 1.11$ 0.76$ 2.41$ 1.58
Earnings per share - Diluted:    
Earnings from continuing operations56,93339,674123,70483,146
Less: Distributed and undistributed earnings allocated to nonvested stock(928)(576)(1,972)(1,146)
Earnings from continuing operations available to common shareholders - Diluted$ 56,005$ 39,098$ 121,732$ 82,000
Weighted average common shares outstanding - Basic50,42651,40950,53352,044
Effect of dilutive options327126389122
Weighted average common shares outstanding - Diluted50,75351,53550,92252,166
Earnings from continuing operations per common share - Diluted$ 1.10$ 0.76$ 2.39$ 1.57
Anti-dilutive options not included above1,7181,7931,4621,833
XML 39 R6.htm IDEA: XBRL DOCUMENT v2.3.0.15
Consolidated Condensed Statement of Shareholders' Equity (Unaudited) (USD $)
In Thousands, except Share data
Total
Preferred Stock
Common Stock
Additional Paid-In Capital
Retained Earnings
Accumulated Other Comprehensive Loss
Beginning Balance at Dec. 31, 2010$ 1,404,313$ 0$ 25,587$ 735,540$ 1,019,785$ (376,599)
Beginning Balance, shares at Dec. 31, 201051,174,757 51,174,757   
Components of comprehensive income:      
Net earnings121,682   121,682 
Foreign currency translation adjustments(27,428)    (27,428)
Amortization of pension and postretirement items, net of tax8,650    8,650
Change in net actuarial loss, net of tax(1,520)    (1,520)
Total comprehensive income101,384     
Common stock dividends declared and paid - $0.83 per share(42,689)   (42,689) 
Common stock issued under employee stock option and stock purchase plans[1]26,811 49326,318  
Common stock issued under employee stock option and stock purchase plans, shares[1]  986,690   
Benefit plan stock purchases[2](598) (7)(591)  
Benefit plan stock purchases, shares[2]  (13,076)   
Common stock repurchases(51,425) (510)(14,597)(36,318) 
Common stock repurchases, shares  (1,022,971)   
Share-based compensation12,637  12,637  
Tax benefits from share-based compensation995  995  
Ending Balance at Sep. 30, 2011$ 1,451,428$ 0$ 25,563$ 760,302$ 1,062,460$ (396,897)
Ending Balance, shares at Sep. 30, 201151,125,400 51,125,400   
[1]Net of common shares delivered as payment for the exercise price or to satisfy the option holders' withholding tax liability upon exercise of options.
[2]Represents open-market transactions of common shares by the trustee of Ryder's deferred compensation plans.
XML 40 R9.htm IDEA: XBRL DOCUMENT v2.3.0.15
Accounting Changes
9 Months Ended
Sep. 30, 2011
Accounting Changes/Recent Accounting Pronouncements [Abstract] 
ACCOUNTING CHANGES

(B) ACCOUNTING CHANGES

In September 2009, the Financial Accounting Standards Board (FASB) issued accounting guidance which amends the criteria for allocating a contract’s consideration to individual services or products in multiple-deliverable arrangements. The guidance requires that the best estimate of selling price be used when vendor specific objective or third-party evidence for deliverables cannot be determined. This guidance is effective for us for revenue arrangements entered into or materially modified after December 31, 2010. The adoption of this accounting guidance did not have a material impact on our consolidated financial position, results of operations or cash flows.

XML 41 R40.htm IDEA: XBRL DOCUMENT v2.3.0.15
Debt (Tables)
9 Months Ended
Sep. 30, 2011
Debt [Abstract] 
Debt
                                     
    Weighted-Average
Interest Rate
                 
    September 30,
2011
    December 31,
2010
    Maturities   September 30,
2011
    December 31,
2010
 
                    (In thousands)  

Short-term debt and current portion of long-term debt:

                                   

Short-term debt

    1.38%       4.56%         2011-2012   $ 5,047       42,968  

Current portion of long-term debt, including capital leases

                        250,312       377,156  
                       

 

 

   

 

 

 

Total short-term debt and current portion of long-term debt

                        255,359       420,124  
                       

 

 

   

 

 

 
           

Long-term debt:

                                   

U.S. commercial paper (1)

    0.35%       0.42%         2016     266,961       367,880  

Unsecured U.S. notes — Medium-term notes (1)

    4.47%       5.28%         2011-2025     2,484,241       2,158,647  

Unsecured U.S. obligations, principally bank term loans

    1.57%       1.54%         2012-2016     106,900       105,600  

Unsecured foreign obligations

    2.57%       5.14%         2012-2016     300,032       45,109  

Capital lease obligations

    7.81%       7.86%         2011-2017     10,721       11,369  
                       

 

 

   

 

 

 

Total before fair market value adjustment

                        3,168,855       2,688,605  

Fair market value adjustment on notes subject to hedging  ( 2 )

                        24,692       15,429  
                       

 

 

   

 

 

 
                          3,193,547       2,704,034  

Current portion of long-term debt, including capital leases

                        (250,312     (377,156
                       

 

 

   

 

 

 

Long-term debt

                        2,943,235       2,326,878  
                       

 

 

   

 

 

 

Total debt

                      $ 3,198,594       2,747,002  
                       

 

 

   

 

 

 

 

 

(1) We had unamortized original issue discounts of $9.8 million and $10.5 million at September 30, 2011 and December 31, 2010, respectively.

 

(2) The notional amount of executed interest rate swaps designated as fair value hedges was $550 million and $250 million at September 30, 2011 and December 31, 2010, respectively.
XML 42 R31.htm IDEA: XBRL DOCUMENT v2.3.0.15
Acquisitions (Tables)
9 Months Ended
Sep. 30, 2011
Acquisitions [Abstract] 
Summary of purchase price allocations
         
    (In thousands)  

Assets:

       

Revenue earning equipment

  $ 200,376  

Operating property and equipment

    18,780  

Customer relationships and other intangibles

    9,150  

Other assets, primarily accounts receivable

    60,143  
   

 

 

 
      288,449  
   

Liabilities, primarily accrued liabilities

    (36,954
   

 

 

 

Net assets acquired

  $ 251,495  
   

 

 

 
Schedule of unaudited proforma information
                                 
    Three months ended September 30,     Nine months ended September 30,  
    2011     2010     2011     2010  
    (In thousands, except per share amounts)  

Revenue — As reported

  $ 1,570,720       1,316,948     $ 4,509,440       3,823,009  

Revenue — Pro forma

  $ 1,570,720       1,438,920     $ 4,577,010       4,122,729  
         

Net earnings — As reported

  $ 56,524       38,835     $ 121,682       81,049  

Net earnings — Pro forma

  $ 56,524       44,290     $ 135,337       95,601  
         

Net earnings per common share:

                               

Basic — As reported

  $ 1.10       0.74     $ 2.37       1.54  

Basic — Pro forma

  $ 1.10       0.85     $ 2.64       1.81  
         

Diluted — As reported

  $ 1.10       0.74     $ 2.35       1.53  

Diluted — Proforma

  $ 1.10       0.85     $ 2.62       1.81  
XML 43 R58.htm IDEA: XBRL DOCUMENT v2.3.0.15
Direct Financing Lease Receivables (Details Textuals) (USD $)
In Thousands
9 Months Ended
Sep. 30, 2011
Direct Financing Lease Receivables (Textuals) [Abstract] 
Factor which may result in customer being classified as high riskless than 3 years
Impaired Direct Financing Receivables$ 0
Trucks and Tractors [Member]
 
Lease terms for revenue earning equipment [Line Items] 
Minimum Lease Term of Revenue Earning Equipment3 years
Maximum Lease Term of Revenue Earning Equipment7 years
Trailers [Member]
 
Lease terms for revenue earning equipment [Line Items] 
Maximum Lease Term of Revenue Earning Equipment10 years
XML 44 R60.htm IDEA: XBRL DOCUMENT v2.3.0.15
Revenue Earning Equipment (Details Textuals) (USD $)
3 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Sep. 30, 2011
Sep. 30, 2010
Dec. 31, 2010
Revenue Earning Equipment (Textuals) [Abstract]     
Cost$ 8,214,943,000 $ 8,214,943,000 $ 7,448,618,000
Accumulated Depreciation3,387,027,000 3,387,027,000 3,247,400,000
Effect of change in estimated residual values of revenue earning equipment on pre tax earnings1,400,000 4,100,000  
Accelerated depreciation100,0001,500,000200,0005,000,000 
Assets Held under Capital Leases [Member]
     
Revenue Earning Equipment (Textuals) [Abstract]     
Cost24,700,000 24,700,000 29,200,000
Accumulated Depreciation$ 15,200,000 $ 15,200,000 $ 18,500,000
XML 45 R51.htm IDEA: XBRL DOCUMENT v2.3.0.15
Share-Based Compensation Plans (Details) (USD $)
3 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Sep. 30, 2011
Institutions
Year
Sep. 30, 2010
Share-based compensation expense and income tax benefits recognized during the periods    
Share-based compensation expense$ 4,297,000$ 4,187,000$ 12,637,000$ 12,203,000
Income tax benefit(1,425,000)(1,408,000)(4,212,000)(4,149,000)
Share-based compensation expense, net of tax2,872,0002,779,0008,425,0008,054,000
Summary of compensation expense recognized related to cash awards    
Cash awards396,000452,0001,216,0001,224,000
Share-Based Compensation Plans (Textuals) [Abstract]    
Stock option plan granted  710,000900,000
Stock option plan granted, contractual term  7 
Weighted-average fair value per option granted  $ 12.88$ 8.93
Total unrecognized pre-tax compensation expense32,200,000 32,200,000 
Unrecognized Compensation Costs weighted-average period  1.9 
Ryder's total shareholders return criteria for market based cash awards  33rd percentile of the S&P 500 
Stock Option and Stock Purchase Plan [Member]
    
Share-based compensation expense and income tax benefits recognized during the periods    
Share-based compensation expense2,370,0002,311,0006,974,0006,803,000
Nonvested Stock [Member]
    
Share-based compensation expense and income tax benefits recognized during the periods    
Share-based compensation expense$ 1,927,000$ 1,876,000$ 5,663,000$ 5,400,000
Market-based restricted stock rights [Member]
    
Share-based compensation expense and income tax benefits recognized during the periods    
Restricted stock rights and restricted stock units granted  140,000190,000
Weighted-average fair value per restricted stock right and RSU granted  $ 25.37$ 15.50
Share-based compensation plan, Vesting period  3 years 
Time Vested Restricted Stock [Member]
    
Share-based compensation expense and income tax benefits recognized during the periods    
Restricted stock rights and restricted stock units granted  200,00070,000
Weighted-average fair value per restricted stock right and RSU granted  $ 52.78$ 39.47
Share-based compensation plan, Vesting period  3 years 
Stock Option [Member]
    
Share-based compensation expense and income tax benefits recognized during the periods    
Share-based compensation plan, Vesting period  3 years 
XML 46 R64.htm IDEA: XBRL DOCUMENT v2.3.0.15
Debt (Details) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2011
Dec. 31, 2010
Short-term debt and current portion of long-term debt:  
Current portion of long-term debt, including capital leases$ 250,312$ 377,156
Total short-term debt and current portion of long-term debt255,359420,124
Short-term debt [Member]
  
Short-term debt and current portion of long-term debt:  
Short-term debt, Weighted Average Interest Rate1.38%4.56%
Maturity date range, start2011 
Maturity date range, end2012 
Short-term debt$ 5,047$ 42,968
XML 47 R10.htm IDEA: XBRL DOCUMENT v2.3.0.15
Acquisitions
9 Months Ended
Sep. 30, 2011
Acquisitions [Abstract] 
ACQUISITIONS

(C) ACQUISITIONS

Hill Hire plc — On June 8, 2011, we acquired all of the common stock of Hill Hire plc (Hill Hire), a U.K. based full service leasing, rental and maintenance company for a purchase price of $251.5 million, net of cash acquired, all of which has been paid as of September 30, 2011. The acquisition included Hill Hire’s fleet of approximately 8,000 full service lease and 5,700 rental vehicles, and approximately 400 contractual customers. The acquired fleet included 9,700 trailers. The combined network operates under the Ryder name, complementing our Fleet Management Solutions (FMS) business segment market coverage in the U.K. Transaction costs related to the Hill Hire acquisition, all of which were included in “Operating Expense” in the Consolidated Condensed Statement of Earnings, were $2.2 million for the nine months ended September 30, 2011.

The preliminary purchase price allocations and resulting impact on the September 30, 2011 Consolidated Condensed Balance Sheet relating to the Hill Hire acquisition was as follows:

         
    (In thousands)  

Assets:

       

Revenue earning equipment

  $ 200,376  

Operating property and equipment

    18,780  

Customer relationships and other intangibles

    9,150  

Other assets, primarily accounts receivable

    60,143  
   

 

 

 
      288,449  
   

Liabilities, primarily accrued liabilities

    (36,954
   

 

 

 

Net assets acquired

  $ 251,495  
   

 

 

 

Total Logistic Control — On December 31, 2010, we acquired all of the common stock of Total Logistic Control (TLC), a leading provider of comprehensive supply chain solutions to food, beverage, and consumer packaged goods manufacturers in the U.S. TLC provides customers a broad suite of end-to-end services, including distribution management, contract packaging services and solutions engineering. This acquisition enhances our Supply Chain Solutions (SCS) capabilities and growth prospects in the areas of packaging and warehousing, including temperature-controlled facilities. The purchase price was $207.1 million, of which $3.4 million was paid during the nine months ended September 30, 2011. No further payments are due related to this acquisition. During the nine months ended September 30, 2011, the purchase price was reduced by $1.5 million due to contractual adjustments in acquired deferred taxes and working capital. As of September 30, 2011, goodwill and customer relationship intangibles related to the TLC acquisition were $133.3 million and $35.0 million, respectively.

Pro Forma Information — The operating results of Hill Hire and TLC have been included in the consolidated condensed financial statements from the date of acquisition. The following table provides the unaudited pro forma revenues, net earnings and earnings per common share as if the results of the Hill Hire acquisition had been included in operations commencing January 1, 2010, and the TLC acquisition had been included in operations commencing January 1, 2009. This pro forma information is not necessarily indicative either of the combined results of operations that actually would have been realized had the acquisition been consummated during the periods for which the pro forma information is presented, or of future results.

 

                                 
    Three months ended September 30,     Nine months ended September 30,  
    2011     2010     2011     2010  
    (In thousands, except per share amounts)  

Revenue — As reported

  $ 1,570,720       1,316,948     $ 4,509,440       3,823,009  

Revenue — Pro forma

  $ 1,570,720       1,438,920     $ 4,577,010       4,122,729  
         

Net earnings — As reported

  $ 56,524       38,835     $ 121,682       81,049  

Net earnings — Pro forma

  $ 56,524       44,290     $ 135,337       95,601  
         

Net earnings per common share:

                               

Basic — As reported

  $ 1.10       0.74     $ 2.37       1.54  

Basic — Pro forma

  $ 1.10       0.85     $ 2.64       1.81  
         

Diluted — As reported

  $ 1.10       0.74     $ 2.35       1.53  

Diluted — Proforma

  $ 1.10       0.85     $ 2.62       1.81  

During 2011 we completed several additional acquisitions as discussed below. Pro forma information for these acquisitions is not disclosed because the effect of these acquisitions is not significant.

B.I.T. Leasing Inc. — On April 1, 2011, we acquired the assets of B.I.T. Leasing, Inc. (BIT), a full service truck leasing and fleet services company located in Hayward, California, for a purchase price of $13.8 million. Approximately $13.2 million of the purchase price has been paid as of September 30, 2011. This agreement complements a 2010 acquisition whereby we acquired a portion of BIT’s fleet of full service lease and rental vehicles and contractual customers. The combination of both acquisitions included BIT’s fleet of approximately 490 full service lease and rental vehicles, 70 contract maintenance vehicles and 130 contractual customers. As of September 30, 2011, goodwill and customer relationship intangibles related to the BIT acquisition were $1.4 million and $0.5 million, respectively. The combined network operates under the Ryder name, complementing our FMS business segment market coverage in California.

The Scully Companies — On January 28, 2011, we acquired the common stock of The Scully Companies, Inc.’s (Scully) FMS business and the assets of Scully’s Dedicated Contract Carriage (DCC) business. The acquisition included Scully’s fleet of approximately 1,800 full service lease and 300 rental vehicles, and approximately 200 contractual customers. The purchase price was $91.0 million, of which $84.6 million has been paid as of September 30, 2011. During 2011, the purchase price was decreased by $0.2 million due to the settlement of working capital related items. The purchase price included $14.4 million in contingent consideration to be paid to the seller provided acquired customers are retained for a specified period. During the three months ended September 30, 2011, $13.4 million of this contingent consideration was paid and the remaining amount is expected to be paid by the end of the year. As of September 30, 2011, the fair value of the contingent consideration has been reflected within “Accrued expenses and other current liabilities” in our Consolidated Condensed Balance Sheet. See Note (N), “Fair Value Measurements,” for additional information. As of September 30, 2011, goodwill and customer relationship intangibles related to the Scully acquisition were $27.5 million and $11.1 million, respectively. The combined network operates under the Ryder name, complementing our FMS and DCC business segments market coverage in the Western United States.

Carmenita Leasing, Inc. — On January 10, 2011, we acquired the assets of Carmenita Leasing, Inc. (Carmenita), a full service leasing and rental business located in Santa Fe Springs, California, for a purchase price of $9.0 million. The acquisition included Carmenita’s fleet of approximately 190 full service lease and rental vehicles, and 60 contractual customers. Approximately $8.8 million of the purchase price has been paid as of September 30, 2011. As of September 30, 2011, goodwill and customer relationship intangibles related to the Carmenita acquisition were $0.3 million and $0.3 million, respectively. The combined network operates under the Ryder name, complementing our FMS business segment market coverage in California.

For the three months ended September 30, 2011, all acquisitions had combined revenue and net earnings of $143.4 million and $10.9 million, respectively. For the nine months ended September 30, 2011, the acquisitions had combined revenue and net earnings of $338.8 million and $18.9 million, respectively.

The initial recording of revenue earning equipment in each of the 2011 acquisitions was based on preliminary valuation assessments. As new information is obtained about facts and circumstances that existed as of the acquisition date, the valuation of revenue earning equipment may change. During the nine months ended September 30, 2011 and 2010, we paid $0.7 million and $6.8 million, respectively, related to other acquisitions completed in prior years.

 

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Segment Reporting (Details) (USD $)
In Thousands
3 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Sep. 30, 2011
Sep. 30, 2010
Financial information of business segments    
Revenue from external customers$ 1,570,720$ 1,316,948$ 4,509,440$ 3,823,009
Revenue1,570,7201,316,9484,509,4403,823,009
Segment NBT99,24773,955240,334167,403
Unallocated CSS NBT(11,592)(11,957)(31,564)(30,706)
Restructuring and other charges, net  (2,495) 
Unallocated CSS Capital Expenditures3,7702,37012,2567,986
Earnings from continuing operations before income taxes87,65561,998206,275136,697
Segment capital expenditures343,988314,1431,152,879852,916
Capital expenditures paid347,758316,5131,165,135860,902
Segment Reporting (Textuals) [Abstract]    
Acquisitions(13,600)(4,400)(362,184)(6,789)
Fleet Management Solutions [Member]
    
Financial information of business segments    
Revenue from external customers1,005,716872,6852,868,6992,535,094
Inter-segment revenue93,33376,254274,976228,999
Revenue1,099,049948,9393,143,6752,764,093
Segment NBT74,15654,766180,222122,687
Segment capital expenditures334,672310,3741,128,560844,659
Supply Chain Solutions [Member]
    
Financial information of business segments    
Revenue from external customers406,078322,8711,196,694927,157
Revenue406,078322,8711,196,694927,157
Segment NBT22,39815,19951,69334,784
Segment capital expenditures8,7413,55421,7067,051
Dedicated Contract Carriage [Member]
    
Financial information of business segments    
Revenue from external customers158,926121,392444,047360,758
Revenue158,926121,392444,047360,758
Segment NBT8,3588,61925,51724,437
Segment capital expenditures5752152,6131,206
Eliminations [Member]
    
Financial information of business segments    
Inter-segment revenue(93,333)(76,254)(274,976)(228,999)
Revenue(93,333)(76,254)(274,976)(228,999)
Segment NBT$ (5,665)$ (4,629)$ (17,098)$ (14,505)
XML 50 R42.htm IDEA: XBRL DOCUMENT v2.3.0.15
Derivatives (Tables)
9 Months Ended
Sep. 30, 2011
Derivatives [Abstract] 
Impact on the Consolidated Condensed Statements of Earnings related to Fair Value Hedges
                                     

Fair Value Hedging Relationship

  Location of Gain (Loss)
Recognized in Income
  Three months ended September 30,     Nine months ended September 30,  
    2011     2010     2011     2010  
        (In thousands)  
           

Derivatives: Interest rate swaps

  Interest expense   $ 8,251       1,813     $ 9,263       5,938  

Hedged items: Fixed-rate debt

  Interest expense     (8,251     (1,813     (9,263     (5,938
       

 

 

   

 

 

   

 

 

   

 

 

 

Total

      $           $        
       

 

 

   

 

 

   

 

 

   

 

 

 
XML 51 R28.htm IDEA: XBRL DOCUMENT v2.3.0.15
Segment Reporting
9 Months Ended
Sep. 30, 2011
Segment Reporting [Abstract] 
SEGMENT REPORTING

(U) SEGMENT REPORTING

Our operating segments are aggregated into reportable business segments based upon similar economic characteristics, products, services, customers and delivery methods. We operate in three reportable business segments: (1) FMS, which provides full service leasing, contract maintenance, contract-related maintenance and commercial rental of trucks, tractors and trailers to customers, principally in the U.S., Canada and the U.K.; (2) SCS, which provides comprehensive supply chain consulting including distribution and transportation services in North America and Asia; and (3) DCC, which provides vehicles and drivers as part of a dedicated transportation solution in the U.S.

Our primary measurement of segment financial performance, defined as “Net Before Taxes” (NBT), includes an allocation of Central Support Services (CSS) and excludes restructuring and other charges, net described in Note (G), “Restructuring and Other Charges” and excludes the items discussed in Note (S), “Other Items Impacting Comparability.” CSS represents those costs incurred to support all business segments, including human resources, finance, corporate services, public affairs, information technology, health and safety, legal and corporate communications. The objective of the NBT measurement is to provide clarity on the profitability of each business segment and, ultimately, to hold leadership of each business segment and each operating segment within each business segment accountable for their allocated share of CSS costs. Certain costs are considered to be overhead not attributable to any segment and remain unallocated in CSS. Included among the unallocated overhead remaining within CSS are the costs for investor relations, public affairs and certain executive compensation.

Our FMS segment leases revenue earning equipment and provides fuel, maintenance and other ancillary services to the SCS and DCC segments. Inter-segment revenue and NBT are accounted for at rates similar to those executed with third parties. NBT related to inter-segment equipment and services billed to customers (equipment contribution) are included in both FMS and the business segment which served the customer and then eliminated (presented as “Eliminations”).

 

The following tables set forth financial information for each of our business segments and reconciliation between segment NBT and earnings from continuing operations before income taxes for the three and nine months ended September 30, 2011 and 2010. Segment results are not necessarily indicative of the results of operations that would have occurred had each segment been an independent, stand-alone entity during the periods presented.

                                         
    FMS     SCS     DCC     Eliminations     Total  
                (In thousands)              

For the three months ended September 30, 2011

                                       

Revenue from external customers

  $ 1,005,716       406,078       158,926             1,570,720  

Inter-segment revenue

    93,333                   (93,333      
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total revenue

  $ 1,099,049       406,078       158,926       (93,333     1,570,720  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
           

Segment NBT

  $ 74,156       22,398       8,358       (5,665     99,247  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    (11,592
                                   

 

 

 

Earnings from continuing operations before income taxes

                                  $ 87,655  
                                   

 

 

 
           

Segment capital expenditures (1), (2)

  $ 334,672     $ 8,741     $ 575             343,988  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    3,770  
                                   

 

 

 

Capital expenditures paid

                                  $ 347,758  
                                   

 

 

 
           

For the three months ended September 30, 2010

                                       

Revenue from external customers

  $ 872,685       322,871       121,392             1,316,948  

Inter-segment revenue

    76,254                   (76,254      
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total revenue

  $ 948,939       322,871       121,392       (76,254     1,316,948  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
           

Segment NBT

  $ 54,766       15,199       8,619       (4,629     73,955  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    (11,957
                                   

 

 

 

Earnings from continuing operations before income taxes

                                  $ 61,998  
                                   

 

 

 
           

Segment capital expenditures (1), (2)

  $ 310,374       3,554       215             314,143  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    2,370  
                                   

 

 

 

Capital expenditures paid

                                  $ 316,513  
                                   

 

 

 

 

 

(1) Excludes revenue earning equipment acquired under capital leases.
(2) Excludes acquisition payments of $13.6 million and $4.4 million during the three months ended September 30, 2011 and 2010, respectively.

 

                                         
    FMS     SCS     DCC     Eliminations     Total  
                (In thousands)              

For the nine months ended September 30, 2011

                                       

Revenue from external customers

  $ 2,868,699       1,196,694       444,047             4,509,440  

Inter-segment revenue

    274,976                   (274,976      
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total revenue

  $ 3,143,675       1,196,694       444,047       (274,976     4,509,440  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
           

Segment NBT

  $ 180,222       51,693       25,517       (17,098     240,334  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    (31,564

Restructuring and other charges, net and other items  (3)

                                    (2,495
                                   

 

 

 

Earnings from continuing operations before income taxes

                                  $ 206,275  
                                   

 

 

 
           

Segment capital expenditures ( 1 ), ( 2 )

  $ 1,128,560       21,706       2,613             1,152,879  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    12,256  
                                   

 

 

 

Capital expenditures paid

                                  $ 1,165,135  
                                   

 

 

 
           

For the nine months ended September 30, 2010

                                       

Revenue from external customers

  $ 2,535,094       927,157       360,758             3,823,009  

Inter-segment revenue

    228,999                   (228,999      
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total revenue

  $ 2,764,093       927,157       360,758       (228,999     3,823,009  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
           

Segment NBT

  $ 122,687       34,784       24,437       (14,505     167,403  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    (30,706
                                   

 

 

 

Earnings from continuing operations before income taxes

                                  $ 136,697  
                                   

 

 

 
           

Segment capital expenditures (1) , ( 2 )

  $ 844,659       7,051       1,206             852,916  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    7,986  
                                   

 

 

 

Capital expenditures paid

                                  $ 860,902  
                                   

 

 

 

 

 

(1) Excludes revenue earning equipment acquired under capital leases.
(2) Excludes acquisition payments of $362.2 million and $6.8 million during the nine months ended September 30, 2011 and 2010, respectively.
(3) See Note (S), “Other Items Impacting Comparability,” for a discussion of items, in addition to restructuring and other charges, net that are excluded from our primary measure of segment performance.

 

XML 52 R66.htm IDEA: XBRL DOCUMENT v2.3.0.15
Debt (Details Textuals) (USD $)
9 Months Ended9 Months Ended
Sep. 30, 2011
Institutions
Year
Dec. 31, 2010
Sep. 30, 2011
U.S Commercial Paper, Long-Term [Member]
Dec. 31, 2010
U.S Commercial Paper, Long-Term [Member]
Sep. 30, 2011
Medium-term Notes [Member]
May 31, 2011
350 million unsecured medium-term notes due June 2017 [Member]
Feb. 28, 2011
350 million unsecured medium-term notes due March 2015 [Member]
Feb. 28, 2011
Interest rate swaps maturing March 2015 [Member]
May 31, 2011
Interest rate swaps maturing June 2017 [Member]
Sep. 30, 2011
Letter of Credit [Member]
Sep. 30, 2011
Global Revolving Credit Facility [Member]
Sep. 30, 2011
Credit Facility Due on April 2012 [Member]
Debt (Textuals) [Abstract]            
Commercial paper classified as long term debt  $ 266,961,000$ 367,880,000        
Repurchase price condition of notes    101% of Principal Plus Accrued And Unpaid Interest       
Face amount of unsecured medium-term notes issued     350,000,000350,000,000     
Notional amount of interest rate swap550,000,000250,000,000   150,000,000150,000,000150,000,000150,000,000   
Line of Credit Facility [Line Items]            
Maximum borrowing capacity under global revolving credit facility         75,000,000900,000,000875,000,000
Letter of credit outstanding amount         0  
Unamortized original issue discounts9,800,00010,500,000          
Notional amount of the executed interest rate swap designated as a fair value hedge550,000,000250,000,000   150,000,000150,000,000150,000,000150,000,000   
Number of lending institutions12           
Annual facility fees minimum0.10%           
Annual facility fees maximum0.325%           
Current annual facility fee0.15%           
Global revolving credit facility covenant terms, debt to consolidated tangible net worth ratioless than or equal to 300%           
Tangible net worth definitionIncludes 50% of Deferred Federal Income Tax Liability and Excludes Intangibles           
Debt to consolidated tangible net worth ratio214.00%           
Amount available under the global revolving credit facility631,100,000           
Total available proceeds under trade receivables purchase and sale program175,000,000           
Amount outstanding under trade receivables purchase and sale program00          
Letters of Credit and Surety Bonds Outstanding$ 264,200,000$ 264,800,000          
Number of days under trade trade receivables purchase and sale program364 days           
XML 53 R62.htm IDEA: XBRL DOCUMENT v2.3.0.15
Accrued Expenses and Other Liabilities (Details) (USD $)
In Thousands
Sep. 30, 2011
Dec. 31, 2010
Accrued Expenses and Other Liabilities  
Salaries and wages, Accrued Expenses$ 103,278$ 81,037
Salaries and wages, Non-Current Liabilities00
Salaries and wages, Total103,27881,037
Deferred compensation, Accrued Expenses1,2601,965
Deferred compensation, Non-Current Liabilities18,76121,258
Deferred compensation, Total20,02123,223
Pension benefits, Accrued Expenses2,9522,984
Pension benefits, Non-Current Liabilities345,073333,074
Pension benefits, Total348,025336,058
Other postretirement benefits, Accrued Expenses3,3753,382
Other postretirement benefits, Non-Current Liabilities43,01243,787
Other postretirement benefits, Total46,38747,169
Employee benefits, Accrued Expenses9,8412,251
Employee benefits, Non-Current Liabilities00
Employee benefits, Total9,8412,251
Insurance obligations, primarily self-insurance, Accrued Expenses121,402110,697
Insurance obligations, primarily self-insurance, Non-Current Liabilities154,218148,639
Insurance obligations, primarily self-insurance, Total275,620259,336
Residual value guarantees, Accrued Expenses2,8372,301
Residual value guarantees, Non-Current Liabilities1,5552,196
Residual value guarantees, Total4,3924,497
Accrued rent, Accrued Expenses3,2442,397
Accrued rent, Non-Current Liabilities10,48216,787
Accrued rent, Total13,72619,184
Deferred vehicle gains, Accrued Expenses461473
Deferred vehicle gains, Non-Current Liabilities9901,374
Deferred vehicle gains, Total1,4511,847
Environmental liabilities, Accrued Expenses4,6505,145
Environmental liabilities, Non-Current Liabilities9,6148,908
Environmental liabilities, Total14,26414,053
Asset retirement obligations, Accrued Expenses5,5993,868
Asset retirement obligations, Non-Current Liabilities12,44212,319
Asset retirement obligations, Total18,04116,187
Operating taxes, Accrued Expenses105,10973,095
Operating taxes, Non-Current Liabilities00
Operating taxes, Total105,10973,095
Income taxes, Accrued Expenses7912,559
Income taxes, Non-Current Liabilities76,72873,849
Income taxes, Total77,51976,408
Interest, Accrued Expenses25,59230,478
Interest, Non-Current Liabilities00
Interest, Total25,59230,478
Deposits, mainly from customers, Accrued Expenses36,89731,755
Deposits, mainly from customers, Non-Current Liabilities12,7697,538
Deposits, mainly from customers, Total49,66639,293
Deferred revenue, Accrued Expenses19,64815,956
Deferred revenue, Non-Current Liabilities1,7264,646
Deferred revenue, Total21,37420,602
Acquisition holdbacks, Accrued Expenses7,6676,177
Acquisition holdbacks, Non-Current Liabilities00
Acquisition holdbacks, Total7,6676,177
Other, Accrued Expenses44,47740,495
Other, Non-Current Liabilities10,0316,433
Other, Total54,50846,928
Total Accrued Expenses499,080417,015
Total, Non-Current Liabilities697,401680,808
Total$ 1,196,481$ 1,097,823
XML 54 R33.htm IDEA: XBRL DOCUMENT v2.3.0.15
Share-Based Compensation Plans (Tables)
9 Months Ended
Sep. 30, 2011
Share-Based Compensation Plans [Abstract] 
Share-based compensation expense and income tax benefits recognized during the periods
                                 
    Three months ended September 30,     Nine months ended September 30,  
    2011     2010     2011     2010  
    (In thousands)  
         

Stock option and stock purchase plans

  $ 2,370       2,311     $ 6,974       6,803  

Nonvested stock

    1,927       1,876       5,663       5,400  
   

 

 

   

 

 

   

 

 

   

 

 

 

Share-based compensation expense

    4,297       4,187       12,637       12,203  

Income tax benefit

    (1,425     (1,408     (4,212     (4,149
   

 

 

   

 

 

   

 

 

   

 

 

 

Share-based compensation expense, net of tax

  $ 2,872       2,779     $ 8,425       8,054  
   

 

 

   

 

 

   

 

 

   

 

 

 
Summary of share-based compensation expense recognized related to cash awards
                 
    Three months ended September 30,   Nine months ended September 30,
    2011   2010   2011   2010
    (In thousands)
         

Cash awards

  $396   452   $1,216   1,224
XML 55 R41.htm IDEA: XBRL DOCUMENT v2.3.0.15
Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2011
Fair Value Measurements [Abstract] 
Assets and liabilities measured at fair value on recurring basis
    000000     000000       000000       000000       000000  
   

Balance Sheet Location

  Fair Value Measurements
At September 30, 2011 Using
    Total  
      Level 1     Level 2     Level 3    
        (In thousands)  

Assets:

                                   

Investments held in Rabbi Trusts:

                                   

Cash and cash equivalents

      $ 4,745                   4,745  

U.S. equity mutual funds

        6,923                   6,923  

Foreign equity mutual funds

        2,158                   2,158  

Fixed income mutual funds

        3,336                   3,336  
       

 

 

   

 

 

   

 

 

   

 

 

 

Investments held in Rabbi Trusts

  DFL and other assets     17,162                   17,162  

Interest rate swaps

  DFL and other assets           24,692             24,692  
       

 

 

   

 

 

   

 

 

   

 

 

 

Total assets at fair value

      $ 17,162       24,692             41,854  
       

 

 

   

 

 

   

 

 

   

 

 

 

Liabilities:

                                   

Contingent consideration

  Accrued expenses   $             1,000       1,000  
       

 

 

   

 

 

   

 

 

   

 

 

 

Total liabilities at fair value

      $             1,000       1,000  
       

 

 

   

 

 

   

 

 

   

 

 

 
                                     
    Balance Sheet Location   Fair Value Measurements
At December 31, 2010 Using
    Total  
      Level 1     Level 2     Level 3    
        (In thousands)  

Assets:

           

Investments held in Rabbi Trusts

                                   

Cash and cash equivalents

      $ 2,348                   2,348  

U.S. equity mutual funds

        8,409                   8,409  

Foreign equity mutual funds

        5,188                   5,188  

Fixed income mutual funds

        1,459                   1,459  
       

 

 

   

 

 

   

 

 

   

 

 

 

Investments held in Rabbi Trusts

  DFL and other assets     17,404                   17,404  

Interest rate swap

  DFL and other assets           15,429             15,429  
       

 

 

   

 

 

   

 

 

   

 

 

 

Total assets at fair value

      $ 17,404       15,429             32,833  
       

 

 

   

 

 

   

 

 

   

 

 

 
Assets and liabilities measured at fair value on nonrecurring basis
      $ 0,000       $ 0,000       $ 0,000       $ 0,000       $ 0,000  
    Fair Value Measurements
At September 30, 2011 Using
    Total Losses (2)  
    Level 1     Level 2     Level 3     Three months ended     Nine months ended  
    (In thousands)  

Assets held for sale:

                                       

Revenue earning equipment: (1)

                                       

Trucks

  $             6,401     $ 1,300     $ 4,943  

Tractors

                1,972       445       1,545  

Trailers

                357       406       1,774  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets at fair value

  $             8,730     $ 2,151     $ 8,262  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

      $ 000,000       $ 000,000       $ 000,000       $ 000,000       $ 000,000  
    Fair Value Measurements
At September 30, 2010 Using
    Total Losses (2)  
    Level 1     Level 2     Level 3     Three months ended     Nine months ended  
    (In thousands)  

Assets held for sale:

                                       

Revenue earning equipment (1)

                                       

Trucks

  $             12,507     $ 2,541     $ 10,423  

Tractors

                13,298       1,911       8,403  

Trailers

                1,920       867       3,098  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets at fair value

  $             27,725     $ 5,319     $ 21,924  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

(1) Represents the portion of all revenue earning equipment held for sale that is recorded at fair value, less costs to sell.

 

(2) Total losses represent fair value adjustments for all vehicles held for sale throughout the period for which fair value was less than carrying value.
XML 56 R30.htm IDEA: XBRL DOCUMENT v2.3.0.15
Recent Accounting Pronouncements
9 Months Ended
Sep. 30, 2011
Accounting Changes/Recent Accounting Pronouncements [Abstract] 
RECENT ACCOUNTING PRONOUNCEMENTS

(W) RECENT ACCOUNTING PRONOUNCEMENTS

In June 2011, the FASB issued accounting guidance on the presentation of comprehensive income. Under this guidance, entities have the option to present the components of net income and other comprehensive income in either a single continuous statement of comprehensive income or in two separate but consecutive statements. This guidance is effective for us beginning in our March 31, 2012 10-Q. We are currently evaluating these changes to determine which option will be chosen for the presentation of comprehensive income. Other than the change in presentation, this accounting guidance will not have an impact on our consolidated financial position, results of operations or cash flows.

XML 57 R18.htm IDEA: XBRL DOCUMENT v2.3.0.15
Accrued Expenses and Other Liabilities
9 Months Ended
Sep. 30, 2011
Accrued Expenses and Other Liabilities [Abstract] 
ACCRUED EXPENSES AND OTHER LIABILITIES

(K) ACCRUED EXPENSES AND OTHER LIABILITIES

                                                 
    September 30, 2011     December 31, 2010  
    Accrued
Expenses
    Non-Current
Liabilities
    Total     Accrued
Expenses
    Non-Current
Liabilities
    Total  
        (In thousands)  
             

Salaries and wages

  $ 103,278             103,278       81,037             81,037  

Deferred compensation

    1,260       18,761       20,021       1,965       21,258       23,223  

Pension benefits

    2,952       345,073       348,025       2,984       333,074       336,058  

Other postretirement benefits

    3,375       43,012       46,387       3,382       43,787       47,169  

Employee benefits

    9,841             9,841       2,251             2,251  

Insurance obligations, primarily self-insurance

    121,402       154,218       275,620       110,697       148,639       259,336  

Residual value guarantees

    2,837       1,555       4,392       2,301       2,196       4,497  

Accrued rent

    3,244       10,482       13,726       2,397       16,787       19,184  

Deferred vehicle gains

    461       990       1,451       473       1,374       1,847  

Environmental liabilities

    4,650       9,614       14,264       5,145       8,908       14,053  

Asset retirement obligations

    5,599       12,442       18,041       3,868       12,319       16,187  

Operating taxes

    105,109             105,109       73,095             73,095  

Income taxes

    791       76,728       77,519       2,559       73,849       76,408  

Interest

    25,592             25,592       30,478             30,478  

Deposits, mainly from customers

    36,897       12,769       49,666       31,755       7,538       39,293  

Deferred revenue

    19,648       1,726       21,374       15,956       4,646       20,602  

Acquisition holdbacks

    7,667             7,667       6,177             6,177  

Other

    44,477       10,031       54,508       40,495       6,433       46,928  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $   499,080       697,401       1,196,481         417,015         680,808       1,097,823  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

XML 58 R56.htm IDEA: XBRL DOCUMENT v2.3.0.15
Direct Financing Lease Receivables (Details 1) (USD $)
In Thousands
Sep. 30, 2011
Dec. 31, 2010
Credit risk profile by creditworthiness category of direct financing lease receivables  
Credit risk profile by creditworthiness category of direct financing lease receivables, Total$ 383,418$ 377,343
Very low risk to low risk [Member]
  
Credit risk profile by creditworthiness category of direct financing lease receivables  
Credit risk profile by creditworthiness category of direct financing lease receivables, Total119,43391,993
Moderate risk [Member]
  
Credit risk profile by creditworthiness category of direct financing lease receivables  
Credit risk profile by creditworthiness category of direct financing lease receivables, Total201,873218,547
Moderately high to High risk [Member]
  
Credit risk profile by creditworthiness category of direct financing lease receivables  
Credit risk profile by creditworthiness category of direct financing lease receivables, Total$ 62,112$ 66,803
XML 59 R74.htm IDEA: XBRL DOCUMENT v2.3.0.15
Other Items Impacting Comparability (Details) (USD $)
In Millions
Jun. 30, 2011
Other Items Impacting Comparability (Textuals) [Abstract] 
Business acquisition, cost of acquired entity, transaction costs$ 1.7
XML 60 R61.htm IDEA: XBRL DOCUMENT v2.3.0.15
Goodwill (Details) (USD $)
In Thousands
9 Months Ended
Sep. 30, 2011
Dec. 31, 2010
Carrying amount of goodwill attributable to each reportable business segment  
Goodwill, Beginning Balance$ 355,842 
Goodwill, Gross408,460385,063
Accumulated impairment losses(29,221)(29,221)
Acquisitions29,209 
Purchase accounting adjustments(5,042) 
Foreign currency translation adjustment(770) 
Goodwill, Ending Balance379,239 
Goodwill (Textuals) [Abstract]  
Goodwill impairment0 
Fleet Management Solutions [Member]
  
Carrying amount of goodwill attributable to each reportable business segment  
Goodwill, Beginning Balance192,619 
Goodwill, Gross216,960202,941
Accumulated impairment losses(10,322)(10,322)
Acquisitions14,356 
Foreign currency translation adjustment(337) 
Goodwill, Ending Balance206,638 
Supply Chain Solutions [Member]
  
Carrying amount of goodwill attributable to each reportable business segment  
Goodwill, Beginning Balance158,323 
Goodwill, Gross171,747177,222
Accumulated impairment losses(18,899)(18,899)
Purchase accounting adjustments(5,042) 
Foreign currency translation adjustment(433) 
Goodwill, Ending Balance152,848 
Dedicated Contract Carriage [Member]
  
Carrying amount of goodwill attributable to each reportable business segment  
Goodwill, Beginning Balance4,900 
Goodwill, Gross19,7534,900
Accumulated impairment losses00
Acquisitions14,853 
Goodwill, Ending Balance$ 19,753 
XML 61 R11.htm IDEA: XBRL DOCUMENT v2.3.0.15
Discontinued Operations
9 Months Ended
Sep. 30, 2011
Discontinued Operations [Abstract] 
DISCONTINUED OPERATIONS

(D) DISCONTINUED OPERATIONS

In 2009, we ceased SCS service operations in Brazil, Argentina, Chile and European markets. Accordingly, results of these operations, financial position and cash flows are separately reported as discontinued operations for all periods presented either in the Consolidated Condensed Financial Statements or notes thereto.

Summarized results of discontinued operations were as follows:

                                 
    Three months ended September 30,     Nine months ended September 30,  
    2011     2010     2011     2010  
    (In thousands)  
         

Pre-tax loss from discontinued operations

  $ (371     (854   $ (2,087     (2,191

Income tax (expense) benefit

    (38     15       65       94  
   

 

 

   

 

 

   

 

 

   

 

 

 

Loss from discontinued operations, net of tax

  $ (409     (839   $ (2,022     (2,097
   

 

 

   

 

 

   

 

 

   

 

 

 

Results of discontinued operations in 2011 and 2010 included losses related to adverse legal developments and professional and administrative fees partially offset by insurance and receivable recoveries associated with our discontinued South American operations.

The following is a summary of assets and liabilities of discontinued operations:

                 
    September 30,     December 31,  
    2011     2010  
    (In thousands)  

Total assets, primarily deposits

  $ 4,570       6,346  
     

Total liabilities, primarily contingent accruals

  $ 6,667       7,882  

 

XML 62 R21.htm IDEA: XBRL DOCUMENT v2.3.0.15
Fair Value Measurements
9 Months Ended
Sep. 30, 2011
Fair Value Measurements [Abstract] 
FAIR VALUE MEASUREMENTS

(N) FAIR VALUE MEASUREMENTS

The following tables present our assets and liabilities that are measured at fair value on a recurring basis and the levels of inputs used to measure fair value:

    000000     000000       000000       000000       000000  
   

Balance Sheet Location

  Fair Value Measurements
At September 30, 2011 Using
    Total  
      Level 1     Level 2     Level 3    
        (In thousands)  

Assets:

                                   

Investments held in Rabbi Trusts:

                                   

Cash and cash equivalents

      $ 4,745                   4,745  

U.S. equity mutual funds

        6,923                   6,923  

Foreign equity mutual funds

        2,158                   2,158  

Fixed income mutual funds

        3,336                   3,336  
       

 

 

   

 

 

   

 

 

   

 

 

 

Investments held in Rabbi Trusts

  DFL and other assets     17,162                   17,162  

Interest rate swaps

  DFL and other assets           24,692             24,692  
       

 

 

   

 

 

   

 

 

   

 

 

 

Total assets at fair value

      $ 17,162       24,692             41,854  
       

 

 

   

 

 

   

 

 

   

 

 

 

Liabilities:

                                   

Contingent consideration

  Accrued expenses   $             1,000       1,000  
       

 

 

   

 

 

   

 

 

   

 

 

 

Total liabilities at fair value

      $             1,000       1,000  
       

 

 

   

 

 

   

 

 

   

 

 

 
                                     
    Balance Sheet Location   Fair Value Measurements
At December 31, 2010 Using
    Total  
      Level 1     Level 2     Level 3    
        (In thousands)  

Assets:

           

Investments held in Rabbi Trusts

                                   

Cash and cash equivalents

      $ 2,348                   2,348  

U.S. equity mutual funds

        8,409                   8,409  

Foreign equity mutual funds

        5,188                   5,188  

Fixed income mutual funds

        1,459                   1,459  
       

 

 

   

 

 

   

 

 

   

 

 

 

Investments held in Rabbi Trusts

  DFL and other assets     17,404                   17,404  

Interest rate swap

  DFL and other assets           15,429             15,429  
       

 

 

   

 

 

   

 

 

   

 

 

 

Total assets at fair value

      $ 17,404       15,429             32,833  
       

 

 

   

 

 

   

 

 

   

 

 

 

The following is a description of the valuation methodologies used for these items, as well as the level of inputs used to measure fair value:

Investments held in Rabbi Trusts — The investments primarily include mutual funds that invest in equity and fixed income securities. Shares of mutual funds were valued based on quoted market prices, which represents the net asset value of the shares and were therefore classified within Level 1 of the fair value hierarchy.

Interest rate swaps — The derivatives are pay-variable, receive-fixed interest rate swaps based on the LIBOR rate and are designated as fair value hedges. Fair value was based on a model-driven income approach using the LIBOR rate at each interest payment date, which was observable at commonly quoted intervals for the full term of the swaps. Therefore, our interest rate swaps were classified within Level 2 of the fair value hierarchy.

Contingent consideration — Fair value was based on the income approach and uses significant inputs that are not observable in the market. These inputs are based on our expectations as to what amount we will pay based on contractual provisions. Therefore, the liability was classified within Level 3 of the fair value hierarchy. There was no change in the fair value of the liability during 2011. Refer to Note (C), “Acquisitions,” for additional information.

The following tables present our assets and liabilities that are measured at fair value on a nonrecurring basis and the levels of inputs used to measure fair value:

      $ 0,000       $ 0,000       $ 0,000       $ 0,000       $ 0,000  
    Fair Value Measurements
At September 30, 2011 Using
    Total Losses (2)  
    Level 1     Level 2     Level 3     Three months ended     Nine months ended  
    (In thousands)  

Assets held for sale:

                                       

Revenue earning equipment: (1)

                                       

Trucks

  $             6,401     $ 1,300     $ 4,943  

Tractors

                1,972       445       1,545  

Trailers

                357       406       1,774  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets at fair value

  $             8,730     $ 2,151     $ 8,262  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

      $ 000,000       $ 000,000       $ 000,000       $ 000,000       $ 000,000  
    Fair Value Measurements
At September 30, 2010 Using
    Total Losses (2)  
    Level 1     Level 2     Level 3     Three months ended     Nine months ended  
    (In thousands)  

Assets held for sale:

                                       

Revenue earning equipment (1)

                                       

Trucks

  $             12,507     $ 2,541     $ 10,423  

Tractors

                13,298       1,911       8,403  

Trailers

                1,920       867       3,098  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total assets at fair value

  $             27,725     $ 5,319     $ 21,924  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

(1) Represents the portion of all revenue earning equipment held for sale that is recorded at fair value, less costs to sell.

 

(2) Total losses represent fair value adjustments for all vehicles held for sale throughout the period for which fair value was less than carrying value.

 

Revenue earning equipment held for sale is stated at the lower of carrying amount or fair value less costs to sell. Losses to reflect changes in fair value are presented within “Depreciation expense” in the Consolidated Condensed Statements of Earnings. For revenue earning equipment held for sale, we stratify our fleet by vehicle type (tractors, trucks and trailers), weight class, age and other relevant characteristics and create classes of similar assets for analysis purposes. Fair value was determined based upon recent market prices obtained from our own sales experience for sales of each class of similar assets and vehicle condition. Therefore, our revenue earning equipment held for sale was classified within Level 3 of the fair value hierarchy.

Fair value of total debt (excluding capital lease obligations) at September 30, 2011 and December 31, 2010 was approximately $3.37 billion and $2.86 billion, respectively. For publicly-traded debt, estimates of fair value were based on market prices. For other debt, fair value was estimated based on rates currently available to us for debt with similar terms and remaining maturities. The carrying amounts reported in the Consolidated Condensed Balance Sheets for cash and cash equivalents, accounts receivable and accounts payable approximate fair value because of the immediate or short-term maturities of these financial instruments.

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Debt (Details 1) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2011
Dec. 31, 2010
Long-term debt:  
Total before fair market value adjustment$ 3,168,855$ 2,688,605
Fair market value adjustment on notes subject to hedging24,69215,429
Total after fair market value adjustment3,193,5472,704,034
Current portion of long-term debt, including capital leases(250,312)(377,156)
Long-term debt2,943,2352,326,878
Total debt3,198,5942,747,002
U.S Commercial Paper, Long-Term [Member]
  
Long-term debt:  
Long-term debt, Weighted Average Interest Rate0.35%0.42%
U.S. Commercial Paper266,961367,880
Maturity date range, end2016 
Unsecured U.S. notes - Medium-term notes, Long-Term [Member]
  
Long-term debt:  
Long-term debt, Weighted Average Interest Rate4.47%5.28%
Maturity date range, start2011 
Maturity date range, end2025 
Unsecured U.S. notes - Medium-term notes2,484,2412,158,647
Unsecured U.S. obligations, principally bank term loans, Long-Term [Member]
  
Long-term debt:  
Long-term debt, Weighted Average Interest Rate1.57%1.54%
Maturity date range, start2012 
Maturity date range, end2016 
Unsecured U.S. obligations, principally bank term loans106,900105,600
Unsecured Foreign Obligations, Long-Term [Member]
  
Long-term debt:  
Long-term debt, Weighted Average Interest Rate2.57%5.14%
Maturity date range, start2012 
Maturity date range, end2016 
Unsecured foreign obligations300,03245,109
Capital Lease Obligations, Long-Term [Member]
  
Long-term debt:  
Long-term debt, Weighted Average Interest Rate7.81%7.86%
Maturity date range, start2011 
Maturity date range, end2017 
Capital lease obligations$ 10,721$ 11,369

XML 65 R63.htm IDEA: XBRL DOCUMENT v2.3.0.15
Income Taxes (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended9 Months Ended9 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Sep. 30, 2011
Sep. 30, 2010
Sep. 30, 2012
Dec. 31, 2010
Apr. 01, 2012
U. K [Member]
Apr. 01, 2011
U. K [Member]
Sep. 30, 2011
Illinois Tax Law Change [Member]
Jan. 13, 2011
Illinois Tax Law Change [Member]
Sep. 30, 2011
Michigan Tax Law Change [Member]
Income Tax Examination [Line Items]           
Changes in U. K Tax Rate prior to enacted legislation      26.00%27.00%   
Changes in U. K Tax Rate subsequent to enacted legislation      25.00%26.00%   
Illinois corporate income tax rate prior to tax law change         4.80% 
Illinois corporate income tax rate subsequent to tax law change         7.00% 
Decrease in unrecognized tax benefits related to federal, state and foreign tax positions    $ 2.4      
Corporate income tax rate change, impact on deferred taxes and net earnings        1.2 5.4
Income Taxes (Textuals) [Abstract]           
Expected recognized tax benefit to be realized upon ultimate settlement  greater than fifty percent        
Gross unrecognized tax benefits (excluding the federal benefit received from state positions)62.7 62.7  61.2     
Total Assets of Variable Interest Entities82.7 82.7  49.5     
Total Liabilities of Variable Interest Entities$ 82.7 $ 82.7  $ 49.5     
Effective income tax rate from continuing operations35.00%36.00%40.00%39.20%       
XML 66 R39.htm IDEA: XBRL DOCUMENT v2.3.0.15
Accrued Expenses and Other Liabilities (Tables)
9 Months Ended
Sep. 30, 2011
Accrued Expenses and Other Liabilities [Abstract] 
Accrued Expenses and Other Liabilities
                                                 
    September 30, 2011     December 31, 2010  
    Accrued
Expenses
    Non-Current
Liabilities
    Total     Accrued
Expenses
    Non-Current
Liabilities
    Total  
        (In thousands)  
             

Salaries and wages

  $ 103,278             103,278       81,037             81,037  

Deferred compensation

    1,260       18,761       20,021       1,965       21,258       23,223  

Pension benefits

    2,952       345,073       348,025       2,984       333,074       336,058  

Other postretirement benefits

    3,375       43,012       46,387       3,382       43,787       47,169  

Employee benefits

    9,841             9,841       2,251             2,251  

Insurance obligations, primarily self-insurance

    121,402       154,218       275,620       110,697       148,639       259,336  

Residual value guarantees

    2,837       1,555       4,392       2,301       2,196       4,497  

Accrued rent

    3,244       10,482       13,726       2,397       16,787       19,184  

Deferred vehicle gains

    461       990       1,451       473       1,374       1,847  

Environmental liabilities

    4,650       9,614       14,264       5,145       8,908       14,053  

Asset retirement obligations

    5,599       12,442       18,041       3,868       12,319       16,187  

Operating taxes

    105,109             105,109       73,095             73,095  

Income taxes

    791       76,728       77,519       2,559       73,849       76,408  

Interest

    25,592             25,592       30,478             30,478  

Deposits, mainly from customers

    36,897       12,769       49,666       31,755       7,538       39,293  

Deferred revenue

    19,648       1,726       21,374       15,956       4,646       20,602  

Acquisition holdbacks

    7,667             7,667       6,177             6,177  

Other

    44,477       10,031       54,508       40,495       6,433       46,928  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $   499,080       697,401       1,196,481         417,015         680,808       1,097,823  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
XML 67 R70.htm IDEA: XBRL DOCUMENT v2.3.0.15
Derivatives (Details Textuals) (USD $)
In Millions, unless otherwise specified
Sep. 30, 2011
Dec. 31, 2010
Sep. 30, 2011
250 million unsecured medium-term notes due March 2013 [Member]
Feb. 29, 2008
250 million unsecured medium-term notes due March 2013 [Member]
Sep. 30, 2011
350 million unsecured medium-term notes due March 2015 [Member]
Feb. 28, 2011
350 million unsecured medium-term notes due March 2015 [Member]
Sep. 30, 2011
350 million unsecured medium-term notes due June 2017 [Member]
May 31, 2011
350 million unsecured medium-term notes due June 2017 [Member]
Feb. 29, 2008
Interest rate swaps maturing March 2013 [Member]
Derivatives (Textuals) [Abstract]         
Interest rate on fixed-rate debt including the effect of the interest rate swap  2.61% 1.43% 1.50%  
Face amount of unsecured medium-term notes issued   $ 250 $ 350 $ 350 
Notional amount of interest rate swap550250   150 150250
Interest rate on fixed-rate debt  6.00% 3.15% 3.50%  
Face amount of unsecured medium-term notes hedged  $ 250 $ 150 $ 150  
XML 68 R29.htm IDEA: XBRL DOCUMENT v2.3.0.15
Other Matters
9 Months Ended
Sep. 30, 2011
Other Matters [Abstract] 
OTHER MATTERS

(V) OTHER MATTERS

We are a party to various claims, complaints and proceedings arising in the ordinary course of business including but not limited to those relating to litigation matters, environmental matters, risk management matters (e.g. vehicle liability, workers’ compensation, etc.) and administrative assessments primarily associated with operating taxes. We are also subject to various claims, tax assessments and administrative proceedings associated with our discontinued operations. We have established loss provisions for matters in which losses are probable and can be reasonably estimated. It is not possible at this time for us to determine fully the effect of all unasserted claims and assessments on our consolidated financial condition, results of operations or liquidity; however, to the extent possible, where unasserted claims can be estimated and where such claims are considered probable we have recorded a liability. Litigation is subject to many uncertainties, and the outcome of any individual litigated matter is not predictable with assurance. It is possible that certain of the actions, claims, inquiries or proceedings could be decided unfavorably to Ryder. To the extent that these matters pertain to our discontinued operations, additional adjustments and expenses may be recorded through discontinued operations in future periods as further relevant information becomes available. Although the final resolution of any such matters could have a material effect on our consolidated operating results for the particular reporting period in which an adjustment of the estimated liability is recorded, we believe that any resulting liability should not materially affect our consolidated financial position.

In Brazil, we were assessed $15.7 million, including penalties and interest, related to tax due on the sale of our outbound auto carriage business in 2001. On November 11, 2010, the Administrative Tax Court dismissed the assessment. The tax authority has filed a motion to review the decision and the matter therefore remains before the Administrative Tax Court. We believe it is more likely than not that our tax position will ultimately be sustained and no amounts have been reserved for this matter.

We are also a defendant in a number of lawsuits containing various class-action allegations of wage-and-hour violations and improper pay practice claims. The plaintiffs in these lawsuits allege, among other things, that they were not paid for certain hours worked, were not paid overtime or were not provided work breaks or other benefits. The complaints generally seek unspecified monetary damages, injunctive relief, or both. We cannot currently estimate a reasonably possible range of loss related to these lawsuits. Although the final resolution of any such matters could have a material effect on our consolidated operating results for the particular reporting period in which an adjustment of the estimated liability is recorded, we believe that any resulting liability should not materially affect our consolidated financial position.

XML 69 R5.htm IDEA: XBRL DOCUMENT v2.3.0.15
Consolidated Condensed Statements of Cash Flows (Unaudited) (USD $)
In Thousands
9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Cash flows from operating activities from continuing operations:  
Net earnings$ 121,682$ 81,049
Less: Loss from discontinued operations, net of tax(2,022)(2,097)
Earnings from continuing operations123,70483,146
Depreciation expense645,261627,695
Gains on vehicle sales, net(46,277)(18,009)
Share-based compensation expense12,63712,203
Amortization expense and other non-cash charges, net27,97127,564
Deferred income tax expense68,15421,568
Changes in operating assets and liabilities, net of acquisitions:  
Receivables(104,520)(29,367)
Inventories(4,869)(3,132)
Prepaid expenses and other assets(18,725)(517)
Accounts payable20,2879,334
Accrued expenses and other non-current liabilities58,68073,677
Net cash provided by operating activities from continuing operations782,303804,162
Cash flows from financing activities from continuing operations:  
Net change in commercial paper borrowings(101,964)(48,000)
Debt proceeds966,399314,511
Debt repaid, including capital lease obligations(417,955)(239,560)
Dividends on common stock(42,689)(40,603)
Common stock issued26,21311,124
Common stock repurchased(51,425)(91,926)
Excess tax benefits from share-based compensation1,575641
Debt issuance costs(8,016)(2,195)
Net cash provided by (used in) financing activities from continuing operations372,138(96,008)
Cash flows from investing activities from continuing operations:  
Purchases of property and revenue earning equipment(1,165,135)(860,902)
Sales of revenue earning equipment216,055159,012
Sales of operating property and equipment7,8692,821
Acquisitions(362,184)(6,789)
Collections on direct finance leases46,13645,941
Changes in restricted cash2,821(6,430)
Other, net 1,950
Net cash used in investing activities from continuing operations(1,254,438)(664,397)
Effect of exchange rate changes on cash3,8486
(Decrease) increase in cash and cash equivalents from continuing operations(96,149)43,763
Cash flows from discontinued operations:  
Operating cash flows(910)(6,010)
Financing cash flows(143)(2,941)
Investing cash flows 1,624
Effect of exchange rate changes on cash(65)(265)
Decrease in cash and cash equivalents from discontinued operations(1,118)(7,592)
(Decrease) increase in cash and cash equivalents(97,267)36,171
Cash and cash equivalents at January 1213,05398,525
Cash and cash equivalents at September 30$ 115,786$ 134,696
XML 70 R22.htm IDEA: XBRL DOCUMENT v2.3.0.15
Derivatives
9 Months Ended
Sep. 30, 2011
Derivatives [Abstract] 
DERIVATIVES

(O) DERIVATIVES

Interest Rate Swaps

In May 2011, we issued $350 million of unsecured medium-term notes maturing in June 2017. Concurrently, we entered into three interest rate swaps, with an aggregate notional amount of $150 million maturing in June 2017. The swaps were designated as fair value hedges whereby we receive fixed interest rate payments in exchange for making variable interest rate payments. The differential to be paid or received is accrued and recognized as interest expense. At September 30, 2011, the interest rate swap agreements effectively changed $150 million of fixed-rate debt instruments with an interest rate of 3.50% to LIBOR-based floating-rate debt at a weighted-average interest rate of 1.50%. Changes in the fair value of our interest rate swaps are offset by changes in the fair value of the debt instrument. Accordingly, there is no ineffectiveness related to the interest rate swaps.

In February 2011, we issued $350 million of unsecured medium-term notes maturing in March 2015. Concurrently, we entered into two interest rate swaps, with an aggregate notional amount of $150 million maturing in March 2015. The swaps were designated as fair value hedges whereby we receive fixed interest rate payments in exchange for making variable interest rate payments. The differential to be paid or received is accrued and recognized as interest expense. At September 30, 2011, the interest rate swap agreements effectively changed $150 million of fixed-rate debt instruments with an interest rate of 3.15% to LIBOR-based floating-rate debt at a weighted-average interest rate of 1.43%. Changes in the fair value of our interest rate swaps are offset by changes in the fair value of the debt instrument. Accordingly, there is no ineffectiveness related to the interest rate swaps.

In February 2008, we issued $250 million of unsecured medium-term notes maturing in March 2013. Concurrently, we entered into an interest rate swap with a notional amount of $250 million maturing in March 2013. The swap was designated as a fair value hedge whereby we receive fixed interest rate payments in exchange for making variable interest rate payments. The differential to be paid or received is accrued and recognized as interest expense. At September 30, 2011, the interest rate swap agreement effectively changed $250 million of fixed-rate debt with an interest rate of 6.00% to LIBOR-based floating-rate debt at a rate of 2.61%. Changes in the fair value of our interest rate swap are offset by changes in the fair value of the debt instrument. Accordingly, there is no ineffectiveness related to the interest rate swap.

The location and amount of gains (losses) on interest rate swap agreements designated as fair value hedges and related hedged items reported in the Consolidated Condensed Statements of Earnings were as follows:

                                     

Fair Value Hedging Relationship

  Location of Gain (Loss)
Recognized in Income
  Three months ended September 30,     Nine months ended September 30,  
    2011     2010     2011     2010  
        (In thousands)  
           

Derivatives: Interest rate swaps

  Interest expense   $ 8,251       1,813     $ 9,263       5,938  

Hedged items: Fixed-rate debt

  Interest expense     (8,251     (1,813     (9,263     (5,938
       

 

 

   

 

 

   

 

 

   

 

 

 

Total

      $           $        
       

 

 

   

 

 

   

 

 

   

 

 

 

 

XML 71 R44.htm IDEA: XBRL DOCUMENT v2.3.0.15
Employee Benefit Plans (Tables)
9 Months Ended
Sep. 30, 2011
Employee Benefit Plans [Abstract] 
Components of net periodic benefit cost
                                 
    Three months ended September 30,     Nine months ended September 30,  
    2011     2010     2011     2010  
    (In thousands)  

Pension Benefits

                               

Company-administered plans:

                               

Service cost

  $ 3,676       3,538     $ 11,059       11,690  

Interest cost

    24,374       24,062       73,248       72,004  

Expected return on plan assets

    (25,441     (23,322     (76,477     (69,743

Amortization of:

                               

Transition obligation

    (8     (6     (23     (18

Net actuarial loss

    5,054       4,758       15,185       14,257  

Prior service credit

    (568     (564     (1,710     (1,690
   

 

 

   

 

 

   

 

 

   

 

 

 
      7,087       8,466       21,282       26,500  

Union-administered plans

    1,627       1,296       4,423       3,887  
   

 

 

   

 

 

   

 

 

   

 

 

 

Net periodic benefit cost

  $ 8,714       9,762     $ 25,705       30,387  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Company-administered plans:

                               

U.S.

  $ 7,243       8,433     $ 21,730       25,300  

Non-U.S.

    (156     33       (448     1,200  
   

 

 

   

 

 

   

 

 

   

 

 

 
      7,087       8,466       21,282       26,500  

Union-administered plans

    1,627       1,296       4,423       3,887  
   

 

 

   

 

 

   

 

 

   

 

 

 
    $ 8,714       9,762     $ 25,705       30,387  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Postretirement Benefits

                               

Company-administered plans:

                               

Service cost

  $ 323       343     $ 973       1,028  

Interest cost

    625       680       1,879       2,039  

Amortization of:

                               

Net actuarial loss

    36       88       173       263  

Prior service credit

    (58     (58     (173     (173
   

 

 

   

 

 

   

 

 

   

 

 

 

Net periodic benefit cost

  $ 926       1,053     $ 2,852       3,157  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Company-administered plans:

                               

U.S.

  $ 789       783     $ 2,366       2,350  

Non-U.S.

    137       270       486       807  
   

 

 

   

 

 

   

 

 

   

 

 

 
    $ 926       1,053     $ 2,852       3,157  
   

 

 

   

 

 

   

 

 

   

 

 

 
XML 72 R24.htm IDEA: XBRL DOCUMENT v2.3.0.15
Comprehensive Income
9 Months Ended
Sep. 30, 2011
Comprehensive Income [Abstract] 
COMPREHENSIVE INCOME

(Q) COMPREHENSIVE INCOME

Comprehensive income presents a measure of all changes in shareholders’ equity except for changes resulting from transactions with shareholders in their capacity as shareholders. Our total comprehensive income presently consists of net earnings, currency translation adjustments associated with foreign operations that use the local currency as their functional currency and adjustments for derivative instruments accounted for as cash flow hedges and various pension and other postretirement benefits related items.

The following table provides a reconciliation of net earnings as reported in the Consolidated Condensed Statements of Earnings to comprehensive income:

                                 
    Three months ended September 30,     Nine months ended September 30,  
    2011     2010     2011     2010  
    (In thousands)  
         

Net earnings

  $ 56,524       38,835     $ 121,682       81,049  

Other comprehensive income:

                               

Foreign currency translation adjustments

    (53,416     31,825       (27,428     1,451  

Unrealized gain on derivative instruments

    136                    

Amortization of transition obligation (1)

    (6     (4     (17     (13

Amortization of net actuarial loss (1)

    3,274       3,112       9,887       9,331  

Amortization of prior service credit (1)

    (406     (400     (1,220     (1,200

Change in net actuarial loss (1)

          (3     (1,520     (971
   

 

 

   

 

 

   

 

 

   

 

 

 

Total comprehensive income

  $ 6,106       73,365     $ 101,384       89,647  
   

 

 

   

 

 

   

 

 

   

 

 

 

 

 

(1) Amounts pertain to our pension and/or postretirement benefit plans and are presented net of tax. See Note (R), “Employee Benefit Plans,” for additional information.

 

XML 73 R72.htm IDEA: XBRL DOCUMENT v2.3.0.15
Comprehensive Income (Details) (USD $)
In Thousands
3 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Sep. 30, 2011
Sep. 30, 2010
Reconciliation of net earnings to comprehensive income    
Net earnings$ 56,524$ 38,835$ 121,682$ 81,049
Other comprehensive income:    
Foreign currency translation adjustments(53,416)31,825(27,428)1,451
Unrealized gain on derivative instruments136   
Amortization of transition obligation(6)(4)(17)(13)
Amortization of net actuarial loss3,2743,1129,8879,331
Amortization of prior service credit(406)(400)(1,220)(1,200)
Change in net actuarial loss (3)(1,520)(971)
Total comprehensive income$ 6,106$ 73,365$ 101,384$ 89,647
XML 74 R68.htm IDEA: XBRL DOCUMENT v2.3.0.15
Fair Value Measurements (Details 1) (USD $)
3 Months Ended9 Months Ended3 Months Ended9 Months Ended3 Months Ended9 Months Ended3 Months Ended9 Months Ended
Sep. 30, 2011
Dec. 31, 2010
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trucks [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trucks [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trucks [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trucks [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trucks [Member]
Fair Value, Inputs, Level 1 [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trucks [Member]
Fair Value, Inputs, Level 1 [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trucks [Member]
Fair Value, Inputs, Level 2 [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trucks [Member]
Fair Value, Inputs, Level 2 [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trucks [Member]
Fair Value, Inputs, Level 3 [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trucks [Member]
Fair Value, Inputs, Level 3 [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Tractors [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Tractors [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Tractors [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Tractors [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Tractors [Member]
Fair Value, Inputs, Level 1 [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Tractors [Member]
Fair Value, Inputs, Level 1 [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Tractors [Member]
Fair Value, Inputs, Level 2 [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Tractors [Member]
Fair Value, Inputs, Level 2 [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Tractors [Member]
Fair Value, Inputs, Level 3 [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Tractors [Member]
Fair Value, Inputs, Level 3 [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trailers [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trailers [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trailers [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trailers [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trailers [Member]
Fair Value, Inputs, Level 1 [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trailers [Member]
Fair Value, Inputs, Level 1 [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trailers [Member]
Fair Value, Inputs, Level 2 [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trailers [Member]
Fair Value, Inputs, Level 2 [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trailers [Member]
Fair Value, Inputs, Level 3 [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Revenue earning equipment, Trailers [Member]
Fair Value, Inputs, Level 3 [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Fair Value, Inputs, Level 1 [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Fair Value, Inputs, Level 1 [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Fair Value, Inputs, Level 2 [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Fair Value, Inputs, Level 2 [Member]
Sep. 30, 2011
Fair Value, Measurements, Nonrecurring [Member]
Fair Value, Inputs, Level 3 [Member]
Sep. 30, 2010
Fair Value, Measurements, Nonrecurring [Member]
Fair Value, Inputs, Level 3 [Member]
Fair Value, Assets and Liabilities Measured on Nonrecurring Basis                                          
Assets held for sale at fair value          $ 0$ 0$ 0$ 0$ 6,401,000$ 12,507,000    $ 0$ 0$ 0$ 0$ 1,972,000$ 13,298,000    $ 0$ 0$ 0$ 0$ 357,000$ 1,920,000$ 0$ 0$ 0$ 0$ 8,730,000$ 27,725,000
Total Losses  2,151,0005,319,0008,262,00021,924,0001,300,0002,541,0004,943,00010,423,000      445,0001,911,0001,545,0008,403,000      406,000867,0001,774,0003,098,000            
Fair Value Measurements (Textuals) (Abstract)                                          
Fair value of total debt$ 3,370,000,000$ 2,860,000,000                                        
XML 75 R7.htm IDEA: XBRL DOCUMENT v2.3.0.15
Consolidated Condensed Statement of Shareholders' Equity (Unaudited) (Parenthetical) (USD $)
9 Months Ended
Sep. 30, 2011
Cash dividends declared per common share$ 0.83
Retained Earnings
 
Cash dividends declared per common share$ 0.83
XML 76 R16.htm IDEA: XBRL DOCUMENT v2.3.0.15
Revenue Earning Equipment
9 Months Ended
Sep. 30, 2011
Revenue Earning Equipment [Abstract] 
REVENUE EARNING EQUIPMENT

(I) REVENUE EARNING EQUIPMENT

                                                 
    September 30, 2011     December 31, 2010  
    Cost     Accumulated
Depreciation
    Net  Book
Value(1)
    Cost     Accumulated
Depreciation
    Net  Book
Value(1)
 
        (In thousands)  

Held for use:

       

Full service lease

  $ 5,917,192       (2,527,808     3,389,384       5,639,410       (2,408,126     3,231,284  

Commercial rental

    2,053,111       (685,436     1,367,675       1,549,094       (647,764     901,330  

Held for sale

    244,640       (173,783     70,857       260,114       (191,510     68,604  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 8,214,943       (3,387,027     4,827,916       7,448,618       (3,247,400     4,201,218  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

 

(1) Revenue earning equipment, net includes vehicles acquired under capital leases of $24.7 million, less accumulated depreciation of $15.2 million, at September 30, 2011, and $29.2 million, less accumulated depreciation of $18.5 million, at December 31, 2010.

At the end of 2010, we completed our annual review of residual values and useful lives of revenue earning equipment. Based on the results of our analysis, we adjusted the estimated residual values of certain classes of revenue earning equipment effective January 1, 2011. The change in estimated residual values increased pre-tax earnings for the three and nine months ended September 30, 2011 by approximately $1.4 million and $4.1 million, respectively. In the three and nine months ended September 30, 2011, we recognized $0.1 million and $0.2 million, respectively, of accelerated depreciation for select vehicles that were expected to be sold by the end of 2011. In the three and nine months ended September 30, 2010, we recognized $1.5 million and $5.0 million, respectively, of accelerated depreciation for select vehicles that were expected to be sold by the end of 2010.

 

XML 77 R55.htm IDEA: XBRL DOCUMENT v2.3.0.15
Direct Financing Lease Receivables (Details) (USD $)
In Thousands
Sep. 30, 2011
Dec. 31, 2010
Net Investment in Direct Financing and Sales Type Leases [Abstract]  
Total minimum lease payments receivable$ 543,423$ 548,419
Less: Executory costs(160,005)(171,076)
Minimum lease payments receivable383,418377,343
Less: Allowance for uncollectibles(767)(784)
Net minimum lease payments receivable382,651376,559
Unguaranteed residuals61,30157,898
Less: Unearned income(94,048)(96,522)
Net investment in direct financing and sales-type leases349,904337,935
Current portion(66,506)(63,304)
Non-current portion$ 283,398$ 274,631
XML 78 R59.htm IDEA: XBRL DOCUMENT v2.3.0.15
Revenue Earning Equipment (Details) (USD $)
In Thousands
Sep. 30, 2011
Dec. 31, 2010
Summary of revenue earning equipment  
Cost$ 8,214,943$ 7,448,618
Accumulated depreciation on revenue earning equipment(3,387,027)(3,247,400)
Net Book Value4,827,9164,201,218
Held for use: Full service lease [Member]
  
Summary of revenue earning equipment  
Cost5,917,1925,639,410
Accumulated depreciation on revenue earning equipment(2,527,808)(2,408,126)
Net Book Value3,389,3843,231,284
Held for use: Commercial rental [Member]
  
Summary of revenue earning equipment  
Cost2,053,1111,549,094
Accumulated depreciation on revenue earning equipment(685,436)(647,764)
Net Book Value1,367,675901,330
Held-for-sale [Member]
  
Summary of revenue earning equipment  
Cost244,640260,114
Accumulated depreciation on revenue earning equipment(173,783)(191,510)
Net Book Value$ 70,857$ 68,604
XML 79 R69.htm IDEA: XBRL DOCUMENT v2.3.0.15
Derivatives (Details) (USD $)
In Thousands
3 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Sep. 30, 2011
Sep. 30, 2010
Location and amount of gains (losses) on derivative instruments and related hedged items    
Total$ 0$ 0$ 0$ 0
Interest expense [Member] | Interest rate swap [Member]
    
Location and amount of gains (losses) on derivative instruments and related hedged items    
Derivative: Interest rate swap8,2511,8139,2635,938
Interest expense [Member] | Fixed-rate debt [Member]
    
Location and amount of gains (losses) on derivative instruments and related hedged items    
Hedged item: Fixed-rate debt$ (8,251)$ (1,813)$ (9,263)$ (5,938)
XML 80 R34.htm IDEA: XBRL DOCUMENT v2.3.0.15
Earnings Per Share (Tables)
9 Months Ended
Sep. 30, 2011
Earnings Per Share [Abstract] 
Schedule of basic and diluted earnings per common share from continuing operations
                                 
    Three months ended September 30,     Nine months ended September 30,  
    2011     2010     2011     2010  
    (In thousands, except per share amounts)  

Earnings per share — Basic:

                               

Earnings from continuing operations

  $ 56,933       39,674     $ 123,704       83,146  

Less: Distributed and undistributed earnings allocated to nonvested stock

    (933     (576     (1,981     (1,146
   

 

 

   

 

 

   

 

 

   

 

 

 

Earnings from continuing operations available to common shareholders — Basic

  $ 56,000       39,098     $ 121,723       82,000  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Weighted average common shares outstanding — Basic

    50,426       51,409       50,533       52,044  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Earnings from continuing operations per common share — Basic

  $ 1.11       0.76     $ 2.41       1.58  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Earnings per share — Diluted:

                               

Earnings from continuing operations

  $ 56,933       39,674     $ 123,704       83,146  

Less: Distributed and undistributed earnings allocated to nonvested stock

    (928     (576     (1,972     (1,146
   

 

 

   

 

 

   

 

 

   

 

 

 

Earnings from continuing operations available to common shareholders — Diluted

  $ 56,005       39,098     $ 121,732       82,000  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Weighted average common shares outstanding — Basic

    50,426       51,409       50,533       52,044  

Effect of dilutive options

    327       126       389       122  
   

 

 

   

 

 

   

 

 

   

 

 

 

Weighted average common shares outstanding — Diluted

    50,753       51,535       50,922       52,166  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Earnings from continuing operations per common share — Diluted

  $ 1.10       0.76     $ 2.39       1.57  
   

 

 

   

 

 

   

 

 

   

 

 

 
         

Anti-dilutive options not included above

    1,718       1,793       1,462       1,833  
   

 

 

   

 

 

   

 

 

   

 

 

 
XML 81 R20.htm IDEA: XBRL DOCUMENT v2.3.0.15
Debt
9 Months Ended
Sep. 30, 2011
Debt [Abstract] 
DEBT

(M) DEBT

                                     
    Weighted-Average
Interest Rate
                 
    September 30,
2011
    December 31,
2010
    Maturities   September 30,
2011
    December 31,
2010
 
                    (In thousands)  

Short-term debt and current portion of long-term debt:

                                   

Short-term debt

    1.38%       4.56%         2011-2012   $ 5,047       42,968  

Current portion of long-term debt, including capital leases

                        250,312       377,156  
                       

 

 

   

 

 

 

Total short-term debt and current portion of long-term debt

                        255,359       420,124  
                       

 

 

   

 

 

 
           

Long-term debt:

                                   

U.S. commercial paper (1)

    0.35%       0.42%         2016     266,961       367,880  

Unsecured U.S. notes — Medium-term notes (1)

    4.47%       5.28%         2011-2025     2,484,241       2,158,647  

Unsecured U.S. obligations, principally bank term loans

    1.57%       1.54%         2012-2016     106,900       105,600  

Unsecured foreign obligations

    2.57%       5.14%         2012-2016     300,032       45,109  

Capital lease obligations

    7.81%       7.86%         2011-2017     10,721       11,369  
                       

 

 

   

 

 

 

Total before fair market value adjustment

                        3,168,855       2,688,605  

Fair market value adjustment on notes subject to hedging  ( 2 )

                        24,692       15,429  
                       

 

 

   

 

 

 
                          3,193,547       2,704,034  

Current portion of long-term debt, including capital leases

                        (250,312     (377,156
                       

 

 

   

 

 

 

Long-term debt

                        2,943,235       2,326,878  
                       

 

 

   

 

 

 

Total debt

                      $ 3,198,594       2,747,002  
                       

 

 

   

 

 

 

 

 

(1) We had unamortized original issue discounts of $9.8 million and $10.5 million at September 30, 2011 and December 31, 2010, respectively.

 

(2) The notional amount of executed interest rate swaps designated as fair value hedges was $550 million and $250 million at September 30, 2011 and December 31, 2010, respectively.

In June 2011, we executed a new $900 million global revolving credit facility with a syndicate of twelve lending institutions led by Bank of America N.A., Bank of Tokyo-Mitsubishi UFJ, Ltd., BNP Paribas, Mizuho Corporate Bank, Ltd., Royal Bank of Canada, Royal Bank of Scotland Plc, U.S. Bank National Association and Wells Fargo Bank, N.A. This facility replaced an $875 million credit facility that was scheduled to mature in April 2012. The new global credit facility matures in June 2016 and is used primarily to finance working capital and provide support for the issuance of unsecured commercial paper in the U.S. and Canada. This facility can also be used to issue up to $75 million in letters of credit (there were no letters of credit outstanding against the facility at September 30, 2011). At our option, the interest rate on borrowings under the credit facility is based on LIBOR, prime, federal funds or local equivalent rates. The agreement provides for annual facility fees, which range from 10.0 basis points to 32.5 basis points, and are based on Ryder’s long-term credit ratings. The current annual facility fee is 15.0 basis points, which applies to the total facility size of $900 million. The credit facility contains no provisions limiting its availability in the event of a material adverse change to Ryder’s business operations; however, the credit facility does contain standard representations and warranties, events of default, cross-default provisions and certain affirmative and negative covenants. In order to maintain availability of funding, we must maintain a ratio of debt to consolidated tangible net worth, of less than or equal to 300%. Tangible net worth, as defined in the credit facility, includes 50% of our deferred federal income tax liability and excludes the book value of our intangibles. The ratio at September 30, 2011 was 214%. At September 30, 2011, $631.1 million was available under the credit facility, net of the support for commercial paper borrowings.

Our global revolving credit facility permits us to refinance short-term commercial paper obligations on a long-term basis. Settlement of short-term commercial paper obligations not expected to require the use of working capital are classified as long-term as we have both the intent and ability to refinance on a long-term basis. At September 30, 2011 and December 31, 2010, we classified $267.0 million and $367.9 million, respectively, of short-term commercial paper as long-term debt.

In May 2011, we issued $350 million of unsecured medium-term notes maturing in June 2017. If the notes are downgraded following, and as a result of, a change in control, the note holder can require us to repurchase all or a portion of the notes at a purchase price equal to 101% of the principal amount plus accrued and unpaid interest. In connection with the issuance of the medium term notes, we entered into three interest rate swaps with an aggregate notional amount of $150 million maturing in June 2017. Refer to Note (O), “Derivatives,” for additional information.

In February 2011, we issued $350 million of unsecured medium-term notes maturing in March 2015. If the notes are downgraded following, and as a result of, a change in control, the note holder can require us to repurchase all or a portion of the notes at a purchase price equal to 101% of the principal amount plus accrued and unpaid interest. In connection with the issuance of the medium term notes, we entered into two interest rate swaps with an aggregate notional amount of $150 million maturing in March 2015. Refer to Note (O), “Derivatives,” for additional information.

We have a trade receivables purchase and sale program, pursuant to which we sell certain of our domestic trade accounts receivable to a bankruptcy remote, consolidated subsidiary of Ryder, that in turn sells, on a revolving basis, an ownership interest in certain of these accounts receivable to a receivables conduit or committed purchasers. The subsidiary is considered a VIE and is consolidated based on our control of the entity’s activities. We use this program to provide additional liquidity to fund our operations, particularly when it is cost effective to do so. The costs under the program may vary based on changes in interest rates. The available proceeds that may be received under the program are limited to $175 million. If no event occurs which causes early termination, the 364-day program will expire on October 28, 2011. The program contains provisions restricting its availability in the event of a material adverse change to our business operations or the collectability of the collateralized receivables. At September 30, 2011 and December 31, 2010, no amounts were outstanding under the program. Sales of receivables under this program will be accounted for as secured borrowings based on our continuing involvement in the transferred assets.

At September 30, 2011 and December 31, 2010, we had letters of credit and surety bonds outstanding totaling $264.2 million and $264.8 million, respectively, which primarily guarantee the payment of insurance claims.

 

XML 82 R2.htm IDEA: XBRL DOCUMENT v2.3.0.15
Consolidated Condensed Statements of Earnings (Unaudited) (USD $)
In Thousands, except Per Share data
3 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Sep. 30, 2011
Sep. 30, 2010
Consolidated Condensed Statements of Earnings [Abstract]    
Revenue$ 1,570,720$ 1,316,948$ 4,509,440$ 3,823,009
Operating expense (exclusive of items shown separately)758,718624,4952,191,6071,813,603
Salaries and employee-related costs383,932314,7061,119,694929,659
Subcontracted transportation88,72867,049255,003191,972
Depreciation expense224,466209,929645,261627,695
Gains on vehicle sales, net(18,270)(6,904)(46,277)(18,009)
Equipment rental14,46816,46343,43049,532
Interest expense32,74531,897100,13896,385
Miscellaneous income, net(1,722)(2,685)(6,459)(4,525)
Restructuring and other charges, net  768 
Total expenses1,483,0651,254,9504,303,1653,686,312
Earnings from continuing operations before income taxes87,65561,998206,275136,697
Provision for income taxes30,72222,32482,57153,551
Earnings from continuing operations56,93339,674123,70483,146
Loss from discontinued operations, net of tax(409)(839)(2,022)(2,097)
Net earnings$ 56,524$ 38,835$ 121,682$ 81,049
Earnings (loss) per common share - Basic    
Continuing operations$ 1.11$ 0.76$ 2.41$ 1.58
Discontinued operations$ (0.01)$ (0.02)$ (0.04)$ (0.04)
Net earnings$ 1.10$ 0.74$ 2.37$ 1.54
Earnings (loss) per common share - Diluted    
Continuing operations$ 1.10$ 0.76$ 2.39$ 1.57
Discontinued operations $ (0.02)$ (0.04)$ (0.04)
Net earnings$ 1.10$ 0.74$ 2.35$ 1.53
Cash dividends declared and paid per common share$ 0.29$ 0.27$ 0.83$ 0.77
XML 83 R36.htm IDEA: XBRL DOCUMENT v2.3.0.15
Direct Financing Lease Receivables (Tables)
9 Months Ended
Sep. 30, 2011
Direct Financing Lease Receivables [Abstract] 
Net investment in direct financing and sales-type leases
                 
    September 30,
2011
    December 31,
2010
 
    (In thousands)  
     

Total minimum lease payments receivable

  $ 543,423       548,419  

Less: Executory costs

    (160,005     (171,076
   

 

 

   

 

 

 

Minimum lease payments receivable

    383,418       377,343  

Less: Allowance for uncollectibles

    (767     (784
   

 

 

   

 

 

 

Net minimum lease payments receivable

    382,651       376,559  

Unguaranteed residuals

    61,301       57,898  

Less: Unearned income

    (94,048     (96,522
   

 

 

   

 

 

 

Net investment in direct financing and sales-type leases

    349,904       337,935  

Current portion

    (66,506     (63,304
   

 

 

   

 

 

 

Non-current portion

  $ 283,398       274,631  
   

 

 

   

 

 

 
Credit risk profile by creditworthiness category of direct financing lease receivables
                 
    September 30,
2011
    December 31,
2010
 
    (In thousands)  
     

Very low risk to low risk

  $ 119,433       91,993  

Moderate risk

    201,873       218,547  

Moderately high risk to high risk

    62,112       66,803  
   

 

 

   

 

 

 
    $ 383,418       377,343  
   

 

 

   

 

 

 
Allowance for credit losses on direct financing lease receivables
         
    (In thousands)  

Balance at December 31, 2010

  $ 784  

Charged to earnings

    318  

Deductions

    (335
   

 

 

 

Balance at September 30, 2011

  $ 767  
   

 

 

 
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Supplemental Cash Flow Information (Details) (USD $)
In Thousands
9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Supplemental cash flow information  
Interest Paid$ 99,047$ 89,017
Income taxes paid (refunded)17,675(6,602)
Changes in accounts payable related to purchases of revenue earning equipment83,93733,808
Operating and revenue earning equipment acquired under capital leases$ 1,187$ 106
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Acquisitions (Details Textuals) (USD $)
3 Months Ended9 Months Ended9 Months Ended3 Months Ended9 Months Ended9 Months Ended9 Months Ended9 Months Ended9 Months Ended3 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Sep. 30, 2011
Sep. 30, 2010
Jun. 30, 2011
Sep. 30, 2011
Hill Hire [Member]
Sep. 08, 2011
Hill Hire [Member]
Vehicle
Customers
Trailers
Sep. 30, 2011
The Scully Companies [Member]
Sep. 30, 2011
The Scully Companies [Member]
Jan. 28, 2011
The Scully Companies [Member]
Vehicle
Customers
Sep. 30, 2011
Carmenita Leasing, Inc [Member]
Jan. 10, 2011
Carmenita Leasing, Inc [Member]
Customers
Vehicle
Sep. 30, 2011
Total Logistic Control [Member]
Dec. 31, 2010
Total Logistic Control [Member]
Sep. 30, 2011
BIT Leasing Inc [Member]
Apr. 01, 2011
BIT Leasing Inc 2011 and 2010 Acquisitions [Member]
Vehicle
Customers
Apr. 01, 2011
BIT Leasing Inc 2011 Acquisition [Member]
Sep. 30, 2011
Other Acquisitions [Member]
Sep. 30, 2010
Other Acquisitions [Member]
Sep. 30, 2011
All acquisitions [Member]
Sep. 30, 2011
All acquisitions [Member]
Acquisitions (Textuals) [Abstract]                     
Revenue$ 1,570,720,000$ 1,316,948,000$ 4,509,440,000$ 3,823,009,000               $ 143,400,000$ 338,800,000
Net earnings56,524,00038,835,000121,682,00081,049,000               10,900,00018,900,000
Number of full service lease vehicles      8,000  1,800           
Number of rental vehicles      5,700  300           
Number of full services lease and rental vehicles           190   490     
Number of contractual customers acquired      400  200 60   130     
Number of contract maintenance vehicles               70     
Number of trailers included in fleet      9,700              
Acquisitions(13,600,000)(4,400,000)(362,184,000)(6,789,000) 251,500,000  84,600,000 8,800,000 3,400,000 13,200,000  700,0006,800,000  
Purchase price of acquisitions     251,500,000 91,000,00091,000,000 9,000,000  207,100,000  13,800,000    
Goodwill       27,500,00027,500,000 300,000 133,300,000 1,400,000      
Customer relationship intangibles       11,100,00011,100,000 300,000 35,000,000 500,000      
Reduction in purchase price due to contractual adjustments            1,500,000        
Transaction costs related to the acquisition    1,700,0002,200,000               
Increase in purchase price due to settlement of working capital related items        200,000            
Contingent consideration included in purchase price       14,400,00014,400,000            
Contingent consideration paid       $ 13,400,000             

XML 88 R57.htm IDEA: XBRL DOCUMENT v2.3.0.15
Direct Financing Lease Receivables (Details 2) (USD $)
In Thousands
9 Months Ended
Sep. 30, 2011
Allowance for credit losses on direct financing lease receivables 
Beginning Balance$ 784
Charged to earnings318
Deductions(335)
Ending Balance$ 767
XML 89 R67.htm IDEA: XBRL DOCUMENT v2.3.0.15
Fair Value Measurements (Details) (Fair Value, Measurements, Recurring [Member], USD $)
In Thousands
Sep. 30, 2011
Dec. 31, 2010
Assets and liabilities measured at fair value on a recurring basis  
Total assets at fair value$ 41,854$ 32,833
Total liabilities at fair value1,000 
Direct Financing Leases and Other Assets [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts17,16217,404
Interest rate swaps, assets24,69215,429
Direct Financing Leases and Other Assets [Member] | Fair Value, Inputs, Level 1 [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts17,16217,404
Interest rate swaps, assets00
Direct Financing Leases and Other Assets [Member] | Fair Value, Inputs, Level 2 [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts00
Interest rate swaps, assets24,69215,429
Direct Financing Leases and Other Assets [Member] | Fair Value, Inputs, Level 3 [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts00
Interest rate swaps, assets00
Accrued Expenses [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Contingent consideration1,000 
Accrued Expenses [Member] | Fair Value, Inputs, Level 1 [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Contingent consideration0 
Accrued Expenses [Member] | Fair Value, Inputs, Level 2 [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Contingent consideration0 
Accrued Expenses [Member] | Fair Value, Inputs, Level 3 [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Contingent consideration1,000 
Fair Value, Inputs, Level 1 [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Total assets at fair value17,16217,404
Total liabilities at fair value0 
Fair Value, Inputs, Level 1 [Member] | Cash and Cash Equivalents [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts4,7452,348
Fair Value, Inputs, Level 1 [Member] | U.S. Equity Mutual Funds [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts6,9238,409
Fair Value, Inputs, Level 1 [Member] | Foreign equity mutual funds [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts2,1585,188
Fair Value, Inputs, Level 1 [Member] | Fixed income mutual funds [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts3,3361,459
Fair Value, Inputs, Level 2 [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Total assets at fair value24,69215,429
Total liabilities at fair value0 
Fair Value, Inputs, Level 2 [Member] | Cash and Cash Equivalents [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts00
Fair Value, Inputs, Level 2 [Member] | U.S. Equity Mutual Funds [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts00
Fair Value, Inputs, Level 2 [Member] | Foreign equity mutual funds [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts00
Fair Value, Inputs, Level 2 [Member] | Fixed income mutual funds [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts00
Fair Value, Inputs, Level 3 [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Total assets at fair value00
Total liabilities at fair value1,000 
Fair Value, Inputs, Level 3 [Member] | Cash and Cash Equivalents [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts00
Fair Value, Inputs, Level 3 [Member] | U.S. Equity Mutual Funds [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts00
Fair Value, Inputs, Level 3 [Member] | Foreign equity mutual funds [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts00
Fair Value, Inputs, Level 3 [Member] | Fixed income mutual funds [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts00
Cash and Cash Equivalents [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts4,7452,348
U.S. Equity Mutual Funds [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts6,9238,409
Foreign equity mutual funds [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts2,1585,188
Fixed income mutual funds [Member]
  
Assets and liabilities measured at fair value on a recurring basis  
Investments held in Rabbi Trusts$ 3,336$ 1,459
XML 90 R45.htm IDEA: XBRL DOCUMENT v2.3.0.15
Supplemental Cash Flow Information (Tables)
9 Months Ended
Sep. 30, 2011
Supplemental Cash Flow Information [Abstract] 
Supplemental cash flow information
                 
    Nine months ended September 30,  
    2011     2010  
    (In thousands)  

Interest paid

  $ 99,047       89,017  

Income taxes paid (refunded)

  $ 17,675       (6,602

Changes in accounts payable related to purchases of revenue earning equipment

  $ 83,937       33,808  

Operating and revenue earning equipment acquired under capital leases

  $ 1,187       106  
XML 91 R46.htm IDEA: XBRL DOCUMENT v2.3.0.15
Segment Reporting (Tables)
9 Months Ended
Sep. 30, 2011
Segment Reporting [Abstract] 
Financial information of business segments
                                         
    FMS     SCS     DCC     Eliminations     Total  
                (In thousands)              

For the three months ended September 30, 2011

                                       

Revenue from external customers

  $ 1,005,716       406,078       158,926             1,570,720  

Inter-segment revenue

    93,333                   (93,333      
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total revenue

  $ 1,099,049       406,078       158,926       (93,333     1,570,720  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
           

Segment NBT

  $ 74,156       22,398       8,358       (5,665     99,247  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    (11,592
                                   

 

 

 

Earnings from continuing operations before income taxes

                                  $ 87,655  
                                   

 

 

 
           

Segment capital expenditures (1), (2)

  $ 334,672     $ 8,741     $ 575             343,988  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    3,770  
                                   

 

 

 

Capital expenditures paid

                                  $ 347,758  
                                   

 

 

 
           

For the three months ended September 30, 2010

                                       

Revenue from external customers

  $ 872,685       322,871       121,392             1,316,948  

Inter-segment revenue

    76,254                   (76,254      
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total revenue

  $ 948,939       322,871       121,392       (76,254     1,316,948  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
           

Segment NBT

  $ 54,766       15,199       8,619       (4,629     73,955  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    (11,957
                                   

 

 

 

Earnings from continuing operations before income taxes

                                  $ 61,998  
                                   

 

 

 
           

Segment capital expenditures (1), (2)

  $ 310,374       3,554       215             314,143  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    2,370  
                                   

 

 

 

Capital expenditures paid

                                  $ 316,513  
                                   

 

 

 

 

 

(1) Excludes revenue earning equipment acquired under capital leases.
(2) Excludes acquisition payments of $13.6 million and $4.4 million during the three months ended September 30, 2011 and 2010, respectively.
                                         
    FMS     SCS     DCC     Eliminations     Total  
                (In thousands)              

For the nine months ended September 30, 2011

                                       

Revenue from external customers

  $ 2,868,699       1,196,694       444,047             4,509,440  

Inter-segment revenue

    274,976                   (274,976      
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total revenue

  $ 3,143,675       1,196,694       444,047       (274,976     4,509,440  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
           

Segment NBT

  $ 180,222       51,693       25,517       (17,098     240,334  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    (31,564

Restructuring and other charges, net and other items  (3)

                                    (2,495
                                   

 

 

 

Earnings from continuing operations before income taxes

                                  $ 206,275  
                                   

 

 

 
           

Segment capital expenditures ( 1 ), ( 2 )

  $ 1,128,560       21,706       2,613             1,152,879  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    12,256  
                                   

 

 

 

Capital expenditures paid

                                  $ 1,165,135  
                                   

 

 

 
           

For the nine months ended September 30, 2010

                                       

Revenue from external customers

  $ 2,535,094       927,157       360,758             3,823,009  

Inter-segment revenue

    228,999                   (228,999      
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total revenue

  $ 2,764,093       927,157       360,758       (228,999     3,823,009  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
           

Segment NBT

  $ 122,687       34,784       24,437       (14,505     167,403  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    (30,706
                                   

 

 

 

Earnings from continuing operations before income taxes

                                  $ 136,697  
                                   

 

 

 
           

Segment capital expenditures (1) , ( 2 )

  $ 844,659       7,051       1,206             852,916  
   

 

 

   

 

 

   

 

 

   

 

 

         

Unallocated CSS

                                    7,986  
                                   

 

 

 

Capital expenditures paid

                                  $ 860,902  
                                   

 

 

 

 

 

(1) Excludes revenue earning equipment acquired under capital leases.
(2) Excludes acquisition payments of $362.2 million and $6.8 million during the nine months ended September 30, 2011 and 2010, respectively.
(3) See Note (S), “Other Items Impacting Comparability,” for a discussion of items, in addition to restructuring and other charges, net that are excluded from our primary measure of segment performance.
XML 92 R54.htm IDEA: XBRL DOCUMENT v2.3.0.15
Restructuring and Other Charges (Details Textuals) (USD $)
3 Months Ended9 Months Ended
Sep. 30, 2011
Sep. 30, 2011
Restructuring and Other Charges (Textuals) [Abstract]  
Benefit on employee severance and benefit costs $ 800,000
Restructuring obligations settlement period next 2 years
Restructuring charges$ 0 
XML 93 R37.htm IDEA: XBRL DOCUMENT v2.3.0.15
Revenue Earning Equipment (Tables)
9 Months Ended
Sep. 30, 2011
Revenue Earning Equipment [Abstract] 
Summary of revenue earning equipment
                                                 
    September 30, 2011     December 31, 2010  
    Cost     Accumulated
Depreciation
    Net  Book
Value(1)
    Cost     Accumulated
Depreciation
    Net  Book
Value(1)
 
        (In thousands)  

Held for use:

       

Full service lease

  $ 5,917,192       (2,527,808     3,389,384       5,639,410       (2,408,126     3,231,284  

Commercial rental

    2,053,111       (685,436     1,367,675       1,549,094       (647,764     901,330  

Held for sale

    244,640       (173,783     70,857       260,114       (191,510     68,604  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 8,214,943       (3,387,027     4,827,916       7,448,618       (3,247,400     4,201,218  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

 

(1) Revenue earning equipment, net includes vehicles acquired under capital leases of $24.7 million, less accumulated depreciation of $15.2 million, at September 30, 2011, and $29.2 million, less accumulated depreciation of $18.5 million, at December 31, 2010.