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DEBT (Tables)
6 Months Ended
Jun. 30, 2014
Debt Disclosure [Abstract]  
Long-Term Debt
Long-term debt consisted of the following:
In thousands
 
 
June 30,
2014
 
December 31,
2013
Obligations under capital leases
 
$
15,400

 
$
7,343

$1.2 billion senior credit facility weighted average rate 1.44%, due in 2019
 
476,321

 
272,358

$100 million private placement notes 5.64%, due in 2015
 
100,000

 
100,000

$175 million private placement notes 3.89%, due in 2017
 
175,000

 
175,000

$125 million private placement notes 2.68%, due in 2019
 
125,000

 
125,000

$225 million private placement notes 4.47%, due in 2020
 
225,000

 
225,000

$125 million private placement notes 3.26%, due in 2022
 
125,000

 
125,000

Promissory notes and deferred consideration weighted average rate of 2.01% and weighted average maturity of 3.3 years
 
297,089

 
252,195

Foreign bank debt weighted average rate 7.76% and weighted average maturity of 1.9 years
 
176,392

 
149,147

Total debt
 
1,715,202

 
1,431,043

Less: current portion of total debt
 
151,289

 
150,380

Long-term portion of total debt
 
$
1,563,913

 
$
1,280,663