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MERGER-RELATED RESTRUCTURING AND INTEGRATION COSTS (Details) (USD $)
3 Months Ended 6 Months Ended 12 Months Ended
Jun. 30, 2011
Mar. 31, 2011
Jun. 30, 2011
Dec. 31, 2010
Restructuring reserve        
Balance at the beginning of the period $ 20,720,000 $ 26,459,000 $ 26,459,000  
Costs incurred and charged to expense 21,774,000 17,539,000   134,821,000
Cash payments (17,405,000) (23,113,000)   (56,443,000)
Non-cash adjustments (1,300,000) (165,000)   (51,919,000)
Balance at the end of the period 23,789,000 20,720,000 23,789,000 26,459,000
Reversal of previously recognized restructuring accrual 1,100,000   1,100,000  
Integration-related costs incurred 7,100,000   7,100,000  
Integration-related costs paid 3,500,000   3,500,000  
Employee Termination Costs
       
Cost-rationalization and integration initiatives        
Approximate number of employees expected to be terminated     500  
Employee Termination Costs - Severance and Related Benefits
       
Restructuring reserve        
Balance at the beginning of the period 9,446,000 24,789,000 24,789,000  
Costs incurred and charged to expense 5,632,000 5,260,000   58,727,000
Cash payments (8,305,000) (20,603,000)   (33,938,000)
Balance at the end of the period 6,773,000 9,446,000 6,773,000 24,789,000
Employee Termination Costs - Share-Based Compensation
       
Restructuring reserve        
Balance at the beginning of the period 3,281,000      
Costs incurred and charged to expense 295,000 3,446,000   49,482,000
Cash payments (2,033,000)      
Non-cash adjustments   (165,000)   (49,482,000)
Balance at the end of the period 1,543,000 3,281,000 1,543,000  
IPR&D Termination Costs
       
Restructuring reserve        
Costs incurred and charged to expense       13,750,000
Cash payments       (13,750,000)
Contract Termination, Facility Closure and Other Costs
       
Restructuring reserve        
Balance at the beginning of the period 7,993,000 1,670,000 1,670,000  
Costs incurred and charged to expense 15,847,000 8,833,000   12,862,000
Cash payments (7,067,000) (2,510,000)   (8,755,000)
Non-cash adjustments (1,300,000)     (2,437,000)
Balance at the end of the period 15,473,000 7,993,000 15,473,000 1,670,000
Operating lease obligation
       
Restructuring reserve        
Costs incurred and charged to expense 9,000,000      
Lease termination
       
Restructuring reserve        
Costs incurred and charged to expense $ 1,300,000