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Reconciliation Of Changes In Level Three Pension Assets Measured At Fair Value On Recurring Basis (Detail) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Schedule Of Reconciliation Of Changes In Fair Value Of Assets And Liabilities [Line Items]    
Purchases $ 26,000  
Actual return on assets 828  
Balance at end of year 26,828  
Hedge Fund Of Funds
   
Schedule Of Reconciliation Of Changes In Fair Value Of Assets And Liabilities [Line Items]    
Balance at beginning of year 20,624 20,689
Actual return on assets 741 (65)
Balance at end of year 21,365 20,624
Other Investments
   
Schedule Of Reconciliation Of Changes In Fair Value Of Assets And Liabilities [Line Items]    
Balance at beginning of year 531 498
Sales/redemptions (509)  
Actual return on assets (35) 25
Foreign currency adjustment 18 8
Balance at end of year $ 5 $ 531