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Pension Plan (Annual and Quarter) (Tables)
9 Months Ended 12 Months Ended
Sep. 30, 2012
Dec. 31, 2011
Schedule of Allocation of Plan Assets [Table Text Block]  
 
2011
2010
Guaranteed investment contracts
38.3%
36.1%
Equity and index funds
60.9   
63.2   
Bonds
-   
0.4   
Money market funds
0.8   
0.3   
Pension plan weighted average asset allocations, Total
100.0%
100.0%
Schedule of Level Three Defined Benefit Plan Assets Roll Forward [Table Text Block]
In thousands
Level 1
Level 2
Level 3
Total
Guaranteed investment contracts
$        -
$2,097
$ -
$2,097
Mutual stock funds
1,092
-
-
1,092
Equity and index funds
-
2,885
-
2,885
Money market funds
41
-
-
41
Total pension plan assets
$1,133
$4,982
$ -
$6,115
In thousands
Level 1
Level 2
Level 3
Total
Guaranteed investment contracts
$     -
$2,053
$   -
$2,053
Mutual stock funds
925
-
-
925
Equity and index funds
-
2,342
-
2,342
Money market funds
41
-
-
41
 Fair Value, Pension plan assets, Total
$966
$4,395
$   -
$5,361
Schedule of Defined Benefit Plans Disclosures [Table Text Block]  
In thousands
2011
2010
Change in benefit obligation:
Projected benefit obligation at
  beginning of year
$ 9,912
$ 9,252
Interest cost
548
539
Actuarial loss
1,193
662
Benefits paid
(377)
(541)
Projected benefit obligation at
  end of year
11,276
9,912
     
Change in plan assets:
Fair value of plan assets at
  beginning of year
5,287
5,441
Actual return on plan assets
(153)
340
Company contributions
604
47
Benefits paid
(377)
(541)
Fair value of plan assets at end of
  year
5,361
5,287
     
Funded status (underfunded)
$ (5,915)
$ (4,625)
     
Amounts recognized in other
  accumulated comprehensive loss:
   
Net actuarial loss
$ 5,852
$ 4,456
Weighted average assumptions as of
  December 31:
   
Discount rate:
   
  Components of cost
4.80%
5.75%
  Benefit obligations
5.75%
6.00%
Expected return on plan assets
8.00%
8.00%
Rate of compensation increase
N/A
N/A
Schedule of Changes in Projected Benefit Obligations [Table Text Block]  
In thousands
2012
2013
2014
2015
2016
Projected benefit payments due
$893
$613
$435
$637
$667
Schedule of Net Benefit Costs [Table Text Block]

 

Three months ended September 30  

Nine months ended September 30  

In thousands  

2012  

2011  

2012  

2011  

Interest cost  

$ 130  

$ 137  

$ 390  

$ 411  

Expected return on plan assets  

(110)  

(99)  

(329)  

(297)  

Amortization of net actuarial loss  

121  

86  

363  

260  

Net periodic pension cost  

$ 141  

$ 124  

$ 424  

$ 374  

In thousands
2011
2010
Interest cost
$ 548
$ 539
Expected return on plan assets
(396)
(416)
Amortization of net actuarial loss
347
306
Net periodic pension cost
$ 499
$ 429
Schedule of Costs of Retirement Plans [Table Text Block]  
In thousands
2011
2010
Balance at beginning of year
$4,456
$4,023
Net actuarial loss
1,743
738
Recognized loss
(347)
(305)
Balance at end of year
$5,852
$4,456