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Debt (Tables)
9 Months Ended
Oct. 01, 2011
Debt [Abstract] 
Schedule of Outstanding Debt

At October 1, 2011 and December 31, 2010, the Company had the following outstanding debt (in thousands):

   October 1, 2011 December 31, 2010
Lines of credit $ 11,578 $ 11,055
Credit agreements   260,000   55,000
 Total notes payable and debt   271,578   66,055
        
Senior unsecured notes - Series A - 3.75%, due February 2015   100,000   100,000
Senior unsecured notes - Series B - 5.00%, due February 2020   100,000   100,000
Senior unsecured notes - Series C - 2.50%, due March 2016   50,000   -
Senior unsecured notes - Series D - 3.22%, due March 2018   100,000   -
Senior unsecured notes - Series E - 3.97%, due March 2021   50,000   -
Credit agreements   300,000   500,000
 Total long-term debt   700,000   700,000
        
Total debt $ 971,578 $ 766,055
Schedule of Debt Issuances

In March 2011, the Company issued and sold the following senior unsecured notes:

        Face Value  
Senior Notes Issue Date Term Interest Rate (in millions) Maturity Date
Series C March 2011 5 years 2.50% $50 March 2016
Series D March 2011 7 years 3.22% $100 March 2018
Series E March 2011 10 years 3.97% $50 March 2021