0000103730-14-000010.txt : 20140219 0000103730-14-000010.hdr.sgml : 20140219 20140219062414 ACCESSION NUMBER: 0000103730-14-000010 CONFORMED SUBMISSION TYPE: 10-K PUBLIC DOCUMENT COUNT: 18 CONFORMED PERIOD OF REPORT: 20131231 FILED AS OF DATE: 20140219 DATE AS OF CHANGE: 20140219 FILER: COMPANY DATA: COMPANY CONFORMED NAME: VISHAY INTERTECHNOLOGY INC CENTRAL INDEX KEY: 0000103730 STANDARD INDUSTRIAL CLASSIFICATION: ELECTRONIC COMPONENTS & ACCESSORIES [3670] IRS NUMBER: 381686453 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-07416 FILM NUMBER: 14623943 BUSINESS ADDRESS: STREET 1: 63 LANCASTER AVENUE CITY: MALVERN STATE: PA ZIP: 19355 BUSINESS PHONE: 6106441300 MAIL ADDRESS: STREET 1: 63 LANCASTER AVENUE CITY: MALVERN STATE: PA ZIP: 19355 10-K 1 vishayintertech_10k.htm ANNUAL REPORT

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549

FORM 10-K

ý  ANNUAL REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the fiscal year ended December 31, 2013
or
¨  TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the transition period from _______ to _______

Commission file number 1-7416

Vishay Intertechnology, Inc.
(Exact name of registrant as specified in its charter)

Delaware
38-1686453
(State or other jurisdiction of
incorporation or organization)
(IRS employer identification no.)

63 Lancaster Avenue
Malvern, Pennsylvania 19355-2143
(Address of principal executive offices)

(610) 644-1300
(Registrant's telephone number, including area code)

Securities registered pursuant to Section 12(b) of the Act:
Common Stock, $0.10 par value
New York Stock Exchange
(Title of class)
(Exchange on which registered)

Securities registered pursuant to Section 12(g) of the Act:  None

Indicate by check mark if the registrant is a well-known seasoned issuer, as defined in Rule 405 of the Securities Act.  Yes ý No ¨

Indicate by check mark if the registrant is not required to file reports pursuant to Section 13 or Section 15(d) of the Act. Yes ¨   No ý
Note – Checking the box above will not relieve any registrant required to file reports under Section 13 or 15(d) of the Exchange Act from their obligations under those Sections.

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.  Yes ý No ¨

Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§ 232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files). Yes ý No ¨

Indicate by check mark if disclosure of delinquent filers pursuant to Item 405 of Regulation S-K (§ 229.405 of this chapter) is not contained herein, and will not be contained, to the best of registrant's knowledge, in definitive proxy or information statements incorporated by reference in Part III of this Form 10-K or any amendment to this Form 10-K.  ý

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company.  See definitions of "large accelerated filer," "accelerated filer" and "smaller reporting company" in Rule 12b-2 of the Exchange Act.  (Check one):

 
Large accelerated filer
ý
 
Accelerated filer
¨
 

 
Non-accelerated filer
¨
 
Smaller reporting company
¨
 

Indicate by checkmark whether the registrant is a shell company (as defined in Rule 12b-2 of the Act). Yes ¨ No ý

The aggregate market value of the voting stock held by non-affiliates computed by reference to the price at which the common equity was last sold as of the last business day of the registrant's most recently completed second fiscal quarter ($13.89 on June 29, 2013), assuming conversion of all of its Class B common stock held by non-affiliates into common stock of the registrant, was $1,835,000,000. There is no non-voting stock outstanding.

As of February 17, 2014, registrant had 135,319,976 shares of its common stock and 12,129,227 shares of its Class B common stock outstanding.

DOCUMENTS INCORPORATED BY REFERENCE

Portions of the registrant's definitive proxy statement, which will be filed within 120 days of December 31, 2013, are incorporated by reference into Part III.
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Vishay Intertechnology, Inc.
Form 10-K for the year ended December 31, 2013

CONTENTS

PART I
 
 
 
Item 1.    Business
5
Item 1A. Risk Factors
19
Item 1B. Unresolved Staff Comments
28
Item 2. Properties
29
Item 3. Legal Proceedings
30
Item 4. Mine Safety Disclosures
32
Executive Officers of the Registrant
32
 
 
PART II
 
 
 
Item 5. Market for Registrant's Common Equity, Related Stockholder Matters, and Issuer Purchases of Equity Securities
33
Item 6. Selected Financial Data
35
Item 7. Management's Discussion and Analysis of Financial Condition and Results of Operations
37
Item 7A. Quantitative and Qualitative Disclosures About Market Risk
67
Item 8.    Financial Statements and Supplementary Data
69
Item 9. Changes In and Disagreements With Accountants on Accounting and Financial Disclosure
69
Item 9A. Controls and Procedures
70
Item 9B. Other Information
70
 
 
PART III
 
 
 
Item 10. Directors, Executive Officers, and Corporate Governance
71
Item 11. Executive Compensation
71
Item 12. Security Ownership of Certain Beneficial Owners and Management and Related Stockholder Matters
71
Item 13. Certain Relationships and Related Transactions, and Director Independence
71
Item 14. Principal Accounting Fees and Services
71
 
 
PART IV
 
 
 
Item 15. Exhibits, Financial Statement Schedules
72
 
 
SIGNATURES
78
 
 
Consolidated Financial Statements
 
Reports of Independent Registered Public Accounting Firm
F-2
Consolidated Balance Sheets as of December 31, 2013 and 2012
F-4
Consolidated Statements of Operations for the years ended December 31, 2013, 2012, and 2011
F-6
Consolidated Statements of Comprehensive Income for the years ended December 31, 2013, 2012, and 2011
F-7
Consolidated Statements of Cash Flows for the years ended December 31, 2013, 2012, and 2011
F-8
Consolidated Statements of Stockholders' Equity for the years ended December 31, 2013, 2012, and 2011
F-9
Notes to the Consolidated Financial Statements
F-10

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 PART I

Item 1.
BUSINESS

Our Business

Vishay Intertechnology, Inc. ("Vishay," the "Company," "we," "us," or "our") is a leading global manufacturer and supplier of discrete semiconductors and passive components. Semiconductors include MOSFETs, diodes, and optoelectronic components. Passive components include resistive products, capacitors, and inductors. Discrete semiconductors and passive components are essential elements of virtually every type of electronic circuit. They support the microprocessor chips and other integrated circuits ("ICs") that coordinate and control the functions of electronic devices and equipment. We offer our customers "one-stop shop" access to one of the most comprehensive electronic component product lines of any manufacturer in the United States, Europe, and Asia.

Our semiconductor components are used for a wide variety of functions, including power control, power conversion, power management, signal switching, signal routing, signal blocking, signal amplification, two-way data transfer, one-way remote control, and circuit isolation. Our passive components are used to restrict current flow, suppress voltage increases, store and discharge energy, control alternating current ("AC") and voltage, filter out unwanted electrical signals, and perform other functions. Our components are used in virtually every type of product that contains electronic circuitry, in the industrial, computing, automotive, consumer, telecommunications, power supplies, military, aerospace, and medical markets.

The Vishay Story

In the 1950's, the late Dr. Felix Zandman, Vishay's founder, was issued patents for his PhotoStress® coatings and instruments, used to reveal and measure the distribution of stresses in structures such as airplanes and cars under live load conditions. His research in this area led him to develop Bulk Metal® foil resistors – ultra-precise, ultra-stable resistors with performance far beyond any other resistor available to date.

In 1962, Dr. Zandman, with a loan from the late Alfred P. Slaner, founded Vishay to develop and manufacture Bulk Metal foil resistors. Concurrently, J.E. Starr developed foil resistance strain gages, which also became part of Vishay. Throughout the 1960's and 1970's, Vishay established itself as a technical and market leader in foil resistors, PhotoStress products, and strain gages. These products were included with the measurements and foil resistor businesses that we spun off into an independent, publicly-traded company named Vishay Precision Group, Inc. ("Vishay Precision Group" or "VPG") through a tax-free stock dividend to our stockholders on July 6, 2010.

In 1985, Vishay began to expand its product line through various strategic acquisitions, including the resistor companies Dale Electronics, Draloric Electronic, and Sfernice. In the early 1990's, Vishay applied its acquisition strategy to the capacitor market, with the major acquisitions of Sprague Electric, Roederstein, and Vitramon. In 2002, Vishay acquired BCcomponents, the former passive components business of Philips Electronics and Beyschlag, which greatly enhanced Vishay's global market position in passive components. Over the years, we have made several smaller passive components acquisitions to gain market share, penetrate different geographic markets, enhance new product development, round out our product lines, or grow our high margin niche businesses. These include Electro-Films, Cera-Mite, and Spectrol in 2000; Tansitor and North American Capacitor Company (Mallory) in 2001; the thin film interconnect business of Aeroflex in 2004; Phoenix do Brasil in 2006; the wet tantalum capacitor business of KEMET Corporation in 2008; the resistor businesses of Huntington Electric in 2011; HiRel Systems in 2012; and MCB Industrie in 2013.

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In the late 1990's, Vishay began expanding its product lines to include discrete semiconductors. In 1998, Vishay acquired the Semiconductor Business Group of TEMIC, which included Telefunken and an 80.4% interest in Siliconix, producers of MOSFETs, RF transistors, diodes, optoelectronics, and power and analog switching integrated circuits. Vishay's next semiconductor acquisition came in 2001, with the purchase of the infrared components business of Infineon Technologies, which was followed the same year by Vishay's acquisition of General Semiconductor, a leading global manufacturer of rectifiers and diodes. In 2005, Vishay made a successful tender offer for the minority interest in Siliconix. In 2007, Vishay acquired the Power Control Systems business of International Rectifier, further enhancing our product offerings. These acquisitions propelled Vishay into the top ranks of discrete semiconductor manufacturers.

We continue to implement the vision, strategy, and culture articulated by Dr. Zandman as we continue to work tirelessly to enhance value for our stockholders.

Vishay was incorporated in Delaware in 1962 and maintains its principal executive offices at 63 Lancaster Avenue, Malvern, Pennsylvania 19355-2143. Our telephone number is (610) 644-1300.

Our Competitive Strengths

Global Technology Leader

We were founded based on the inventions of Dr. Felix Zandman and we continue to emphasize technological innovation as a driver of growth. Many of our products and manufacturing techniques, technologies, and packaging methods have been invented, designed, and developed by Dr. Zandman, our engineers, and our scientists. We are currently a worldwide technology and market leader in wirewound and other power resistors, leaded film resistors, thin film SMD resistors, wet and conformal-coated tantalum capacitors, capacitors for power electronics, power rectifiers, low-voltage power MOSFETs, and infrared components.

Research and Development Provides Customer-Driven Growth Solutions

We maintain strategically placed application and product support centers where proximity to customers and our manufacturing locations enables us to more easily gauge and satisfy the needs of local markets. The breadth of our product portfolio along with the proximity of our field application engineers to customers provides increased opportunities to have our components selected and designed into new end products by customers in all relevant market segments. We also maintain research and development personnel and promote programs at a number of our production facilities to develop new products and new applications of existing products, and to improve manufacturing processes and technologies. We plan to grow our business and increase earnings per share, in part, through accelerating the development of new products and technologies and increasing design-in opportunities by expanding our technical resources for providing solutions to customers.

Operational Excellence

We are a leading manufacturer in our industry, with a broad product portfolio, access to a wide range of end markets and sales channels, and geographic diversity. We have solid, well-established relationships with our customers and strong distribution channels. Our senior management team is highly experienced, with deep industry knowledge. Over the past two decades, our management team has successfully restructured our company and integrated several acquisitions. We can adapt our operations to changing economic conditions, as demonstrated by our ability to remain profitable and generate cash through the volatile economic cycle of the recent past.
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Broad Market Penetration

We have one of the broadest product lines of discrete semiconductors and passive components among our competitors. Our broad product portfolio allows us to penetrate markets in all industry segments and all regions, which reduces our exposure to a particular end market or geographic location. We plan to grow our business and increase earnings per share, in part, through improving market penetration by expanding manufacturing facilities for our most successful products, increasing technical resources, and developing markets for specialty products in Asia.  Our net revenues for the following applicable periods were attributable to customers in the following regions:

 
 
Years Ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Asia 38 % 37 % 38 %
Europe
   
37
%
   
37
%
   
40
%
Americas
   
25
%
   
26
%
   
22
%

The share of net revenues by end market was as follows:

 
 
Years Ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Industrial
   
29
%
   
29
%
   
28
%
Automotive
   
21
%
   
20
%
   
18
%
Computing
   
13
%
   
15
%
   
18
%
Telecommunications
   
11
%
   
11
%
   
12
%
Power Supplies
   
8
%
   
7
%
   
8
%
Consumer Products
   
8
%
   
7
%
   
7
%
Military and Aerospace
   
6
%
   
7
%
   
6
%
Medical
   
4
%
   
4
%
   
3
%

Strong Track Record of Growth through Acquisitions

Since 1985, we have expanded our product line through various strategic acquisitions, growing from a small manufacturer of precision resistors and resistance strain gages to one of the world's largest manufacturers and suppliers of a broad line of electronic components. We have successfully integrated the acquired companies within our existing management and operational structure, reducing selling, general, and administrative expenses through the integration or elimination of redundant sales and administrative functions, creating manufacturing synergies, while improving customer service. We plan to grow our business and increase earnings per share, in part, through targeted acquisitions. We often target high margin niche business acquisitions, such as Huntington Electric, HiRel Systems, and MCB Industrie, which we acquired in 2011, 2012, and 2013, respectively. These acquisitions accounted for 3.4% of 2013 revenues and have margins above our corporate average.

Strong Free Cash Flow Generation

We refer to the amount of cash generated from operations in excess of our capital expenditure needs and net of proceeds from the sale of assets as "free cash." Due to our strong operational management, cost control measures, efficient capital expenditures, broad product portfolio, and strong market position, we have generated positive "free cash" in each of the past 17 years and "free cash" in excess of $80 million in each of the past 12 years. We expect the benefits of our restructuring and other cost cutting measures in prior periods and continued cost control activities (see "Cost Management" included in Item 7, "Management's Discussion and Analysis of Financial Condition and Results of Operations") to contribute to our "free cash" generation going forward.

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Financial Strength and Flexibility

As of December 31, 2013, our cash and short-term investment balance exceeded our debt balance by $787 million.  We also maintain a credit facility, which provides a revolving commitment of up to $640 million through August 8, 2018, of which $518 million was available as of December 31, 2013.  Our net cash position and short-term investment balance, available revolving commitment, and strong "free cash" flow generation provide financial strength and flexibility and reduce our exposure to future economic uncertainties.

Our Key Challenges

Economic Environment

Our business and operating results have been and will continue to be impacted by the global economy and the local economies in which our customers operate. Our revenues are dependent on end markets that are impacted by fluctuating consumer and industrial demand, and our operating results can be adversely affected by reduced demand in those markets.

Competition

Our business is highly competitive worldwide, with low transportation costs and few import barriers. Our major competitors, some of which are larger than us, have significant financial resources and technological capabilities. To continue to grow our business successfully, we need to continually develop, introduce, and market new and innovative products, modify existing products, respond to technological change, and customize certain products to meet customer requirements.

Continuous Innovation and Protection of Intellectual Property

Our ability to compete effectively with other companies depends, in part, on our ability to maintain the proprietary nature of our technology. Although we have been awarded, have filed applications for, or have licenses to use, numerous patents in the United States and other countries, there can be no assurance concerning the degree of protection afforded by these patents or the likelihood that pending patents will be issued.

Continuing to Grow through Acquisitions

Our long-term historical growth in revenues and net earnings has resulted in large part from our strategy of growth through acquisitions. For this strategy to remain successful, we need to continue to identify attractive and available acquisition candidates, complete acquisitions on favorable terms, and integrate new businesses, manufacturing processes, employees, and logistical arrangements into our existing management and operating infrastructure.

For a more detailed discussion of the risks and uncertainties inherent in our business, which could materially and adversely affect our business, results of operations or financial condition, see "Risk Factors" in Item 1A.
-8-

Key Business Strategies

Since our first acquisition in 1985, we have pursued a business strategy that principally consists of the following elements:

Invest in Innovation to Drive Growth

We plan to continue to use our research and development ("R&D"), engineering, and product marketing resources to continually roll out new and innovative products. As part of our plan to foster intensified internal growth, we have increased our R&D and engineering technical staff by 18% since 2009 and plan to further increase it.  In addition, we are increasing our technical field sales force in Asia by about 25% to increase the opportunities to design-in our products in local markets. Our ability to react to changing customer needs and industry trends will continue to be key to our success.  We intend to leverage our insights into customer demand to continually develop new innovative products within our existing lines and to modify our existing core products to make them more appealing, addressing changing customer needs and industry trends.

We are directing increased funding and are focusing on developing products to capitalize on the connectivity, mobility, and sustainability growth drivers of our business.

Cost Management

We place a strong emphasis on controlling our costs. We focus on controlling fixed costs and reducing variable costs. When our ongoing cost management activites are not adequate, we take actions to maintain our cost competitiveness including restructuring our business to realign our labor distribution.

Growth through Strategic Acquisitions

We plan to continue to expand within the electronic components industry, through the acquisition of other manufacturers of electronic components that have established positions in major markets, reputations for product innovation, quality, and reliability, strong customer bases, and product lines with which we have substantial marketing and technical expertise.

Customer Service Excellence

We maintain significant production facilities in those regions where we market the bulk of our products in order to enhance the service and responsiveness that we provide to our customers. We aim to further strengthen our relationships with customers and strategic partners by providing broad product lines that allow us to provide "one-stop shop" service, whereby they can streamline their design and purchasing processes by ordering multiple types of products.

Our growth plan was designed based on the tenets of the key business strategies listed above.
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Products

We design, manufacture, and market electronic components that cover a wide range of functions and technologies. Our product portfolio includes:

MOSFETs Segment
Resistors & Inductors Segment
MOSFETs
Film Resistors
• Low-Voltage TrenchFET® Power MOSFETs
• Metal Film Resistors
• Medium-Voltage Power MOSFETs
• Thin Film Resistors
• High-Voltage Planar MOSFETs
• Thick Film Resistors
• High-Voltage Super Junction MOSFETs
• Power Thick Film Resistors
• Automotive-Grade MOSFETs
• Crowbar and Steel Blade Resistors
ICs
• Metal Oxide Film Resistors
• Power Management and Power Control ICs
• Carbon Film Resistors
• Smart Load Switches
Wirewound Resistors
• Analog Switches and Multiplexers
• Vitreous, Cemented, and Housed Resistors
 
• Braking and Neutral Grounding Resistors
Diodes Segment
• Custom Load Banks
Rectifiers
Power Metal Strip® Resistors
• Schottky Rectifiers
Battery Management Shunts
• Ultra-Fast Recovery Rectifiers
Thermo Fuses
• Standard and Fast Recovery Rectifiers
Chip Fuses
• High-Power Rectifiers/Diodes
Pryotechnic Initiators / Ignitors
• Bridge Rectifiers
Variable Resistors
Small-Signal Diodes
• Cermet Variable Resistors
• Schottky and Switching Diodes
• Wirewound Variable Resistors
• Zener Diodes
• Conductive Plastic Variable Resistors
• Tuner/Capacitance Diodes
• Contactless Potentiometers
• Bandswitching Diodes
• Hall Effect Position Sensors
• RF PIN Diodes
• Precision Magnetic Encoders
Protection Diodes
Networks/Arrays
• TVS Diodes or TRANSZORB® (uni-directional, bi-
Non-Linear Resistors
directional)
• NTC Thermistors
• ESD Protection Diodes (including arrays)
• PTC Thermistors
Thyristors/SCR
• Varistors
• Phase-Control Thyristors
Magnetics
• Fast Thyristors
• Inductors
Power Modules
• Wireless Charging Coils
• Input Modules (diodes and thyristors)
• Transformers
• Output & Switching Modules (contain MOSFETs, IGBTs,
Connectors
and diodes)
 
• Custom Modules
Capacitors Segment
 
Tantalum Capacitors
Optoelectronic Components Segment
• Molded Chip Tantalum Capacitors
Infrared Emitters and Detectors
• Coated Chip Tantalum Capacitors
Optical Sensors
• Solid Through-Hole Tantalum Capacitors
Infrared Remote Control Receivers
• Wet Tantalum Capacitors
Optocouplers
Ceramic Capacitors
• Phototransistor, Photodarlington
• Multilayer Chip Capacitors
• Linear
• Disc Capacitors
• Phototriac
Film Capacitors
• High Speed
Power Capacitors
• IGBT and MOSFET Driver
Heavy-Current Capacitors
Solid-State Relays
Aluminum Capacitors
LEDs and 7-Segment Displays
 
Infrared Data Transceiver Modules
 
Custom Products
 
 
 

We promote our ability to provide "one-stop shop" service to customers, whereby they can streamline their design and purchasing processes by ordering multiple types of products from Vishay. Our technical sales force consisting of field application engineers offers customers the complete breadth of the Vishay portfolio for their applications. We aim to use this broad portfolio to increase opportunities to have our components selected and "designed in" to new end products.
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Product Segments

Our products can be divided into two general classes: semiconductors and passive components. Semiconductors are sometimes referred to as "active components" because they require power to function whereas passive components do not require power to function.  Our semiconductor and passive components products are further categorized based on their functionality for financial reporting purposes.  See Note 15 to our consolidated financial statements for additional information on revenues, income, and total assets by segment.

Semiconductors

Our semiconductor products include MOSFETs, Diodes, and Optoelectronic Components. Semiconductors are typically used to perform functions such as switching, amplifying, rectifying, routing, or transmitting electrical signals, power conversion, and power management.

MOSFETs Segment

Our MOSFETs business includes both the commodity and non-commodity markets in which we believe that we enjoy a good reputation and strong brand recognition (Siliconix). MOSFETs function as solid-state switches to control power in multiple applications, including mobile phones, notebook and desktop computers, tablet computers, digital cameras, televisions, DC/DC and AC/DC switch mode power supplies, solar inverters, automotive and industrial systems. We are a leader in low-voltage TrenchFET MOSFETs and also offer high-voltage MOSFETs. Our MOSFETs product line includes low- and medium-voltage TrenchFET MOSFETs, high-voltage planar MOSFETs, high voltage Super Junction MOSFETs, power integrated circuits (power ICs), and integrated function power devices. We are one of the technology leaders in MOSFETs, with a tradition of innovation in wafer design, packaging, and performance.

Diodes Segment

Our Diodes business is a solid business with a strong market presence in both the commodity and non-commodity markets. The products that comprise our Diodes business represent our broadest product line and include rectifiers, small signal diodes, protection diodes, thyristors/SCRs and power modules. The primary application of rectifiers, found inside the power supplies of virtually all electronic equipment, is to derive DC power from the AC supply. Vishay is the worldwide leader in rectifiers, having a broad technology base and a good position in automotive, industrial, computing and consumer markets. Our rectifier innovations include TMBS® using Trench MOS barrier Schottky rectifier technology, which reduces power loss and improves the efficiency of end systems and eSMP®, the best in class high-current density surface mount packages. Our wide selection of small signal diodes consist of the following functions: switching, tuning, band-switching, RF attenuation and voltage regulation (Zener). They are available in various glass and plastic packaging options and generally are used in electronic circuits, where small currents and high frequencies are involved. Vishay is also one of the market leaders for TVS (transient voltage suppressor) diodes. The portfolio of protection diodes includes ESD protection and EMI filter. Our thyristors or SCR (silicon-controlled rectifiers) are very popular in the industrial high-voltage AC power control applications. The fast growing markets of solar inverter and HEV/EV are the focus of our power modules business (IGBT or MOSFET modules). These modules can be customized to fit in different customer design requirements.

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Optoelectronics Components Segment

Our Optoelectronic Components business has a strong market presence in both the commodity and non-commodity markets. Optoelectronic components emit light, detect light, or do both. Our broad range of standard and customer specific optoelectronic components includes infrared ("IR") emitters and detectors, IR remote control receivers, optocouplers, solid-state relays, optical sensors, light-emitting diodes ("LEDs"), 7-segment displays, and IR data transceiver modules (IrDA®). Our IR remote control receivers are designed for use in infrared remote control, data transmission, and light barrier applications in end products including televisions, set-top boxes, notebook computers, and audio systems. We are the leading manufacturer of IR remote control receivers. Our optocouplers electrically isolate input and output signals. Uses include switch-mode power supplies, consumer electronics, telecommunications equipment, solar inverters, and industrial systems. Our IR data transceiver modules are used for short range, two-way, high-speed, and secure wireless data transfer between electronic devices such as home medical appliances, mobile phones, industrial data loggers, and metering. Our LEDs are designed for backlighting and illumination in automotive and other applications. Our LEDs include ultra-bright as well as small surface-mount packages, with products available in all standard colors including white.

Passive components

Our passive components include resistors, capacitors, and magnetics such as inductors and transformers. Passive components are used to store electrical charges, to limit or resist electrical current, and to help in filtering, surge suppression, measurement, timing, and tuning applications.

Resistors and Inductors Segment

Our Resistors and Inductors business is our original business. We maintain the broadest portfolio of resistor products worldwide. The business is solid, predictable, and growing at relatively stable selling prices.  We are a market leader with a strong technology base, many specialty products, and strong brand recognition (such as our Dale, Draloric, Beyschlag, Sfernice, and HiRel Systems brands). We focus on higher value markets in specialized industries, while maintaining a complete portfolio of commodity products.  We do not aim to be the volume leader in commodity markets.

Resistors are basic components used in all forms of electronic circuitry to adjust and regulate levels of voltage and current. They vary widely in precision and cost, and are manufactured from numerous materials and in many forms.  Linear resistive components are classified as variable or fixed, depending on whether or not their resistance is adjustable. Non-linear resistors function by varying in resistance under influence of temperature (thermistors) or voltage (varistors). They can be used in temperature-measuring applications or as current or voltage-limiting devices. We manufacture virtually all types of fixed resistors, both in discrete and network forms, as well as many variable types.

Vishay resistor innovations include Power Metal Strip® technology.  These resistors feature very low resistance and are used to measure changes in current flow (current sensing) or divert current flow (shunting).

Inductors use an internal magnetic field to change AC current phase and resist AC current. Inductor applications include controlling AC current and voltage, filtering out unwanted electrical signals, and energy storage. Vishay inductor innovations include IHLP® low-profile, high-current inductor technology with industry-leading specifications, which is patented and generates royalty revenue. Our low-profile, high-current inductors save circuit board space and power in voltage regulator module ("VRM") and DC to DC converter applications. In addition, we are a worldwide leader in custom magnetic solutions focusing on high performance and high reliability. This field has been substantially strengthened, with the 2012 acquisition of HiRel Systems, broadening our portfolio, customer, and market segment reach.

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Capacitors Segment

Our Capacitors business consists of a broad range of reliable, high-quality products. We have a strong presence worldwide in specialty markets based on our product performance and reliability and strong brand recognition (including our Sprague, Vitramon, Roederstein, BCcomponents, and ESTA brands). We focus on higher value markets in specialized industries, while maintaining a complete portfolio of commodity products. We do not aim to be the volume leader in commodity markets. Capacitors are used in almost all electronic circuits. They store energy and discharge it when needed. Important applications for capacitors include electronic filtering for linear and switching power supplies; decoupling and bypass of electronic signals for integrated circuits and circuit boards; and frequency control, timing and conditioning of electronic signals for a broad range of applications.

We manufacture products based on all major capacitor technologies: tantalum (molded chip tantalum, coated chip tantalum, solid through-hole tantalum, and wet tantalum), ceramic (multilayer chip and ceramic disc), film, power, heavy-current, and aluminum electrolytic. Our capacitors range from tiny surface-mount devices for hearing aids and mobile devices to large power correction capacitors used in renewable energy, heavy industry, and electrical power grids. We are a recognized technology leader in many product ranges, securing our strong position in military and medical markets, and in a wide range of industrial and automotive applications. Our wet tantalum and MicroTan™ technologies are market leaders.

Military Qualifications

We have qualified certain of our products under various military specifications approved and monitored by United States government agencies, and under certain European military specifications. Qualification levels are based in part upon the rate of failure of products. In order to maintain the classification level of a product, we must continuously perform tests on the product and the results of these tests must be reported to the government agencies. If the product fails to meet the requirements for the applicable classification level, the product's classification may be reduced to a lower level. During the time that the classification level is reduced for a product with military application, net revenues and earnings attributable to that product may be adversely affected.

Manufacturing Operations

In order to better serve our customers, we maintain production facilities in locations where we market the bulk of our products, such as the United States, Germany, and Asia. To optimize production efficiencies, we have whenever practicable established manufacturing facilities in countries, such as the Czech Republic, Hungary, India, Israel, Malaysia, Mexico, the People's Republic of China, and the Philippines, where we can benefit from lower labor and tax costs and also benefit from various government incentives, including grants and tax relief.

One of our most sophisticated manufacturing operations is the production of power semiconductor components. This manufacturing process involves two phases of production: wafer fabrication and assembly (or packaging). Wafer fabrication subjects silicon wafers to various thermal, metallurgical, and chemical process steps that change their electrical and physical properties. These process steps define cells or circuits within numerous individual devices (termed "dies" or "chips") on each wafer. Assembly is the sequence of production steps that divides the wafer into individual chips and encloses the chips in structures (termed "packages") that make them usable in a circuit. Both wafer fabrication and assembly phases incorporate wafer level and device level electrical testing to ensure that device design integrity has been achieved.

In the United States, our manufacturing facilities are located in California, Minnesota, Nebraska, New Hampshire, New York, Rhode Island, South Dakota, Vermont, and Wisconsin. In Asia, our main manufacturing facilities are located in the People's Republic of China, the Republic of China (Taiwan), India, and Malaysia. In Europe, our main manufacturing facilities are located in Germany, France, and the Czech Republic. We have substantial manufacturing facilities in Israel (see "Israeli Operations" below). We also have manufacturing facilities in Austria, Dominican Republic, Hungary, Italy, Mexico, the Netherlands, Portugal, and the Philippines. Over the past several years, we have invested substantial resources to increase the efficiency of our plants, which we believe will further reduce production costs.
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The majority of our manufacturing operations have received ISO 9001 certification and others are actively pursuing such approval.  ISO 9001 is a comprehensive set of quality program standards developed by the International Standards Organization.

See Note 15 to our consolidated financial statements for financial information by geographic area.

Sources of Supplies

Although most materials incorporated in our products are available from a number of sources, certain materials, including plastics and metals, are available only from a relatively limited number of suppliers or are subject to significant price volatility.

Silicon wafers are the most important raw material for the manufacturing of our semiconductor products. Silicon wafers are manufactured from high-purity silicon, a metalloid. There have at times been industry-wide shortages of high-purity silicon resulting primarily from growing demand of the electronic component and solar power industries, and limited growth in high-purity silicon manufacturing capacities. Shifts in demand for high-purity silicon and in turn, silicon wafers, have resulted in significant fluctuation in prices of silicon wafers.

We are a major consumer of the world's annual production of tantalum, a metal used in the manufacturing of tantalum capacitors. There are few suppliers that process tantalum ore into capacitor grade tantalum powder. We acquire tantalum powder and wire from all of them under short-term commitments.

Certain materials, in addition to tantalum and including tin, tungsten, and gold are available only from a relatively limited number of suppliers, the source for which may be in the Democratic Republic of the Congo or an adjoining country. We are conducting due diligence on the source and custody of such materials.

Palladium, a metal used to produce multi-layer ceramic capacitors, is currently found primarily in South Africa and Russia. Palladium is a commodity metal that is subject to price volatility. We periodically enter into short-term commitments to purchase palladium.

Certain metals used in the manufacture of our products, such as copper, are traded on active markets, and can be subject to significant price volatility.  Our policy is to enter into short-term commitments to purchase defined portions of annual consumption of these metals if market prices decline below budget.

Israeli Operations

We have substantial manufacturing operations in Israel, where we benefit from the government's grant and tax incentive programs.  These programs have contributed substantially, predominantly in previous years, to our growth and profitability.

The current benefits derived under these programs are not material to our consolidated results. Because of our significant presence in Israel, the availability of these incentive programs could have a significant positive effect on us if we relocate manufacturing capacity or develop new product lines there.  However, there are no substantial plans that would allow us to earn additional benefits.

We could be materially adversely affected if events were to occur in the Middle East that interfered with our operations in Israel. However, we have not experienced any material interruption in our Israeli operations during our 43 years of operations there, in spite of several Middle East crises, including wars.

Inventory and Backlog

We manufacture both standardized products and those designed and produced to meet customer specifications. We maintain an inventory of standardized components and monitor the backlog of outstanding orders for our products.

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We include in our backlog only open orders that we expect to ship in the next twelve months. Many of our customers encounter uncertain and changing demand for their products. They typically order products from us based on their forecasts. If demand falls below customers' forecasts, or if customers do not control their inventory effectively, they may cancel or reschedule the shipments included in our backlog, in many instances without the payment of any penalty. Therefore, our backlog at any point in time is not necessarily indicative of the results to be expected for future periods.

Customers and Marketing

We sell our products to original equipment manufacturers ("OEMs"), electronic manufacturing services ("EMS") companies, which manufacture for OEMs on an outsourcing basis, and independent distributors that maintain large inventories of electronic components for resale to OEMs and EMS companies. The distribution of sales by customer type for 2013 is shown below:

Distributors
   
54
%
OEMs
   
39
%
EMS companies
   
7
%

Our sales organizations are regionally based. While our sales and support procedures are typically similar across all regions, we remain flexible in our ability to offer programs tailored to our customers' specific support requirements in each local area.  The aim of our sales organizations is supporting our customers across all product lines, developing new design wins, negotiating pricing and contracts, and providing general commercial support as would normally be expected of a large multi-national sales force.

We have an established Strategic Global Account program, which provides each of our top customers with a dedicated Strategic Global Account Manager. Our Strategic Global Account Managers are typically highly experienced salesmen or saleswomen who are capable of providing key customers with the coordination and management visibility required in a complex multi-product business relationship. They typically coordinate the sales, pricing, contract, logistic, quality, and other aspects of the customer's business requirements.  The Strategic Global Account Manager normally is the focal point of communication between Vishay and our main customers.  We maintain a similar program for our strategic distributors as well.

We work with our customers so that our products are incorporated into the design of electronic equipment at the earliest stages of development and to provide technical and applications support. In addition to our staff of direct field sales personnel, independent manufacturers' representatives, and distributors, our Business Development group maintains teams of dedicated Field Application Engineers ("FAEs") to assist our customers in solving technical problems and in developing products to meet specific customer application needs using our entire product portfolio to provide support for our customers' engineering needs. Organized by market segment, our Business Development FAEs bring specific knowledge of component applications in their areas of expertise in the automotive, telecommunications, computer, consumer/entertainment, industrial, peripherals, digital consumer, and other market segments. With the ultimate goal of a Vishay "design-in" – the process by which our customers specify a Vishay component in their products – this program offers our customers enhanced access to all Vishay technologies while at the same time increasing design wins, and ultimately sales, for us. Most importantly, the process is closely monitored via a proprietary database developed by our Business Development group. Our database captures specific design activities and allows for real-time measurement of new business potential for our management team.

Our top 30 customers have been relatively stable despite not having long-term commitments to purchase our products. With selected customers, we have signed longer term (greater than one year) contracts for specific products. Net revenues from our top 30 customers represent approximately 70% of our total net revenues.  No single customer comprises more than 10% of our total net revenues.

In certain areas we also work with sales representatives. The commission expense for these sales representatives is not material.
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Competition

We face strong competition in various product lines from both domestic and foreign manufacturers. Our primary competitors by product type include:

· MOSFETs: Fairchild Semiconductor, Infineon, International Rectifier, NXP Semiconductors, ON Semiconductor, Rohm, STMicroelectronics, Toshiba.

· Diodes: Diodes Inc., Infineon, NXP Semiconductors, ON Semiconductor, STMicroelectronics.

· Optoelectronic Components: Avago, OSRAM Opto Semiconductors, Rohm, Sharp, Toshiba.

· Resistors and Inductors: KOA, Murata, Panasonic, Rohm, TDK-EPCOS, Yageo.

· Capacitors: AVX, KEMET, Murata, Nichicon, Panasonic, TDK-EPCOS, Yageo.

There are many other companies that produce products in the markets in which we compete.

Our competitive position depends on our ability to maintain a competitive advantage on the basis of product quality, know-how, proprietary data, market knowledge, service capability, technological innovation, business reputation, and price competitiveness. Our sales and marketing programs aim to compete by offering our customers a broad range of world-class technologies and products, superior global sales and distribution support, and a secure and multi-location source of product supply.

Research and Development

Many of our products and manufacturing techniques, technologies, and packaging methods have been invented, designed, and developed by Dr. Felix Zandman, our engineers, and our scientists. We maintain strategically placed design centers where proximity to customers enables us to more easily gauge and satisfy the needs of local markets. These design centers are located predominantly in the United States, Germany, Italy, Israel, the People's Republic of China, France, and the Republic of China (Taiwan).

We also maintain research and development personnel and promote programs at a number of our production facilities to develop new products and new applications of existing products and to improve manufacturing processes and technologies. This decentralized system encourages product development at individual manufacturing facilities, closer to our customers.

Patents and Licenses

We have made a significant investment in securing intellectual property protection for our technology and products. We seek to protect our technology by, among other things, filing patent applications for technology considered important to the development of our business. We also rely upon trade secrets, unpatented know-how, continuing technological innovation, and the aggressive pursuit of licensing opportunities to help develop and maintain our competitive position.

Our ability to compete effectively with other companies depends, in part, on our ability to maintain the proprietary nature of our technology. Although we have been awarded, have filed applications for, or have been licensed under, numerous patents in the United States and other countries, there can be no assurance concerning the degree of protection afforded by these patents or the likelihood that pending patents will be issued.

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We require all of our technical, research and development, sales and marketing, and management employees and most consultants and other advisors to execute confidentiality agreements upon the commencement of employment or consulting relationships with us. These agreements provide that all confidential information developed or made known to the entity or individual during the course of the entity's or individual's relationship with us is to be kept confidential and not disclosed to third parties except in specific circumstances. Substantially all of our technical, research and development, sales and marketing, and management employees have entered into agreements providing for the assignment to us of rights to inventions made by them while employed by us.

When we believe other companies are misappropriating our intellectual property rights, we vigorously enforce those rights through legal action, and we intend to continue to do so. See Item 3, "Legal Proceedings."

Although we have numerous United States and foreign patents covering certain of our products and manufacturing processes, no particular patent is considered individually material to our business.

Environment, Health and Safety

We have adopted an Environmental Health and Safety Corporate Policy that commits us to achieve and maintain compliance with applicable environmental laws, to promote proper management of hazardous materials for the safety of our employees and the protection of the environment, and to minimize the hazardous materials generated in the course of our operations. This policy is implemented with accountability directly to the Board of Directors. In addition, our manufacturing operations are subject to various federal, state, and local laws restricting discharge of materials into the environment.

We are involved in environmental remediation programs at various sites currently or formerly owned by us and our subsidiaries both within and outside of the U.S., in addition to involvement as a potentially responsible party ("PRP") at Superfund sites. Certain obligations as a PRP have arisen in connection with business acquisitions. The remediation programs are on-going and the ultimate cost of site cleanup is difficult to predict given the uncertainties regarding the extent of the required cleanup, the interpretation of applicable laws and regulations and alternative cleanup methods. See Item 3, "Legal Proceedings."

We are not involved in any pending or threatened proceedings that would require curtailment of our operations. We continually expend funds to ensure that our facilities comply with applicable environmental regulations. While we believe that we are in material compliance with applicable environmental laws, we cannot accurately predict future developments and do not necessarily have knowledge of all past occurrences on sites that we currently occupy. More stringent environmental regulations may be enacted in the future, and we cannot determine the modifications, if any, in our operations that any such future regulations might require, or the cost of compliance with such regulations. Moreover, the risk of environmental liability and remediation costs is inherent in the nature of our business and, therefore, there can be no assurance that material environmental costs, including remediation costs, will not arise in the future.

With each acquisition, we attempt to identify potential environmental concerns and to minimize, or obtain indemnification for, the environmental matters we may be required to address. In addition, we establish reserves for specifically identified potential environmental liabilities. We believe that the reserves we have established are adequate. Nevertheless, we have in the past and may in the future inherit certain pre-existing environmental liabilities, generally based on successor liability doctrines. Although we have never been involved in any environmental matter that has had a material adverse impact on our overall operations, there can be no assurance that in connection with any past or future acquisition we will not be obligated to address environmental matters that could have a material adverse impact on our operations.

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Employees

As of December 31, 2013, we employed approximately 22,500 full time employees, of whom approximately 89% were located outside the United States.  Our future success is substantially dependent on our ability to attract and retain highly qualified technical and administrative personnel. Some of our employees outside the United States are members of trade unions, and employees at one U.S. facility are represented by a trade union. Our relationship with our employees is generally good. However, no assurance can be given that, if we continue to restructure our operations and/or reduce employee hours in response to changing economic conditions, labor unrest or strikes will not occur.

Company Information and Website

We file annual, quarterly, and current reports, proxy statements, and other documents with the Securities and Exchange Commission ("SEC") under the Securities Exchange Act of 1934. The public may read and copy any materials that we file with the SEC at the SEC's Public Reference Room at Station Place, 100 F Street, N.E., Washington, DC 20549. The public may obtain information on the operation of the Public Reference Room by calling the SEC at 1-800-SEC-0330. Also, the SEC maintains an Internet website that contains reports, proxy and information statements, and other information regarding issuers, including us, that file electronically with the SEC. The public can obtain any documents that we file with the SEC at http://www.sec.gov.

In addition, our company website can be found on the Internet at www.vishay.com. The website contains information about us and our operations. Copies of each of our filings with the SEC on Form 10-K, Form 10-Q, and Form 8-K, and all amendments to those reports, can be viewed and downloaded free of charge as soon as reasonably practicable after the reports and amendments are electronically filed with or furnished to the SEC. To view the reports, access ir.vishay.com and click on "SEC Filings."

The following corporate governance related documents are also available on our website:

· Corporate Governance Principles
· Code of Business Conduct and Ethics
· Code of Ethics Applicable to the Company's Chief Executive Officer, Chief Financial Officer, Principal Accounting Officer or Controller and Financial Managers
· Audit Committee Charter
· Nominating and Corporate Governance Committee Charter
· Compensation Committee Charter
· Strategic Affairs Committee Charter
· Policy on Director Attendance at Annual Meetings
· Nominating and Corporate Governance Committee Policy Regarding Qualification of Directors
· Procedures for Securityholders' Submissions of Nominating Recommendations
· Securityholder Communications with Directors and Interested Party Communication with Non-Management Directors
· Whistleblower and Ethics Hotline Procedures
· Related Party Transaction Policy

To view these documents, access ir.vishay.com and click on "Corporate Governance."

Any of the above documents can also be obtained in print by any stockholder upon request to our Investor Relations Department at the following address:

Corporate Investor Relations
Vishay Intertechnology, Inc.
63 Lancaster Avenue
Malvern, PA 19355-2143
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Item 1A.
RISK FACTORS

From time to time, information provided by us, including but not limited to statements in this report, or other statements made by or on our behalf, may contain "forward-looking" information within the meaning of the Private Securities Litigation Reform Act of 1995. Such statements involve a number of risks, uncertainties, and contingencies, many of which are beyond our control, which may cause actual results, performance, or achievements to differ materially from those anticipated. Set forth below are important factors that could cause our results, performance, or achievements to differ materially from those in any forward-looking statements made by us or on our behalf. You should understand that it is not possible to predict or identify all such factors. Consequently, you should not consider the following to be a complete discussion of all potential risks or uncertainties.

Risks relating to our business generally

Our business is cyclical and the periods of decline we recently experienced may resume and may become more pronounced.

The electronic component industry is highly cyclical and experiences periods of decline from time to time. We and others in the electronic component industry have experienced these conditions in the recent past and cannot predict when we may experience such downturns in the future.  While we believe that a recovery from the recent global downturn is underway, there is no assurance that the recovery will continue at its current pace or at all, or that the conditions that contributed to the recent recessionary environment have in fact abated.  A decline in product demand on a global basis could result in order cancellations and deferrals, lower average selling prices, and a material and adverse impact on our results of operations. These declines in demand are driven by market conditions in the end markets for our products. Changes in the demand mix, needed technologies, and these end markets may adversely affect our ability to match our products, inventory, and capacity to meet customer demand and could adversely affect our operating results and financial condition.  A slowdown in demand or recessionary trends in the global economy makes it more difficult for us to predict our future sales and manage our operations, and could adversely impact our results of operations.

We have incurred and will continue to incur restructuring costs and associated asset write-downs.

To remain competitive, particularly when business conditions are difficult, we sometimes attempt to reduce our cost structure by restructuring our existing businesses, where we seek to achieve synergies, eliminate redundant facilities and staff positions, and move operations, where possible, to jurisdictions with lower labor costs.  On October 28, 2013, we announced various cost reduction programs as part of our continuous efforts to improve efficiency and operating performance. The programs primarily focus on a plan to enhance the competitiveness of our MOSFETs segment and a voluntary separation / early retirement offer to certain employees Company-wide. We also plan to implement two other smaller cost reduction programs concerning the manufacturing of products within our Diodes segment. The expenses associated with the programs have been and will continue to be recorded as they become recognizable under generally accepted accounting principles ("GAAP"). Complete implementation of all of the programs is expected to occur before the end of the first fiscal quarter of 2016.

Additionally, our long-term strategy includes growing through the integration of acquired businesses, and GAAP requires plant closure and employee termination costs that we incur in connection with our acquisition activities to be recorded as expenses in our consolidated statement of operations, as such expenses are incurred.  For this reason, we expect to have some level of future restructuring expenses due to acquisitions.

Our business is cyclical, and in periods of a rising economy we may experience intense demand for our products.  If our restructuring activities result in us not being able to satisfy the intense demand from our customers during a rising economy and our competitors sufficiently expand production, we could lose customers and/or market share. These losses could have an adverse effect on our operations, financial condition, and results of operations.

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In the past we have grown through successful integration of acquired businesses, but this may not continue.

Our long-term historical growth in revenues and net earnings has resulted in large part from our strategy of expansion through acquisitions. Despite our plan to continue to grow, in part, through targeted acquisitions, we may be unable to continue to identify, have the financial capabilities to acquire, or successfully complete transactions with suitable acquisition candidates. We are subject to various U.S. and foreign competition laws and regulations that may affect our ability to complete certain acquisitions. Also, if an acquired business fails to operate as anticipated, cannot be successfully integrated with our other businesses, or we cannot effectively mitigate the assumed, contingent, and unknown liabilities acquired, our results of operations, financial condition, enterprise value, market value, and prospects could all be materially adversely affected.

Significant fluctuations in interest rates could adversely affect our results of operations and financial position.

We are exposed to changes in interest rates as a result of our borrowing activities and our cash balances. Our credit facility and our exchangeable unsecured notes due 2102 bear interest at variable rates based on LIBOR. A significant increase in LIBOR would significantly increase our interest expense. A general increase in interest rates would be largely offset by an increase in interest income earned on our cash and short-term investment balances, which are currently greater than our debt balances. However, there can be no assurance that the interest rate earned on cash and short-term investments will move in tandem with the interest rate paid on our variable rate debt.

Our debt levels have increased and may continue to increase, which could adversely affect the perception in the financial markets of our financial condition.

The recorded value of our outstanding debt increased from approximately $347 million as of December 31, 2008 to approximately $365 million as of December 31, 2013, primarily due to the issuance of convertible senior debentures, the proceeds from the sale of which we used to fund repurchases of our common stock.  The carrying value of our convertible senior debentures will continue to increase as the discount associated with the debentures is amortized. Additionally, we and our subsidiaries may incur substantial additional debt in the future, subject to the conditions contained in our existing debt instruments, some of which may be secured debt. The marketplace could react negatively to our current debt levels which in turn could affect our share price and also make it more difficult to obtain financing in the future.

Future acquisitions could require us to issue additional indebtedness or equity.

If we were to undertake a substantial acquisition for cash, the acquisition would likely need to be financed in part through bank borrowings or the issuance of public or private debt. This acquisition financing would likely decrease our ratio of earnings to fixed charges and adversely affect other leverage criteria. Under our existing credit facility, we are required to obtain the lenders' consent for certain additional debt financing and to comply with other covenants including the application of specific financial ratios. We cannot make any assurances that the necessary acquisition financing would be available to us on acceptable terms if and when required. If we were to undertake an acquisition for equity, the acquisition may have a dilutive effect on the interests of the holders of our common stock.

Our existing credit facility restricts our current and future operations and requires compliance with certain financial covenants.

Our existing credit facility includes restrictions on, among other things, incurring indebtedness, incurring liens on assets, making investments and acquisitions, making asset sales, and paying cash dividends and making other restricted payments. Our existing credit facility also requires us to comply with other covenants, including the maintenance of specific financial ratios. If we are not in compliance with all of such covenants, the credit facility could be terminated by the lenders, and all amounts outstanding pursuant to the credit facility could become immediately payable. Additionally, our exchangeable unsecured notes due 2102 and our convertible senior debentures due 2040, due 2041, and due 2042 have cross-default provisions that could accelerate repayment in the event the indebtedness under the credit facility is accelerated.

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To remain successful, we must continue to innovate, and our investments in new technologies may not prove successful.

Our future operating results are dependent on our ability to continually develop, introduce, and market new and innovative products, to modify existing products, to respond to technological change, and to customize certain products to meet customer requirements. There are numerous risks inherent in this process, including the risks that we will be unable to anticipate the direction of technological change or that we will be unable to develop and market new products and applications in a timely fashion to satisfy customer demands. If this occurs, we could lose customers and experience adverse effects on our financial condition and results of operations.

In addition to our own research and development initiatives, we periodically invest in technology start-up enterprises, in which we may acquire a controlling or noncontrolling interest but whose technology would be available to be commercialized by us. There are numerous risks in investments of this nature including the limited operating history of such start-up entities, their need for capital, and their limited or absence of production experience, as well as the risk that their technologies may prove ineffective or fail to gain acceptance in the marketplace. Certain of our historical investments in start-up companies have not succeeded, and there can be no assurance that our current and future investments in start-up enterprises will prove successful.

Our results are sensitive to raw material availability, quality, and cost.

Many of our products require the use of raw materials that are produced in only a limited number of regions around the world or are available from only a limited number of suppliers. Our results of operations may be materially adversely affected if we have difficulty obtaining these raw materials, the quality of available raw materials deteriorates, or there are significant price increases for these raw materials. The determination that any of the raw materials used in our products are conflict minerals originating from the Democratic Republic of the Congo or adjoining countries could increase the probability that we will encounter the challenges noted above, incur additional expenses to comply with government regulations, and face public scrutiny. For periods in which the prices of these raw materials are rising, we may be unable to pass on the increased cost to our customers, which would result in decreased margins for the products in which they are used. For periods in which the prices are declining, we may be required to write down our inventory carrying cost of these raw materials, because we record our inventory at the lower of cost or market. Depending on the extent of the difference between market price and our carrying cost, this write-down could have a material adverse effect on our results of operations.

From time to time there have been short-term market shortages of certain raw materials used in our products. While these shortages have not historically adversely affected our ability to increase production of products containing these materials, they have historically resulted in higher raw material costs for us. We cannot make any assurances that any of these market shortages in the future would not adversely affect our ability to increase production, particularly during periods of growing demand for our products.  To assure availability of raw materials in times of shortage, we may enter into long-term supply contracts for these materials, which may prove costly, unnecessary, and burdensome when the shortage abates.

We may not have adequate facilities to satisfy future increases in demand for our products.

Our business is cyclical and in periods of a rising economy, we may experience intense demand for our products. During such periods, we may have difficulty expanding our manufacturing to satisfy demand. Factors which could limit such expansion include delays in procurement of manufacturing equipment, shortages of skilled personnel, and physical constraints on expansion of our facilities. If we are unable to meet our customers' requirements and our competitors sufficiently expand production, we could lose customers and/or market share. These losses could have an adverse effect on our financial condition and results of operations. Also, capacity that we add during upturns in the business cycle may result in excess capacity during periods when demand for our products recede, resulting in inefficient use of capital which could also adversely affect us.

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Our ability to compete effectively with other companies depends, in part, on our ability to maintain the proprietary nature of our technology.

Protection of intellectual property often involves complex legal and factual issues. We will be able to protect our proprietary rights from unauthorized use by third parties only to the extent that our proprietary technologies are covered by valid and enforceable patents or are effectively maintained as trade secrets. We have applied, and will continue to apply, for patents covering our technologies and products, as we deem appropriate. However, our applications may not result in issued patents. Also, our existing patents and any future patents may not be sufficiently broad to prevent others from practicing our technologies or from developing competing products. Others may independently develop similar or alternative technologies, design around our patented technologies, or may challenge or seek to invalidate our patents. Also, the legal system in certain countries in which we operate may not provide or may not continue to provide sufficient, intellectual property legal protections and remedies.

Litigation regarding patent and other intellectual property rights is prevalent in the electronic components industry, particularly the discrete semiconductor sector. We have on occasion been notified that we may be infringing on patent and other intellectual property rights of others. In addition, customers purchasing components from us have rights to indemnification under certain circumstances if such components violate the intellectual property rights of others. Further, we have observed that in the current business environment, electronic component and semiconductor companies have become more aggressive in asserting and defending patent claims against competitors.  We will continue to vigorously defend our intellectual property rights, and may become party to disputes regarding patent licensing and cross patent licensing. Although licenses are generally offered in such situations and we have successfully resolved these situations in the past, there can be no assurance that we will not be subject to future litigation alleging intellectual property rights infringement, or that we will be able to obtain licenses on acceptable terms. An unfavorable outcome regarding one of these matters could have a material adverse effect on our business and results of operations.

We face intense competition in our business, and we market our products to an increasingly concentrated group of customers.

Our business is highly competitive worldwide, with low transportation costs and few import barriers. We compete principally on the bases of product quality and reliability, availability, customer service, technological innovation, timely delivery, and price. The electronic component industry has become increasingly concentrated and globalized in recent years and our major competitors, some of which are larger than us, have significant financial resources and technological capabilities.

Our customers have become increasingly concentrated in recent years, and as a result, their buying power has increased and they have had greater ability to negotiate favorable pricing and terms. This trend has adversely affected our average selling prices, particularly for commodity components.

Our backlog is subject to customer cancellation.

Many of the orders that comprise our backlog may be canceled by our customers without penalty. Our customers may on occasion double and triple order components from multiple sources to ensure timely delivery when demand exceeds global supply. They often cancel orders when business is weak and inventories are excessive, a situation that we experienced during the period of economic slowdown. Therefore, we cannot be certain that the amount of our backlog accurately reflects the level of orders that we will ultimately deliver. Our results of operations could be adversely impacted if customers cancel a material portion of orders in our backlog.

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Future changes in our environmental liability and compliance obligations may harm our ability to operate or increase our costs.

Our operations, products and/or product packaging are subject to environmental laws and regulations governing air emissions, wastewater discharges, the handling, disposal and remediation of hazardous substances, wastes and certain chemicals used or generated in our manufacturing processes, employee health and safety labeling or other notifications with respect to the content or other aspects of our processes, products or packaging, restrictions on the use of certain materials in or on design aspects of our products or product packaging, and responsibility for disposal of products or product packaging. We establish reserves for specifically identified potential environmental liabilities. Nevertheless, we have in the past and may in the future inherit certain pre-existing environmental liabilities, generally based on successor liability doctrines, or otherwise incur environmental liabilities. We are involved in remediation programs and related litigation at various current and former properties and at third-party disposal sites both within and outside of the U.S., including involvement as a potentially responsible party at Superfund sites. Although we have never been involved in any environmental matter that has had a material adverse impact on our overall operations, there can be no assurance that in connection with any past or future acquisition, future developments, including related to our remediation programs, or otherwise, we will not be obligated to address environmental matters that could have a material adverse impact on our results of operations. In addition, more stringent environmental regulations may be enacted in the future, and we cannot presently determine the modifications, if any, in our operations that any such future regulations might require, or the cost of compliance with these regulations. In order to resolve liabilities at various sites, we have entered into various administrative orders and consent decrees, some of which may be, under certain conditions, reopened or subject to renegotiation.

Our products are sold to or used in goods sold to the U.S. government and other governments. By virtue of such sales, we are subject to various regulatory requirements and risks in the event of non-compliance.

We sell products under prime and subprime contracts with the U.S. government and other governments. Many of these products are used in military applications. Government contractors must comply with specific procurement regulations and other requirements. These requirements, although customary in government contracts, impact our performance and compliance costs.  Failure to comply with these regulations and requirements could result in contract modifications or termination, and the assessment of penalties and fines, which could negatively impact our results of operations and financial condition. Our failure to comply with these regulations and requirements could also lead to suspension or debarment, for cause, from government contracting or subcontracting for a period of time. Among the causes for debarment are violations of various statutes, including those related to procurement integrity, export control, government security regulations, employment practices, protection of the environment, accuracy of records and the recording of costs, and foreign corruption. The termination of a government contract as a result of any of these acts could have a negative impact on our results of operations and financial condition and could have a negative impact on our reputation and ability to procure other government contracts in the future.

We have qualified certain of our products under various military specifications approved and monitored by the United States Defense Electronic Supply Center and under certain European military specifications. These products are assigned certain classification levels. In order to maintain the classification level of a product, we must continuously perform tests on the products and the results of these tests must be reported to governmental agencies. If a product fails to meet the requirements of the applicable classification level, its classification may be reduced to a lower level. A decrease in the classification level for a product with a military application could have an adverse impact on the net revenues and earnings attributable to that product.

Our future success is substantially dependent on our ability to attract and retain highly qualified technical, managerial, marketing, finance, and administrative personnel.

Rapid changes in technologies, frequent new product introductions, and declining average selling prices over product life cycles require us to attract and retain highly qualified personnel to develop and manufacture products that feature technological innovations and bring them to market on a timely basis.  Our complex operations also require us to attract and retain highly qualified administrative personnel in functions such as legal, tax, accounting, financial reporting, auditing, and treasury.  The market for personnel with such qualifications is highly competitive.  While we have employment agreements with certain of our executives, we have not entered into employment agreements with all of our key personnel.
-23-


The loss of the services of or the failure to effectively recruit qualified personnel could have a material adverse effect on our business.

Interruptions in our information technology systems could adversely affect our business.

We rely on the efficient and uninterrupted operation of complex information technology systems and networks to operate our business. Any significant system or network disruption, including, but not limited to, new system implementations, computer viruses, security breaches, facility issues or energy blackouts could have a material adverse impact on our operations and results of operations. Such network disruption could result in a loss of the confidentiality of our intellectual property or the release of sensitive competitive information or customer or employee personal data. Any loss of such information could harm our competitive position, result in a loss of customer confidence, and cause us to incur significant costs to remedy the damages caused by the disruptions or security breaches. We have implemented protective measures to prevent against and limit the effects of system or network disruptions, but there can be no assurance that such measures will be sufficient to prevent or limit the damage from any future disruptions and any such disruption could have a material adverse impact on our business and results of operations.

Third-party service providers, such as foundries, subcontractors, distributors, and vendors have access to certain portions of our sensitive data. In the event that these service providers do not properly safeguard our data that they hold, security breaches and loss of our data could result.  Any such loss of data by our third-party service providers could have a material adverse impact on our business and results of operations.

Risks relating to Vishay's operations outside the United States

We are subject to the risks of political, economic, and military instability in countries outside the United States in which we operate.

We have substantial operations outside the United States, and approximately 75% of our revenues during 2013 were derived from sales to customers outside the United States.  Certain of our assets are located, and certain of our products are produced, in countries which are subject to risks of social, political, economic, and military instability. This instability could result in wars, riots, nationalization of industry, currency fluctuation, and labor unrest. These conditions could have an adverse impact on our ability to operate in these regions and, depending on the extent and severity of these conditions, could materially and adversely affect our overall financial condition, results of operations, and our ability to access our liquidity.

Our business has been in operation in Israel for 43 years, where we have substantial manufacturing operations. Although we have never experienced any material interruption in our operations attributable to these factors, in spite of several Middle East crises, including wars, our financial condition and results of operations might be adversely affected if events were to occur in the Middle East that interfered with our operations in Israel.

Our global operations are subject to extensive anti-corruption laws and other regulations.

The U.S. Foreign Corrupt Practices Act and similar foreign anti-corruption laws generally prohibit companies and their intermediaries from making improper payments or providing anything of value to improperly influence foreign government officials for the purpose of obtaining or retaining business, or obtaining an unfair advantage. Recent years have seen a substantial increase in the global enforcement of anti-corruption laws. Our continued operation and expansion outside the United States, including in developing countries, could increase the risk of such violations or violations under other regulations relating to limitations on or licenses required for sales made to customers located in certain countries. Violations of these laws may result in severe criminal or civil sanctions, could disrupt our business, and result in a material adverse effect on our reputation, business and results of operations or financial condition.

-24-

We obtain substantial benefits by operating in Israel, but these benefits may not continue.

We have substantial manufacturing operations in Israel, where we benefit from the Israeli government's grant and tax incentive programs. These programs have contributed substantially, predominantly in previous years, to our growth and profitability. There can also be no assurance that in the future the Israeli government will continue to offer new grant and tax incentive programs applicable to us or that, if it does, such programs will provide the same level of benefits we have historically received or that we will continue to be eligible to benefit from them. Any significant increase in the Israeli tax rates or reduction or elimination of the Israeli grant programs that have benefited us could have an adverse impact on our results of operations.

We attempt to improve profitability by controlling labor costs, but these activities could result in labor unrest or considerable expense.

Historically, our primary labor cost controlling strategy was to transfer manufacturing operations to countries with lower production costs, such as the Czech Republic, Hungary, India, Israel, Malaysia, Mexico, the People's Republic of China, and the Philippines. We believe that our manufacturing footprint is suitable to serve our customers and end markets, while maintaining lower manufacturing costs. Except for the distinct and targeted restructuring programs announced in the fourth fiscal quarter of 2013, we do not anticipate further transferring any significant existing operations to lower-labor-cost countries; however, acquired operations may be transferred to lower-labor-cost countries when integrated into Vishay. Currently, our primary labor cost controlling strategy involves reducing hours and limiting the use of subcontractors and foundries when demand for our products decreases. Shifting operations to lower-labor-cost countries, reducing hours, or limiting the use of subcontractors and foundries could result in production inefficiencies, higher costs, and/or strikes or other types of labor unrest.

We are subject to foreign currency exchange rate risks which may impact our results of operations.

We are exposed to foreign currency exchange rate risks, particularly due to market values of transactions in currencies other than the functional currencies of certain subsidiaries. From time to time, we utilize forward contracts to hedge a portion of projected cash flows from these exposures. As of December 31, 2013, we did not have any outstanding foreign currency forward exchange contracts.

Our significant foreign subsidiaries are located in Germany, Israel, and Asia. We finance our operations in Europe and certain locations in Asia in local currencies. Our operations in Israel and most significant locations in Asia are largely financed in U.S. dollars, but these subsidiaries also have significant transactions in local currencies. Our exposure to foreign currency risk is mitigated to the extent that the costs incurred and the revenues earned in a particular currency offset one another. Our exposure to foreign currency risk is more pronounced in situations where, for example, production labor costs are predominantly paid in local currencies while the sales revenue for those products is denominated in U.S. dollars. This is particularly the case for products produced in Israel, the Czech Republic, and China.

A change in the mix of the currencies in which we transact our business could have a material effect on results of operations. Furthermore, the timing of cash receipts and disbursements could have a material effect on our results of operations, particularly if there are significant changes in exchange rates in a short period of time.

Approximately 98% of our cash and cash equivalents and short-term investments balances were held by our non-U.S. subsidiaries.

We generate a significant amount of cash and profits from our non-U.S. subsidiaries. As of December 31, 2013, $1,132 million of our cash and cash equivalents and short-term investments were held in countries outside of the United States. At the present time, we expect the cash and profits generated by foreign subsidiaries will continue to be reinvested outside of the United States indefinitely. Accordingly, no provision has been made for U.S. federal and state income taxes on these foreign earnings. If cash is needed to be repatriated to the United States, in addition to various foreign country laws regulating the exportation of the cash and profits, we would be subject to additional U.S. income taxes (subject to an adjustment for foreign tax credits), state income taxes, incremental foreign income taxes, and withholding taxes payable to various foreign countries.

-25-

Risks related to our capital structure

The holders of our Class B common stock have effective voting control of our company.

We have two classes of common stock: common stock and Class B common stock. The holders of common stock are entitled to one vote for each share held, while the holders of Class B common stock are entitled to 10 votes for each share held. At December 31, 2013, the holders of Class B common stock held approximately 47.3% of the voting power of Vishay.  The ownership of Class B common stock is highly concentrated, and holders of Class B common stock effectively can cause the election of directors and approve other actions as stockholders without the approval of our other stockholders.  As a result of the passing of our founder and former Executive Chairman, Dr. Felix Zandman, Mrs. Ruta Zandman (a member of our Board of Directors) controls the voting of, solely or on a shared basis with Marc Zandman (our Executive Chairman) and Ziv Shoshani (a member of our Board of Directors), approximately 89.4% of our Class B common stock, representing 42.4% of the total voting power of our capital stock as of December 31, 2013.

We have a staggered board of directors which could make a takeover of Vishay difficult.

Our staggered board of directors might discourage, delay, or prevent a change in control of our company by a third party and could discourage proxy contests and make it more difficult for stockholders to elect directors and take other corporate actions. Also, as a consequence of our staggered board, directors may not be removed without cause, even though a majority of stockholders may wish to do so.

Our reluctance to issue substantial additional shares in order not to dilute the interests of our existing stockholders could impede growth.

Our overall long-term business strategy has historically included a strong focus on acquisitions financed alternatively through cash on hand, the incurrence of indebtedness, and the issuance of equity, directly or indirectly by refinancing acquisition debt. We may in the future be presented with attractive investment or strategic opportunities that, because of their size and our financial condition at the time, would require the issuance of substantial additional amounts of our common stock. Some or all of our holders of Class B common stock may exert considerable influence over our policies, business and affairs, and in any corporate transaction or other matter, including those described above. If such opportunities were to arise, our Board of Directors may consider the potentially dilutive effect on the interests and voting power of our existing stockholders, including our Class B stockholders. Any resulting reluctance to issue additional shares could impede our future growth.

Our outstanding convertible debentures and exchangeable notes may impact the trading price of our common stock.

We believe that many investors in, and potential purchasers of, convertible or exchangeable debt instruments employ, or seek to employ, a convertible arbitrage strategy with respect to these instruments. Investors that employ a convertible arbitrage strategy with respect to convertible or exchangeable debt instruments typically implement that strategy by selling short the common stock underlying the convertible or exchangeable instrument and dynamically adjusting their short position while they hold the instrument. The implementation of this strategy by investors in our convertible debentures and exchangeable notes, as well as related market regulatory actions, could have a significant impact on the trading prices of our common stock, and the trading prices and liquidity of our convertible debentures and exchangeable notes. The price of our common stock and our convertible debentures and exchangeable notes could also be affected by possible sales of our common stock by investors who view our convertible debentures or exchangeable notes as more attractive means of equity participation in us.

-26-

Risks related to the spin-off of the Vishay Precision Group

If the VPG spin-off transaction is determined to be taxable for income tax purposes, we and our stockholders that are subject to U.S. federal, state or local income tax could incur substantial income tax liabilities.

The VPG spin-off transaction was conditioned upon Vishay's receipt of a private letter ruling from the Internal Revenue Service (the "IRS") and an opinion of tax counsel (the "Opinion") confirming that the VPG spin-off transaction should qualify as tax-free to us and our stockholders. The ruling and opinions rely on certain facts, assumptions, and representations from us regarding the past and future conduct of the companies' businesses and other matters. Any inaccuracy in these facts, assumptions, or representations could invalidate the ruling, and we and our stockholders could be subject to substantial income tax liabilities.

Notwithstanding the private letter ruling and Opinion, the IRS or state or local tax authorities (collectively with the IRS, the "Tax Authorities") could determine on audit that the VPG spin-off transaction should be treated as a taxable transaction if the Tax Authorities determine that any of these facts, assumptions, or representations are not correct or have been violated, or for other reasons, including as a result of significant changes in the stock ownership of our company or VPG after the spin-off.

Under the tax matters agreement between our company and VPG, VPG generally would be required to indemnify our company against its taxes resulting from the failure of the VPG spin-off transaction to qualify as tax-free ("Transaction Taxes") as a result of (i) any action by VPG or any of its affiliates following the completion of the spin-off that would reasonably be expected to prevent the spin-off from qualifying as a tax-free transaction to us and our stockholders (ii) any action by VPG or its affiliates following the completion of the spin-off that would be inconsistent with any material information or representation made in connection with the private letter ruling obtained by us from the IRS and/or with the Opinion or (iii) certain other actions taken by VPG. However, in the event that Transaction Taxes are incurred for any other reason, we would not be entitled to indemnification.

In addition, due to the potential impact of significant stock ownership changes on the taxability of the spin-off to us, we and VPG may determine not to enter into transactions that might otherwise be advantageous, such as issuing equity securities to satisfy financing needs or acquiring businesses or assets with equity securities, if such issuances would exceed certain thresholds and such actions could be considered part of a plan or series of related transactions that include the spin-off.

Vishay Precision Group is using the Vishay name under license from us, which could result in product and market confusion or the loss of certain of our rights to the Vishay name.

VPG has a worldwide, perpetual and royalty-free license from us to use the "Vishay" mark as part of its corporate name and in connection with the manufacture, sale, and marketing of the products and services that comprise its measurements and foil resistors businesses. The license of the Vishay name to VPG is important because we anticipate that the success of VPG will depend in no small measure on the reputation of the Vishay brand for these products and services built over many years. Nonetheless, there exists the risk that the use by VPG could cause confusion in the marketplace over the products of the two companies, that any negative publicity associated with a product or service of VPG following the spin-off could be mistakenly attributed to our company or that we could lose our own rights to the "Vishay" mark if we fail to impose sufficient controls on VPG's use of the mark.

-27-

General Economic and Business Risks

In addition to the risks relating specifically to our business, a variety of other factors relating to general conditions could cause actual results, performance, or achievements to differ materially from those expressed in any of our forward-looking statements. These factors include:

· overall economic and business conditions;
· competitive factors in the industries in which we conduct our business;
· changes in governmental regulation;
· changes in tax requirements, including tax rate changes, new tax laws, and revised tax law interpretations;
· changes in GAAP or interpretations of GAAP by governmental agencies and self-regulatory groups;
· interest rate fluctuations, foreign currency rate fluctuations, and other capital market conditions; and
· economic and political conditions in international markets, including governmental changes and restrictions on the ability to transfer capital across borders.

Our common stock, traded on the New York Stock Exchange, has in the past experienced, and may continue to experience, significant fluctuations in price and volume. We believe that the financial performance and activities of other publicly traded companies in the electronic component industry could cause the price of our common stock to fluctuate substantially without regard to our operating performance.

We operate in a continually changing business environment, and new factors emerge from time to time. Other unknown and unpredictable factors also could have a material adverse effect on our future financial condition and results of operations.


Item 1B.
UNRESOLVED STAFF COMMENTS

None.
-28-




Item 2.
PROPERTIES

At December 31, 2013, our business had 49 manufacturing locations. Our manufacturing facilities include owned and leased locations. Some locations include both owned and leased facilities in the same location. The list of manufacturing facilities below excludes manufacturing facilities that are presently idle due to our restructuring activities. See Note 4 to our consolidated financial statements for further information related to our restructuring efforts, as well as additional information in "Cost Management" included in Item 7, "Management's Discussion and Analysis of Financial Condition and Results of Operations."

In the opinion of management, our properties and equipment generally are in good operating condition and are adequate for our present needs. Owning many of our manufacturing facilities provides us meaningful financial and operating benefits, including long-term stability and a necessary buffer for economic downturns. We do not anticipate difficulty in renewing existing leases as they expire or in finding alternative facilities.

The principal locations of our owned manufacturing facilities, along with available space including administrative offices, are as follows:
Owned Locations
Business Segment
 
Approx. Available
Space (Square Feet)
 
 
 
 
United States
 
 
 
Santa Clara, CA
MOSFETs
 
227,000
Columbus, NE
Resistors & Inductors
 
158,000
Yankton, SD
Resistors & Inductors
 
58,000
Warwick, RI
Resistors & Inductors
 
55,000
Bennington, VT
Capacitors
 
54,000
Niagara Falls, NY
Resistors & Inductors
 
38,000
Marshall, MN
Resistors & Inductors
 
22,000
 
 
 
 
Non-U.S.
 
 
 
Israel
 
 
 
Dimona
Resistors & Inductors and Capacitors
 
404,000
Migdal Ha'Emek
Capacitors
 
288,000
Be'er Sheva
Resistors & Inductors and Capacitors
 
276,000
People's Republic of China
 
 
 
Tianjin
Diodes
 
374,000
Shanghai
Optoelectronic Components
 
195,000
Xi'an
MOSFETS and Diodes
 
121,000
Germany
 
 
 
Selb
Resistors & Inductors and Capacitors
 
306,000
Heide
Resistors & Inductors
 
161,000
Landshut
Capacitors
 
72,000
Fichtelberg
Resistors & Inductors
 
24,000
Czech Republic
 
 
 
Blatna
Capacitors
 
191,000
Dolni Rychnov
Resistors & Inductors and Capacitors
 
182,000
Prachatice
Resistors & Inductors
 
91,000
Volary
Resistors & Inductors
 
35,000
Melaka, Malaysia
Optoelectronic Components
 
480,000
Republic of China (Taiwan)
 
 
 
Taipei
Diodes
 
366,000
Kaohsiung
MOSFETs
 
52,000
France
 
 
 
Nice
Resistors & Inductors
 
215,000
Chateau Gontier
Resistors & Inductors
 
84,000
Hyeres
Resistors & Inductors
 
65,000
-29-

 
Owned Locations (continued)
Business Segment
 
Approx. Available
Space (Square Feet)
 
 
 
 
Loni, India
Resistors & Inductors and Capacitors
 
350,000
Zwolle, Netherlands
Capacitors
 
283,000
Famalicao, Portugal
Capacitors
 
167,000
Vocklabruck, Austria
Diodes
 
153,000
Manila, Philippines
Diodes and Optoelectronic Components
 
144,000
Turin, Italy
Diodes
 
127,000
Budapest, Hungary
Diodes
 
116,000
Juarez, Mexico
Resistors & Inductors
 
57,000

The principal locations of our leased manufacturing facilities, along with available space including administrative offices, are as follows:

Leased Locations
Business Segment
 
Approx. Available
Space (Square Feet)
 
 
 
 
                 United States
 
 
 
Ontario, CA
Resistors & Inductors
 
46,000
Milwaukee, WI
Resistors & Inductors
 
42,000
Dover, NH
Resistors & Inductors
 
35,000
Duluth, MN
Resistors & Inductors
 
10,000
 
 
 
 
Non-U.S.
 
 
 
People's Republic of China
 
 
 
Danshui
Capacitors
 
446,000
Shanghai
MOSFETS
 
217,000
Zhuhai
Resistors & Inductors
 
129,000
Klagenfurt, Austria
Capacitors
 
130,000
Juarez, Mexico
Resistors & Inductors
 
128,000
Germany
 
 
 
Itzehoe
MOSFETs
 
207,000
Heilbronn
Diodes and Optoelectronic Components
 
48,000
Mumbai, India
Diodes
 
34,000
Santo Domingo, Dominican Republic
Resistors & Inductors
 
16,000
Prestice, Czech Republic
Resistors & Inductors
 
13,000


Item 3.
LEGAL PROCEEDINGS

From time to time we are involved in routine litigation incidental to our business. Management believes that such matters, either individually or in the aggregate, should not have a material adverse effect on our business or financial condition.

Intellectual Property Matters

We are engaged in discussions with various parties regarding patent licensing and cross patent licensing issues. In addition, we have observed that in the current business environment, electronic component and semiconductor companies have become more aggressive in asserting and defending patent claims against competitors. We will continue to vigorously defend our intellectual property rights, and we may become party to disputes regarding patent licensing and cross patent licensing. An unfavorable outcome regarding one of these intellectual property matters could have a material adverse effect on our business and operating results.
-30-

When we believe other companies are misappropriating our intellectual property rights, we vigorously enforce those rights through legal action, and we intend to continue to do so. During the past few years, we settled several suits which we had initiated to enforce our intellectual property rights. We are receiving royalties on sales of these companies' products which use our technology. We are continuing to assert our legal rights against other parties which we believe are misappropriating our intellectual property rights.
 
Siliconix Stockholder Matters

Proctor Litigation

In January 2005, an amended class action complaint was filed in the Superior Court of California on behalf of all non-Vishay stockholders of Siliconix against Vishay, Ernst & Young LLP (the independent registered public accounting firm that audits the Company's financial statements), Dr. Felix Zandman, former Executive Chairman and Chief Technical and Business Development Officer of Vishay, and as a nominal defendant, Siliconix. The suit made various claims against Vishay and the other defendants for actions allegedly taken in respect of Siliconix during the period when Vishay owned an 80.4% interest in Siliconix. The action, which we refer to as the Proctor litigation on account of the lead plaintiff, sought injunctive relief and unspecified damages.

In May 2005, Vishay successfully completed a tender offer to acquire all shares of Siliconix that were not already owned by Vishay. Following the announcement of Vishay's intent to make this tender offer, several purported class-action complaints were filed in the Delaware Court of Chancery. These actions were consolidated into a single class action and a settlement agreement was reached with the plaintiffs, who effectively represented all non-Vishay stockholders of Siliconix. The settlement agreement was approved by the Delaware Court of Chancery in October 2005.

The plaintiffs in the Proctor litigation filed an amended complaint in the Superior Court of California in November 2005. In June 2006, the Delaware Court of Chancery issued a permanent injunction restraining the Proctor plaintiffs from prosecuting the Proctor action. An appeal of the injunction order brought by a former stockholder of Siliconix was dismissed by the Delaware Supreme Court in January 2007.

In June 2006, the Proctor litigation was removed from the Superior Court of California to federal District Court. The District Court granted a motion by Ernst & Young to dismiss the complaint and a motion by Vishay for summary judgment, effective October 15, 2007. The plaintiffs appealed to the Ninth Circuit Court of Appeals and on October 9, 2009, the Court of Appeals affirmed the dismissal of Proctor's class action claim and remanded the remaining two claims to state court. On July 26, 2011, the Superior Court dismissed the remaining claims against Vishay with prejudice. On September 20, 2011, the plaintiffs filed a notice of appeal. On December 11, 2012, the Court of Appeal of the State of California, Sixth Appellate District, heard oral arguments from the parties on the matter. On February 19, 2013, the Court of Appeal affirmed the Superior Court's dismissal of the remaining claims. On April 2, 2013 the plaintiffs filed a petition for review with the Supreme Court of the State of California requesting that the Supreme Court of California review the decision of the Court of Appeal of the State of California affirming the Superior Court's dismissal of the Proctor Litigation. Vishay opposed this petition. The Supreme Court of California denied the plaintiff's petition to review the case on June 12, 2013.

Environmental Matters

Vishay is involved in environmental remediation programs at various sites currently or formerly owned by Vishay and its subsidiaries both within and outside of the U.S., in addition to involvement as a potentially responsible party ("PRP") at Superfund sites. Certain obligations as a PRP have arisen in connection with business acquisitions. The remediation programs are on-going and the ultimate cost of site cleanup is difficult to predict given the uncertainties regarding the extent of the required cleanup, the interpretation of applicable laws and regulations, and alternative cleanup methods. See also Note 13 to our consolidated financial statements.
-31-




Item 4.
MINE SAFETY DISCLOSURES

None.

 EXECUTIVE OFFICERS OF THE REGISTRANT

The following table sets forth certain information regarding our executive officers as of February 19, 2014:

Name
Age
 
Positions Held
Marc Zandman*
52
 
Executive Chairman of the Board, Chief Business Development Officer, and President, Vishay Israel Ltd.
Dr. Gerald Paul*
65
 
Chief Executive Officer, President, and Director
Lori Lipcaman
55
 
Executive Vice President and Chief Financial Officer
Dieter Wunderlich
61
 
Executive Vice President and Chief Operating Officer
Johan Vandoorn
56
 
Executive Vice President and Chief Technical Officer
David Valletta
53
 
Executive Vice President Worldwide Sales
 
 
 
 
* Member of the Executive Committee of the Board of Directors.

Marc Zandman was appointed Executive Chairman of the Board and Chief Business Development Officer effective June 5, 2011. Mr. Zandman has served as a Director of Vishay since 2001 and President of Vishay Israel Ltd. since 1998. Mr. Zandman previously was Vice Chairman of the Board from 2003 to June 2011, and Chief Administration Officer from 2007 to June 2011. Mr. Zandman was Group Vice President of Vishay Measurements Group from 2002 to 2004. Mr. Zandman has served in various other capacities with Vishay since 1984. He is the son of the late Dr. Felix Zandman, Vishay's Founder. Mr. Zandman controls, on a shared basis with Ruta Zandman and Ziv Shoshani, approximately 31.2% of the total voting power of our capital stock as of December 31, 2013. He also is non-executive Chairman of Vishay Precision Group, Inc., an independent, publicly-traded company spun-off from Vishay Intertechnology in 2010.

Dr. Gerald Paul was appointed Chief Executive Officer effective January 1, 2005. Dr. Paul has served as a Director of the Company since 1993, and has been President of the Company since March 1998. Dr. Paul also was Chief Operating Officer from 1996 to 2006. Dr. Paul previously was an Executive Vice President of the Company from 1996 to 1998, and President of Vishay Electronic Components, Europe from 1994 to 1996. Dr. Paul has been Managing Director of Vishay Electronic GmbH, a subsidiary of the Company, since 1991. Dr. Paul has been employed by Vishay and a predecessor company since 1978.

Lori Lipcaman was appointed Executive Vice President and Chief Financial Officer of the Company effective September 1, 2011. Ms. Lipcaman had been appointed Executive Vice President Finance and Chief Accounting Officer in September 2008. Previously, she served as Vishay's Corporate Senior Vice President, Operations Controller, from March 1998 to September 2008. Prior to that, she served in various positions of increasing responsibility in finance and controlling since joining the Company in May 1989.

Dieter Wunderlich was appointed Executive Vice President and Chief Operating Officer effective August 1, 2011. Mr. Wunderlich has held various positions of increasing responsibility since Vishay's acquisition of Draloric Electronic GmbH ("Draloric") in 1987, including Executive Vice President – Semiconductors (2009 – 2012). Mr. Wunderlich's experience with Vishay includes worldwide or regional operations leadership roles within each of Vishay's five business reporting segments. Mr. Wunderlich had been employed by Draloric since 1975.

-32-


Johan Vandoorn was appointed Executive Vice President and Chief Technical Officer effective August 1, 2011.  Mr. Vandoorn is responsible for Vishay's technical development and internal growth programs. Mr. Vandoorn has held various positions of increasing responsibility since Vishay's acquisition of BCcomponents Holdings BV ("BCcomponents") in 2002, including Executive Vice President – Passive Components (2006 – 2012). Mr. Vandoorn had been Vice President – Global Operations of BCcomponents from 2000 until its acquisition by Vishay, and previously worked for Philips Components ("Philips") from 1980 until Philips sold the BCcomponents business to a private equity firm in 1998.

David Valletta serves as Vishay's Executive Vice President – Worldwide Sales, a position he has held since 2007. Mr. Valletta has held various positions of increasing responsibility since Vishay's acquisition of Vitramon in 1994. Prior to joining Vitramon, Mr. Valletta also worked for AVX Corporation. His experience with Vishay includes various positions within the Americas region in direct and distribution sales management and global sales responsibility for the Company's key strategic customers.


PART II

Item 5.
MARKET FOR REGISTRANT'S COMMON EQUITY, RELATED STOCKHOLDER MATTERS, AND ISSUER PURCHASES OF EQUITY SECURITIES

Our common stock is listed on the New York Stock Exchange under the symbol VSH. The following table sets forth the high and low sales prices for our common stock as reported on the New York Stock Exchange composite tape for the indicated fiscal quarters.  Holders of record of our common stock totaled approximately 1,100 at February 17, 2014. Because many of the shares of our common stock are held by brokers and other institutions on behalf of stockholders, we are unable to estimate the total number of beneficial owners represented by these stockholders of record.

The following table sets forth, for the indicated periods, the high and low sales prices of our common stock.

 
 
2013
 
 
 
2012
 
 
 
High
   
Low
 
 
 
High
   
Low
 
 
 
   
 
 
 
   
 
Fourth quarter
 
$
13.55
   
$
11.98
 
Fourth quarter
 
$
10.63
   
$
8.21
 
Third quarter
 
$
15.39
   
$
11.93
 
Third quarter
 
$
11.04
   
$
8.10
 
Second quarter
 
$
15.14
   
$
11.54
 
Second quarter
 
$
12.65
   
$
8.76
 
First quarter
 
$
13.98
   
$
10.19
 
First quarter
 
$
13.52
   
$
9.14
 

At February 17, 2014, we had outstanding 12,129,227 shares of Class B common stock, par value $.10 per share, each of which entitles the holder to ten votes. The Class B common stock generally is not transferable except in certain very limited instances, and there is no market for those shares. The Class B common stock is convertible, at the option of the holder, into common stock on a share for share basis.  As a result of the passing of our founder and former Executive Chairman, Dr. Felix Zandman, Mrs. Ruta Zandman (a member of our Board of Directors) controls the voting of, solely or on a shared basis with Marc Zandman (our Executive Chairman) and Ziv Shoshani (a member of our Board of Directors), approximately 89.4% of our Class B common stock, representing 42.4% of the total voting power of our capital stock.
 
On February 3, 2014, our Board of Directors instituted a quarterly dividend payment program and declared the first cash dividend in the history of Vishay.  The initial cash dividend of $0.06 per share of common stock and Class B common stock will be paid on March 27, 2014 to stockholders of record at the close of business on March 3, 2014.  The amount and timing of any future dividends remains subject to authorization of our Board of Directors.  Certain of our debt obligations contain restrictions as to the payment of cash dividends.  See "Financial Condition, Liquidity, and Capital Resources" included in Item 7, "Management's Discussion and Analysis of Financial Condition and Results of Operations."

-33-

Stock Performance Graph

The line graph below compares the cumulative total stockholder return on Vishay's common stock over a 5-year period with the returns on the Standard & Poor's MidCap 400 Stock Index (of which Vishay is a component), the Standard & Poor's 500 Stock Index, and a peer group of companies selected by our management. The peer group is made up of five publicly-held manufacturers of semiconductors, resistors, capacitors, and other electronic components.*  Management believes that the product offerings of the companies contained in the peer group are more similar to our product offerings than those of the companies contained in any published industry index. The return of each peer issuer has been weighted according to the respective issuer's stock market capitalization. The line graph assumes that $100 had been invested at December 31, 2008 and assumes that all dividends were reinvested.  The cash equivalent of the shares received in the spin-off of VPG is included in Vishay's results below.

 
Base
 
Years Ending December 31,
 
Period
 
 
 
 
 
 
 
 
 
 
Company Name / Index
2008
 
2009
 
2010
 
2011
 
2012
 
2013
 
 
 
 
 
 
 
 
 
 
 
 
Vishay Intertechnology, Inc.
100
 
244.15
 
466.69
 
285.80
 
337.94
 
421.55
S&P 500 Index
100
 
126.46
 
145.51
 
148.59
 
172.37
 
228.19
S&P MidCap 400 Index
100
 
137.38
 
173.98
 
170.96
 
201.53
 
269.04
Peer Group*
100
 
200.94
 
257.63
 
194.98
 
184.01
 
219.66
___________
* AVX Corporation, Fairchild Semiconductor International Inc., International Rectifier Corporation, KEMET Corporation, and ON Semiconductor Corporation.




-34-



Item 6.
SELECTED FINANCIAL DATA

The following table sets forth selected consolidated financial information as of and for the fiscal years ended December 31, 2013, 2012, 2011, 2010, and 2009. This table should be read in conjunction with our consolidated financial statements and the related notes thereto included elsewhere in this Form 10-K (in thousands, except per share amounts):
 
 
As of and for the years ended December 31,
 
 
 
2013 (1)
   
2012 (2)
   
2011 (3)
   
2010 (4)
   
2009 (5)
 
 
 
   
   
   
   
 
Statement of Operations Data:
 
   
   
   
   
 
Net revenues
 
$
2,370,979
   
$
2,230,097
   
$
2,594,029
   
$
2,725,092
   
$
2,042,033
 
Costs of products sold
   
1,803,719
     
1,703,424
     
1,874,043
     
1,917,607
     
1,653,872
 
Gross profit
   
567,260
     
526,673
     
719,986
     
807,485
     
388,161
 
 
                                       
Selling, general, and administrative expenses
   
368,542
     
349,625
     
367,623
     
389,547
     
359,162
 
Restructuring and severance costs
   
2,814
     
-
     
-
     
-
     
37,874
 
Executive compensation charges (credit)
   
(1,778
)
   
-
     
5,762
     
-
     
57,824
 
Gain on sale of property
   
-
     
(12,153
)
   
-
     
-
     
-
 
Asset write-downs
   
-
     
-
     
-
     
-
     
681
 
Unusual items
   
-
     
-
     
-
     
-
     
(28,195
)
Operating income (loss)
   
197,682
     
189,201
     
346,601
     
417,938
     
(39,185
)
 
                                       
Other income (expense)
                                       
Interest expense
   
(23,130
)
   
(22,604
)
   
(19,277
)
   
(11,036
)
   
(10,321
)
Other
   
1,853
     
3,440
     
3,792
     
(1,369
)
   
9,791
 
Total other income (expense)
   
(21,277
)
   
(19,164
)
   
(15,485
)
   
(12,405
)
   
(530
)
 
                                       
Income (loss) before taxes and noncontrolling interest
   
176,405
     
170,037
     
331,116
     
405,533
     
(39,715
)
Income taxes
   
52,636
     
46,506
     
91,119
     
45,240
     
16,800
 
Net earnings (loss)
   
123,769
     
123,531
     
239,997
     
360,293
     
(56,515
)
Noncontrolling interest
   
789
     
793
     
1,176
     
1,187
     
673
 
Net earnings (loss) attributable to Vishay stockholders
 
$
122,980
   
$
122,738
   
$
238,821
   
$
359,106
   
$
(57,188
)
 
                                       
Basic earnings (loss) per share attributable to Vishay stockholders:
 
$
0.85
   
$
0.82
   
$
1.49
   
$
1.96
   
$
(0.31
)
 
                                       
Diluted earnings (loss) per share attributable to Vishay stockholders:
 
$
0.81
   
$
0.79
   
$
1.42
   
$
1.89
   
$
(0.31
)
 
                                       
Weighted average shares outstanding – basic
   
144,856
     
149,020
     
160,094
     
183,618
     
186,605
 
Weighted average shares outstanding – diluted
   
151,417
     
155,844
     
168,514
     
190,227
     
186,605
 
 
                                       
Balance Sheet Data:
                                       
Total assets
 
$
3,237,139
   
$
3,016,277
   
$
2,993,730
   
$
2,966,093
   
$
2,719,546
 
Long-term debt, less current portion
   
364,911
     
392,931
     
399,054
     
431,682
     
320,052
 
Working capital
   
1,531,615
     
1,379,093
     
1,390,888
     
1,267,343
     
1,000,042
 
Total Vishay stockholders' equity
   
1,872,756
     
1,623,328
     
1,603,006
     
1,491,731
     
1,516,446
 
_________________________________________________________
-35-


(1)   Includes the results of MCB Industrie, from June 13, 2013. Also includes a net pretax reversal of stock-based compensation expense recognized for the performance-based RSUs scheduled to vest on January 1, 2014, which were originally reported as a separate line item upon the cessation of employment of certain former executive officers in 2011 of $1,778,000, a $2,867,000 one-time tax benefit due to a new law enacted in Israel in July 2013 which effectively increases the corporate income tax rate on certain types of income earned after January 1, 2014, and, therefore, increases our deferred tax assets, a $1,330,000 one-time tax benefit due to the retroactive enactment of the American Taxpayer Relief Act of 2012 that was signed into law on January 2, 2013, partially offset by $2,814,000 of restructuring and severance costs. These items, net of their related tax consequences, had a positive $0.02 effect on earnings per share attributable to Vishay stockholders. These items are more fully described in the notes to the consolidated financial statements.
(2)   Includes the results of HiRel Systems LLC from January 13, 2012. Also includes net pretax gain on the sale of property in Belgium vacated as a result of restructuring in prior years of $12,153,000 and a $4,036,000 one-time tax benefit related to the release of deferred tax valuation allowances in Israel following a merger of several of our wholly-owned subsidiaries in Israel which will allow for the realization of these tax benefits. These items, net of their related tax consequences, had a positive $0.08 effect on earnings per share attributable to Vishay stockholders. These items are more fully described in the notes to the consolidated financial statements.
(3) Includes the results of the resistor businesses of Huntington Electric from September 28, 2011. Also includes net pretax charges of $5,762,000 to accelerate the recognition of certain executive compensation expenses upon the passing of our founder and former Executive Chairman of the Board, Dr. Zandman, and for elements of executive compensation payable upon the resignation of our former Chief Financial Officer, Dr. Lior Yahalomi. Also includes $10,024,000 of one-time tax expense related to the write-down of deferred tax assets in Israel to reflect the lower corporate income tax rate enacted in January 2011 on certain types of income earned after December 31, 2010 and $6,538,000 of one-time tax benefits recorded in the fourth fiscal quarter primarily related to the release of deferred tax valuation allowances in various jurisdictions. These items, net of their related tax consequences, had a negative $0.04 effect on earnings per share attributable to Vishay stockholders. These items are more fully described in the notes to the consolidated financial statements.
(4) Includes the results of operations of VPG through the date of the spin-off, July 6, 2010. VPG contributed $101,089,000 of net revenues, $9,716,000 of income before taxes, $5,811,000 of net earnings attributable to Vishay stockholders, and $0.03 per diluted share attributable to Vishay stockholders to our results in 2010. Also includes a $59,484,000 one-time tax benefit recorded in the fourth fiscal quarter of 2010, which had a $0.31 effect on earnings per share attributable to Vishay stockholders.
(5) Includes net pretax charges of $96,379,000 for restructuring and severance costs, asset write-downs, and executive compensation charges. These charges were partially offset by a $28,195,000 settlement agreement gain. These items, net of their related tax consequences, had a negative $0.33 effect on earnings per share attributable to Vishay stockholders. VPG contributed $171,991,000 of net revenues, $6,778,000 of income before taxes, $1,704,000 of net earnings attributable to Vishay stockholders, and $0.01 per share attributable to Vishay stockholders to our results in 2009.

Management believes that stating the impact on net earnings of items such as businesses that have been spun off, restructuring and severance costs, executive compensation charges (credits), material gains and losses on sales of property, asset write-downs, special tax items, and other items is meaningful to investors because it provides insight with respect to intrinsic operating results of the Company.
-36-




Item 7.
MANAGEMENT'S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION AND RESULTS OF OPERATIONS

Overview

Vishay Intertechnology, Inc. is a global manufacturer and supplier of semiconductors and passive components, including power MOSFETs, power integrated circuits, transistors, diodes, optoelectronic components, resistors, capacitors, and inductors. Discrete semiconductors and passive components manufactured by Vishay are used in virtually all types of electronic products, including those in the industrial, computing, automotive, consumer electronic products, telecommunications, power supplies, military/aerospace, and medical industries.

We operate in five product segments, MOSFETs, Diodes, Optoelectronic Components, Resistors & Inductors, and Capacitors.

Since 1985, we have pursued a business strategy of growth through focused research and development and acquisitions. Through this strategy, we have grown to become one of the world's largest manufacturers of discrete semiconductors and passive components. We expect to continue our strategy of acquisitions while also maintaining a prudent capital structure.

We are focused on enhancing stockholder value and improving earnings per share. In addition to our growth plan, we also have opportunistically repurchased our stock. We have repurchased 44.3 million shares of our common stock since the fourth fiscal quarter of 2010, representing 24% of our shares outstanding before we began this initiative. The exchange of $56.4 million principal amount of our exchangeable unsecured notes by a holder of the notes in the third fiscal quarter of 2013 increased the number of our common shares outstanding by 3.7 million, but did not affect the number of weighted average shares outstanding used for computing diluted earnings per share because our earnings per share computation assumes that the exchangeable unsecured notes would be converted. On February 3, 2014, our Board of Directors instituted a quarterly dividend payment program and declared the first cash dividend in the history of Vishay.  The permitted capacity to repurchase shares of stock or pay dividends under our credit facility increases each quarter by an amount equal to 20% of net income. At December 31, 2013, our total permitted capacity to repurchase shares of stock or pay dividends under our credit facility is $204.6 million. Although we have no current plans, we will continue to evaluate attractive stock repurchase opportunities.

Our business and operating results have been and will continue to be impacted by worldwide economic conditions. Our revenues are dependent on end markets that are impacted by consumer and industrial demand, and our operating results can be adversely affected by reduced demand in those global markets.  We continue to monitor the current economic environment and its potential effects on our customers and the end markets that we serve. Additionally, we continue to closely monitor our costs, inventory, and capital resources to respond to changing conditions and to ensure we have the management, business processes, and resources to meet our future needs. In response to the current economic environment, we began implementing a targeted cost reduction program in the fourth fiscal quarter of 2013 to support our profitability without jeopardizing our growth plan. See additional information regarding our competitive strengths and key challenges as disclosed in Part 1.

We utilize several financial metrics, including net revenues, gross profit margin, segment operating income, end-of-period backlog, book-to-bill ratio, inventory turnover, change in average selling prices, net cash and short-term investments (debt), and free cash generation to evaluate the performance and assess the future direction of our business. (See further discussion in "Financial Metrics" and "Financial Condition, Liquidity, and Capital Resources.")  Despite the higher net revenues in the second half of 2013, it did not meet management's expectations and nearly all of the remaining key financial metrics were lower compared to the first half of 2013.  The year 2013 was slightly stronger than the year 2012, which resulted in an increase of nearly all key financial metrics compared with the prior year.
-37-

Net revenues for the year ended December 31, 2013 were $2.371 billion, compared to net revenues of $2.230 billion and $2.594 billion for the years ended December 31, 2012 and 2011, respectively. The net earnings attributable to Vishay stockholders for the year ended December 31, 2013 were $123.0 million, or $0.81 per diluted share, compared to net earnings attributable to Vishay stockholders of $122.7 million, or $0.79 per diluted share, and $238.8 million, or $1.42 per diluted share, for the years ended December 31, 2012 and 2011, respectively.

The results of operations for the years ended December 31, 2013, 2012, and 2011 include items affecting comparability as listed in the reconciliation below. The reconciliation below includes certain financial measures which are not recognized in accordance with GAAP, including adjusted net earnings and adjusted net earnings per share. These non-GAAP measures should not be viewed as an alternative to GAAP measures of performance. Non-GAAP measures such as adjusted net earnings and adjusted net earnings per share do not have uniform definitions. These measures, as calculated by Vishay, may not be comparable to similarly titled measures used by other companies. Management believes that these measures are meaningful because they provide insight with respect to our intrinsic operating results. Reconciling items to arrive at adjusted net earnings represent significant charges or credits that are important to understanding our intrinsic operations.

The items affecting comparability are (in thousands, except per share amounts):

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
GAAP net earnings attributable to Vishay stockholders
 
$
122,980
   
$
122,738
   
$
238,821
 
 
                       
Reconciling items affecting operating margin:
                       
Restructuring and severance costs
 
$
2,814
   
$
-
   
$
-
 
Executive compensation charges (credit)
   
(1,778
)
   
-
     
5,762
 
Gain on sale of property
   
-
     
(12,153
)
   
-
 
 
                       
Reconciling items affecting tax expense (benefit):
                       
Tax effects of items above and other one-time tax expense (benefit)
 
$
(4,552
)
 
$
95
   
$
1,383
 
 
                       
Adjusted net earnings
 
$
119,464
   
$
110,680
   
$
245,966
 
 
                       
Adjusted weighted average diluted shares outstanding
   
151,417
     
155,844
     
168,514
 
 
                       
Adjusted earnings per diluted share *
 
$
0.79
   
$
0.71
   
$
1.46
 

* Includes add-back of interest on exchangeable notes in periods where the notes are dilutive.

Our results for 2013 and 2012 demonstrate our ability to react quickly to changing economic environments and successfully implement cost reduction measures when necessary to sustain earnings.  Despite revenues below our expected run-rate, our pre-tax results were as we would expect based on our business model.  Our results for the year ended December 31, 2011 were also affected by macroeconomic concerns, which reduced demand for our products in the last six fiscal months of the year.  This period of macroeconomic concern followed a period of favorable business conditions through the first six fiscal months of 2011 in which we achieved significantly higher annualized earnings than before the beginning of the 2008-2009 global economic recession at the same sales volume.
-38-

Financial Metrics

We utilize several financial metrics to evaluate the performance and assess the future direction of our business. These key financial measures and metrics include net revenues, gross profit margin, operating margin, segment operating income, end-of-period backlog, and the book-to-bill ratio. We also monitor changes in inventory turnover and average selling prices ("ASP").

Gross profit margin is computed as gross profit as a percentage of net revenues. Gross profit is generally net revenues less costs of products sold, but also deducts certain other period costs, particularly losses on purchase commitments and inventory write-downs. Losses on purchase commitments and inventory write-downs have the impact of reducing gross profit margin in the period of the charge, but result in improved gross profit margins in subsequent periods by reducing costs of products sold as inventory is used. Gross profit margin is clearly a function of net revenues, but also reflects our cost management programs and our ability to contain fixed costs.

Operating margin is computed as gross profit less operating expenses as a percentage of net revenues. We evaluate business segment performance on segment operating margin. Only dedicated, direct selling, general, and administrative expenses of the segments are included in the calculation of segment operating income. Segment operating margin is computed as operating income less items such as restructuring and severance costs, asset write-downs, goodwill and indefinite-lived intangible asset impairments, inventory write-downs, gain or losses on purchase commitments, global operations, sales and marketing, information systems, finance and administrative groups, and other items, expressed as a percentage of net revenues. We believe that evaluating segment performance excluding such items is meaningful because it provides insight with respect to intrinsic operating results of the segment. Operating margin is clearly a function of net revenues, but also reflects our cost management programs and our ability to contain fixed costs.

End-of-period backlog is one indicator of future revenues. We include in our backlog only open orders that we expect to ship in the next twelve months. If demand falls below customers' forecasts, or if customers do not control their inventory effectively, they may cancel or reschedule the shipments that are included in our backlog, in many instances without the payment of any penalty. Therefore, the backlog is not necessarily indicative of the results to be expected for future periods.

An important indicator of demand in our industry is the book-to-bill ratio, which is the ratio of the amount of product ordered during a period as compared with the product that we ship during that period. A book-to-bill ratio that is greater than one indicates that our backlog is building and that we are likely to see increasing revenues in future periods. Conversely, a book-to-bill ratio that is less than one is an indicator of declining demand and may foretell declining revenues.

We focus on our inventory turnover as a measure of how well we are managing our inventory. We define inventory turnover for a financial reporting period as our costs of products sold for the four fiscal quarters ending on the last day of the reporting period divided by our average inventory (computed using each fiscal quarter-end balance) for this same period. A higher level of inventory turnover reflects more efficient use of our capital.

Pricing in our industry can be volatile. We analyze trends and changes in average selling prices to evaluate likely future pricing. The erosion of average selling prices of established products is typical for semiconductor products.  We attempt to offset this deterioration with ongoing cost reduction activities and new product introductions.  Our specialty passive components are more resistant to average selling price erosion.
-39-

The quarter-to-quarter trends in these financial metrics can also be an important indicator of the likely direction of our business. The following table shows net revenues, gross profit margin, operating margin, end-of-period backlog, book-to-bill ratio, inventory turnover, and changes in ASP for our business as a whole during the five fiscal quarters beginning with the fourth fiscal quarter of 2012 through the fourth fiscal quarter of 2013 (dollars in thousands):

 
 
4th Quarter
2012
   
1st Quarter 2013
   
2nd Quarter 2013
   
3rd Quarter
2013
   
4th Quarter 2013
 
 
 
   
   
   
   
 
Net revenues
 
$
530,570
   
$
554,254
   
$
597,665
   
$
602,890
   
$
616,170
 
 
                                       
Gross profit margin
   
20.5
%
   
24.7
%
   
23.9
%
   
23.8
%
   
23.4
%
 
                                       
Operating margin (1)
   
4.1
%
   
8.2
%
   
8.7
%
   
8.8
%
   
7.6
%
 
                                       
End-of-period backlog (2)
 
$
506,000
   
$
578,100
   
$
646,700
   
$
613,800
   
$
611,400
 
 
                                       
Book-to-bill ratio
   
0.95
     
1.14
     
1.08
     
0.93
     
0.99
 
 
                                       
Inventory turnover
   
3.99
     
4.04
     
4.21
     
4.08
     
4.23
 
 
                                       
Change in ASP vs. prior quarter
   
-1.6
%
   
-0.8
%
   
-1.1
%
   
-0.6
%
   
-0.7
%
_______________
(1) Operating margin for the second fiscal quarter of 2013 includes a $1.8 million stock compensation credit related to performance-based stock compensation for certain former executives, following a determination that achievement of the three-year performance targets was no longer probable (see Note 12 to our consolidated financial statements). Operating margin for the fourth fiscal quarter of 2013 includes a $2.8 million restructuring and severance expense recorded in the fourth fiscal quarter of 2013 (see Note 4 to our consolidated financial statements).
(2) End-of-period backlog for the second fiscal quarter of 2013 reflects a total of $15.5 million related to the backlog of MCB Industrie S.A. as of the date of acquisition.

See "Financial Metrics by Segment" below for net revenues, book-to-bill ratio, and gross profit margin broken out by segment.

Following a period of low distributor demand and a deteriorating business environment experienced in the second half of 2012, our results improved through the first half of 2013, driven by the restocking of distributor inventory and improving customer demand.  The third fiscal quarter of 2013 was burdened by a sudden decrease in orders from distributors and produced disappointing results, but orders from distributors increased in the fourth fiscal quarter, which led to an increase in revenues and backlog versus the prior fiscal quarter and prior year periods.  Average selling prices continue to decline primarily due to our commodity semiconductor products.

Gross margins were negatively impacted by additional depreciation associated with our cost reduction programs in the fourth fiscal quarter of 2013. Gross margins improved versus the prior year periods due to the increased sales volume.

Due to the increase in orders, the book-to-bill ratio increased to 0.99 in the fourth fiscal quarter of 2013 from 0.93 in the third fiscal quarter of 2013.  The book-to-bill ratios for distributors and original equipment manufacturers ("OEM") were 0.98 and 0.99, respectively, versus ratios of 0.91 and 0.96, respectively, during the third fiscal quarter of 2013.
-40-

Financial Metrics by Segment

The following table shows net revenues, book-to-bill ratio, gross profit margin, and segment operating margin broken out by segment for the five fiscal quarters beginning with the fourth fiscal quarter of 2012 through the fourth fiscal quarter of 2013 (dollars in thousands):


 
 
4th Quarter 2012
   
1st Quarter 2013
   
2nd Quarter 2013
   
3rd Quarter 2013
   
4th Quarter 2013
 
 
 
   
   
   
   
 
MOSFETs
 
   
   
   
   
 
Net revenues
 
$
104,156
   
$
100,888
   
$
115,563
   
$
115,168
   
$
117,858
 
 
                                       
Book-to-bill ratio
   
0.90
     
1.22
     
1.11
     
0.94
     
0.96
 
 
                                       
Gross profit margin
   
9.6
%
   
12.8
%
   
14.2
%
   
13.7
%
   
12.1
%
 
                                       
Segment operating margin
   
0.1
%
   
2.8
%
   
4.9
%
   
4.6
%
   
4.5
%
 
                                       
Diodes
                                       
Net revenues
 
$
116,494
   
$
125,112
   
$
140,623
   
$
140,790
   
$
140,739
 
 
                                       
Book-to-bill ratio
   
1.01
     
1.28
     
1.17
     
0.88
     
0.98
 
 
                                       
Gross profit margin
   
17.3
%
   
21.8
%
   
22.3
%
   
23.0
%
   
21.4
%
 
                                       
Segment operating margin
   
12.2
%
   
17.1
%
   
18.0
%
   
18.6
%
   
16.8
%
 
                                       
Optoelectronic Components
                                       
Net revenues
 
$
50,267
   
$
56,226
   
$
58,397
   
$
56,847
   
$
56,775
 
 
                                       
Book-to-bill ratio
   
1.03
     
1.08
     
1.00
     
0.87
     
1.05
 
 
                                       
Gross profit margin
   
32.8
%
   
35.2
%
   
32.8
%
   
35.5
%
   
31.1
%
 
                                       
Segment operating margin
   
25.8
%
   
28.8
%
   
26.6
%
   
29.0
%
   
24.7
%
 
                                       
Resistors & Inductors
                                       
Net revenues
 
$
153,200
   
$
165,866
   
$
171,333
   
$
178,175
   
$
190,874
 
 
                                       
Book-to-bill ratio
   
0.94
     
1.07
     
1.04
     
1.04
     
0.95
 
 
                                       
Gross profit margin
   
28.4
%
   
31.7
%
   
31.7
%
   
30.4
%
   
31.9
%
 
                                       
Segment operating margin
   
23.1
%
   
26.6
%
   
26.6
%
   
25.3
%
   
27.1
%
 
                                       
Capacitors
                                       
Net revenues
 
$
106,453
   
$
106,162
   
$
111,749
   
$
111,910
   
$
109,924
 
 
                                       
Book-to-bill ratio
   
0.93
     
1.06
     
1.05
     
0.84
     
1.07
 
 
                                       
Gross profit margin
   
17.5
%
   
22.8
%
   
19.2
%
   
18.6
%
   
19.6
%
 
                                       
Segment operating margin
   
12.2
%
   
17.4
%
   
13.9
%
   
13.3
%
   
14.2
%
__________
-41-

Acquisition and Divestiture Activity

As part of our growth strategy, we seek to expand through targeted acquisitions of other manufacturers of electronic components that have established positions in major markets, reputations for product quality and reliability, and product lines with which we have substantial marketing and technical expertise. This includes exploring opportunities to acquire targets to gain market share, penetrate different geographic markets, enhance new product development, round out our existing product lines, or grow our high margin niche market businesses. Acquisitions of passive components businesses would likely be made to strengthen and broaden our position as a specialty product supplier; acquisitions of discrete semiconductor businesses would be made to increase market share and to generate synergies. To limit our financial exposure, we have implemented a policy not to pursue acquisitions if our post-acquisition debt would exceed 2.5x our pro forma earnings before interest, taxes, depreciation, and amortization ("EBITDA"). For these purposes, we calculate pro forma EBITDA as the adjusted EBITDA of Vishay and the target for Vishay's four preceding fiscal quarters, with a pro forma adjustment for savings which management estimates would have been achieved had the target been acquired by Vishay at the beginning of the four fiscal quarter period.

Our growth plan targets adding, through acquisitions, an average of approximately $100 million of revenues per year.  Depending on the opportunities available, we might make several smaller acquisitions or a few larger acquisitions. We intend to make such acquisitions using mainly cash, rather than debt or equity, although we do have capacity under our revolving credit facility if necessary. We are not currently targeting acquisitions with a purchase price larger than $500 million.

There is no assurance that we will be able to identify and acquire additional suitable acquisition candidates at price levels and on terms and conditions we consider acceptable.

2013 Activities

On June 13, 2013, we acquired MCB Industrie S.A. ("MCB Industrie") in France, a well-established manufacturer of specialty resistors and sensors, for $23.0 million, net of cash acquired. The products and technology portfolio acquired is expected to enable us to expand our presence in the European industrial market. For financial reporting purposes, the results of operations for this business have been included in the Resistors & Inductors segment from June 13, 2013.

2012 Activities

On January 13, 2012, we acquired HiRel Systems LLC, a leading supplier of high reliability transformers, inductors, coils, and power conversion products, for approximately $85.5 million. The products and technology portfolio acquired further enhance our inductors portfolio, particularly in the field of custom magnetics for medical, military, aerospace and aviation, and applications in the industrial and commercial field such as renewable energy and test and measurement equipment.  For financial reporting purposes, the results of operations for this business have been included in the Resistors & Inductors segment from January 13, 2012.

2011 Activities

On September 28, 2011, we acquired the resistor businesses of Huntington Electric, Inc., for approximately $19.3 million. The businesses acquired further enhance our broad resistor portfolio, particularly in the high power and high current ranges, as well as with resistor assemblies for industrial applications. For financial reporting purposes, the results of operations for these businesses have been included in the Resistors & Inductors segment from September 28, 2011.
 
 
-42-

Cost Management

We place a strong emphasis on controlling our costs.

The erosion of average selling prices of established products, particularly our semiconductor products, that is typical of our industry and inflation drive us to continually seek ways to reduce our variable costs. Our variable cost reduction efforts include expending capital to increase automation and maximize the efficiency in our production facilities, consolidating materials purchasing across regions and divisions to achieve economies of scale, materials substitution, maintaining an appropriate mix of in-house production and subcontractor production, increasing wafer size and shrinking dies to maximize efficiency in our semiconductor production processes, and other yield improvement activities.

Our cost management strategy also includes a focus on controlling fixed costs.  We seek to maintain selling, general, and administrative expenses at current quarterly levels, excluding foreign currency exchange effects and substantially independent of sales volume changes. Our fixed cost control efforts include automating administrative processes through the expansion of IT systems, gradually migrating to common IT systems across our organization, streamlining our legal entity structure, and reducing our external resource needs by utilizing more cost-effective in-house personnel, while utilizing external resources when day-to-day expertise is not required in-house.

Historically, our primary cost reduction technique was through the transfer of production to the extent possible from high-labor-cost countries, such as the United States and Western Europe, to lower-labor-cost countries, such as the Czech Republic, Hungary, Israel, India, Malaysia, Mexico, the People's Republic of China, and the Philippines.  Between 2001 and 2009, we recorded, in the consolidated statements of operations, restructuring and severance costs totaling $320 million and related asset write-downs totaling $89 million in order to reduce our cost structure going forward. We also incurred significant costs to restructure and integrate acquired businesses, which was included in the cost of the acquisitions under then-applicable GAAP.

We did not initiate any new restructuring projects in 2010, 2011, or 2012 and thus did not record any restructuring and severance expenses during such periods. Occasionally, our ongoing cost containment activities are not adequate and we must take actions to maintain our cost competitiveness. On October 28, 2013, we announced various cost reduction programs as part of our continuous efforts to improve efficiency and operating performance. We recorded $2.8 million of restructuring and severance expenses in the fourth fiscal quarter of 2013 for the expenses that were recognizable under GAAP during the period. The remaining expenses associated with the programs will be recorded as they become recognizable under GAAP.

The programs primarily focus on a plan to enhance the competitiveness of our MOSFETs segment and a voluntary separation / early retirement offer to certain employees Company-wide. We also plan to implement two other smaller cost reduction programs concerning the manufacturing of products within our Diodes segment. The programs in total are expected to lower costs by approximately $36 million per year when fully implemented at expected cash costs of approximately $32 million.

The project for the MOSFETs segment will extend over a period of approximately two years. The manufacture of wafers for a substantial share of products will be transferred into a more cost-efficient fab. As a consequence, certain other wafer manufacturing currently occurring in-house will be transferred to third-party foundries.

The total cash costs associated with the MOSFETs initiatives, principally severance, are expected to be approximately $16 million. Once fully implemented, we anticipate that the MOSFETs programs will result in an annual reduction in variable and fixed manufacturing costs of approximately $23 million at current volumes.

-43-

The voluntary separation / early retirement offer has been made to employees worldwide who are eligible because they have met job classification, age, and/or years-of-service criteria as of October 31, 2013. The program benefits vary by country and job classification, but generally offer a cash loyalty bonus. All responses are due, subject to applicable rescission rights, on or before March 28, 2014. Accodingly, we expect most costs associated with this program will be recorded in the first fiscal quarter of 2014.  The voluntary separation / early retirement program will not impact manufacturing operations or our growth plan. Our named executive officers (as defined in our proxy statement) and certain other key employees, generally research, development, and engineering personnel, are not eligible for the voluntary separation / early retirement program. The effective separation / retirement date for most eligible employees who accept the offer will be June 30, 2014 or earlier, with a few exceptions to allow for a transition period.

As expected, as of December 31, 2013, only a limited number of employees have tendered irrevocable voluntary termination notices. We have received satisfactory expressions of interest and we expect most formal responses to be received closer to the March 28 deadline.

We estimate that total costs associated with the voluntary separation / early retirement program will be approximately $13 million, based on the expected acceptance rate. Once fully implemented, the Company anticipates that the program will result in an annual reduction in fixed costs of approximately $10 million, split approximately one-third in manufacturing and two-thirds in selling, general, and administrative expenses.

Two other smaller cost reduction programs relate to the transfer of production of certain products within our Diodes segment, which will be implemented in the course of 2014. Both programs are connected to production moves, in order to take advantage of lower labor costs in one program and from the consolidation of manufacturing locations in the other. The total cash costs associated with these production transfers are expected to be approximately $3 million, and will result in annual cost savings of approximately $3 million when fully implemented.

We believe that our manufacturing footprint is suitable to serve our customers and end markets, while maintaining lower manufacturing costs. Except for the distinct and targeted programs noted above, we do not anticipate any other material restructuring activities during the remainder of 2013 or 2014. As we have demonstrated the past two years, we believe that we can substantially maintain our trained workforce, even at lower manufacturing activity levels, by reducing hours and limiting the use of subcontractors and foundries. However, a continued sluggish business environment for the electronics industry or the recurrence of a significant economic downturn may require us to implement additional restructuring initiatives.

Our long-term strategy includes growth through the integration of acquired businesses, and GAAP requires plant closure and employee termination costs that we incur in connection with our acquisition activities to be recorded as expenses in our consolidated statement of operations, as such expenses are incurred. We have not incurred any material plant closure or employee termination costs related to our acquisitions of Huntington Electric, HiRel Systems, LLC, or MCB Industrie, but we expect to have some level of future restructuring expenses due to acquisitions.

Even as we seek to manage our costs, we continue to pursue our growth plans through investing in capacities for strategic product lines, and through increasing our resources for R&D, technical marketing, and field application engineering; supplemented by opportunistic acquisitions of specialty businesses.
-44-

Growth Plan
We are focused on enhancing stockholder value and improving earnings per share by growing our business and opportunistically repurchasing our stock. We plan to grow our business through intensified internal growth supplemented by opportunistic acquisitions, while at the same time maintaining a prudent capital structure. To foster intensified internal growth, we have increased our R&D and engineering technical staff by 18% since 2009 and plan to further increase it; we are expanding critical manufacturing capacities; we are increasing our technical field sales force in Asia by about 25% to increase our market access to the industrial segment and increase the design-in of our products in local markets; and we are directing increased funding and focus on developing products to capitalize on the connectivity, mobility, and sustainability growth drivers of our business.  These efforts as well as our broad and innovative product portfolio and strong position in distribution worldwide have us positioned very well in case of a dramatic upturn in the economy.  Our growth plan also targets adding, through acquisitions, $100 million of revenues per year on average. Since 2011, we have acquired the specialty product businesses of Huntington Electric, HiRel Systems, LLC, and MCB Industrie and we continue to explore additional acquisition opportunities despite the current economic volatility.

Foreign Currency Translation

We are exposed to foreign currency exchange rate risks, particularly due to transactions in currencies other than the functional currencies of certain subsidiaries. While we have in the past used forward exchange contracts to hedge a portion of our projected cash flows from these exposures, we generally have not done so in recent periods.

GAAP requires that entities identify the "functional currency" of each of their subsidiaries and measure all elements of the financial statements in that functional currency. A subsidiary's functional currency is the currency of the primary economic environment in which it operates. In cases where a subsidiary is relatively self-contained within a particular country, the local currency is generally deemed to be the functional currency. However, a foreign subsidiary that is a direct and integral component or extension of the parent company's operations generally would have the parent company's currency as its functional currency. We have both situations among our subsidiaries.

Foreign Subsidiaries which use the Local Currency as the Functional Currency

We finance our operations in Europe and certain locations in Asia in local currencies, and accordingly, these subsidiaries utilize the local currency as their functional currency. For those subsidiaries where the local currency is the functional currency, assets and liabilities in the consolidated balance sheets have been translated at the rate of exchange as of the balance sheet date. Translation adjustments do not impact the results of operations and are reported as a separate component of stockholders' equity.

For those subsidiaries where the local currency is the functional currency, revenues and expenses are translated at the average exchange rate for the year. While the translation of revenues and expenses into U.S. dollars does not directly impact the consolidated statement of operations, the translation effectively increases or decreases the U.S. dollar equivalent of revenues generated and expenses incurred in those foreign currencies. The dollar generally was weaker during the year ended December 31, 2013 compared to the prior year, with the translation of foreign currency revenues and expenses into U.S. dollars generally increasing reported revenues and expenses versus the prior year.

Foreign Subsidiaries which use the U.S. Dollar as the Functional Currency

Our operations in Israel and most significant locations in Asia are largely financed in U.S. dollars, and accordingly, these subsidiaries utilize the U.S. dollar as their functional currency. For those foreign subsidiaries where the U.S. dollar is the functional currency, all foreign currency financial statement amounts are remeasured into U.S. dollars. Exchange gains and losses arising from remeasurement of foreign currency-denominated monetary assets and liabilities are included in the results of operations. While these subsidiaries transact most business in U.S. dollars, they may have significant costs, particularly payroll-related, which are incurred in the local currency. The cost of products sold and selling, general, and administrative expense for the year ended December 31, 2013 have been slightly unfavorably impacted (compared to the prior year) by local currency transactions of subsidiaries which use the U.S. dollar as their functional currency.

See Item 7A for additional discussion of foreign currency exchange risk.
-45-

Critical Accounting Policies and Estimates

Our significant accounting policies are summarized in Note 1 to our consolidated financial statements. We identify here a number of policies that entail significant judgments or estimates.

Revenue Recognition

We recognize revenue on product sales during the period when the sales process is complete. This generally occurs when products are shipped to the customer in accordance with terms of an agreement of sale, title and risk of loss have been transferred, collectibility is reasonably assured, and pricing is fixed or determinable. For a small percentage of sales where title and risk of loss passes at point of delivery, we recognize revenue upon delivery to the customer, assuming all other criteria for revenue recognition are met. We historically have had agreements with distributors that provided limited rights of product return. We have modified these arrangements to allow distributors a limited credit for unsaleable products, which we term a "scrap allowance." Consistent with industry practice, we also have a "stock, ship and debit" program whereby we consider, and grant at our discretion, requests by distributors for credits on previously purchased products that remain in distributors' inventory, to enable the distributors to offer more competitive pricing. In addition, we have contractual arrangements whereby we provide distributors with protection against price reductions that we initiate after the sale of product to the distributor and prior to resale by the distributor.

We record end of period accruals for each of the programs based upon our estimate of future credits under the programs that will be attributable to sales recorded through the end of the period. We calculate reductions of revenue attributable to each of the programs during any period by computing the change in the accruals from the prior period and adding the credits actually given to distributors during the period under the programs. These procedures require the exercise of significant judgments, but we believe they enable us to reasonably estimate future credits under the programs.

Recording and monitoring of these accruals takes place at our subsidiaries and divisions, with input from sales and marketing personnel and review, assessment, and, if necessary, adjustment by corporate management. While our subsidiaries and divisions utilize different methodologies based on their individual experiences, all of the methodologies take into account certain elements that management considers relevant, such as sales to distributors during the relevant period, inventory levels at the distributors, current and projected market trends and conditions, recent and historical activity under the relevant programs, changes in program policies, and open requests for credits. In our judgment, the different methodologies provide us with equally reliable estimates upon which to base our accruals. We do not track the credits that we record against specific products sold from distributor inventories, so as to directly compare revenue reduction for credits recorded during any period with credits ultimately awarded in respect of products sold during that period. Nevertheless, we believe that we have an adequate basis to assess the reasonableness and reliability of our estimates.

We recognize royalty revenue in accordance with agreed upon terms when performance obligations are satisfied, the amount is fixed or determinable, and collectibility is reasonably assured. We earn royalties at the point of sale of products which incorporate licensed intellectual property. The amount of royalties recognized is determined based on our licensees' periodic reporting to us and judgments and estimates by our management that we believe are reasonable. However, it is possible that actual results may differ from our estimates.

-46-

Inventories and Purchase Commitments

We value our inventories at the lower of cost or market, with cost determined under the first-in, first-out method and market based upon net realizable value. The valuation of our inventories requires our management to make market estimates. For work in process goods, we are required to estimate the cost to completion of the products and the prices at which we will be able to sell the products. For finished goods, we must assess the prices at which we believe the inventory can be sold. Inventories are also adjusted for estimated obsolescence and written down to net realizable value based upon estimates of future demand, technology developments and market conditions.

Certain metals used in the manufacture of our products are traded on active markets, and can be subject to significant price volatility. Our policy is to enter into short-term commitments to purchase defined portions of annual consumption of these metals if market prices decline below budget. We record losses and related liabilities when the contractually obligated purchase price under our purchase commitments exceed quoted market prices for the metals.

Goodwill

Goodwill represents the excess of the cost of a business acquired over the fair value of the related net assets at the date of acquisition. Goodwill is not amortized but rather tested for impairment at least annually. These impairment tests must be performed more frequently whenever events or changes in circumstances indicate that the asset might be impaired.

When testing goodwill for impairment, we have the option of performing a qualitative assessment before performing the two-step quantitative impairment test. If we determine, on the basis of qualitative factors, that the fair value of the reporting unit is not more likely than not less than the carrying amount, the two-step impairment test is not required.  If we determine that the fair value of the reporting unit is more likely than not less than the carrying amount, the two-step impairment test is required.  In the first step of the quantitative impairment test, we determine the fair value of the reporting unit and compare the fair value to the net book value of the reporting unit. The fair value of the reporting unit is determined using various valuation techniques, including a comparable companies market multiple approach and a discounted cash flow analysis (an income approach). The comparable companies utilized are generally the members of our peer group included in the presentation of our stock performance graph in Item 5 of our Annual Report on Form 10-K.

In step two of the quantitative impairment test, we determine the implied fair value of goodwill in the same manner as if we had acquired those business units. Specifically, we must allocate the fair value of the reporting unit to all of the assets of that unit, including any unrecognized intangible assets, in a hypothetical calculation that would yield the implied fair value of goodwill. The impairment loss is measured as the difference between the book value of the goodwill and the implied fair value of the goodwill computed in step two.

Fair value of reporting units, and the underlying assets and liabilities of those reporting units, is measured at a point in time, and reflects specific market conditions as of the measurement date. We perform our annual impairment test as of the first day of the fourth fiscal quarter.

The determination of the fair value of the reporting units and the allocation of that value to individual assets and liabilities within those reporting units requires us to make significant estimates and assumptions. These estimates and assumptions primarily include, but are not limited to: the selection of appropriate peer group companies; control premiums appropriate for acquisitions in the industries in which we compete; the discount rate; terminal growth rates; and forecasts of revenue, operating income, depreciation and amortization, and capital expenditures. The allocation requires several analyses to determine fair value of assets and liabilities including, among others, completed technology, tradenames, in-process research and development, customer relationships, and certain property and equipment (valued at replacement costs).

Due to the inherent uncertainty involved in making these estimates, actual financial results could differ from those estimates. In addition, changes in assumptions concerning future financial results or other underlying assumptions could have a significant impact on either the fair value of the reporting unit or the amount of the goodwill impairment charge.
-47-

Impairment of Long-Lived Assets and Indefinite-Lived Intangible Assets

We assess the impairment of our long-lived assets, other than goodwill and indefinite-lived tradenames, including property and equipment, long-term prepaid assets, and identifiable intangible assets subject to amortization, whenever events or changes in circumstances indicate the carrying value may not be recoverable. Long-lived assets are grouped at the lowest level of independent cash flows and evaluated as a group. Factors we consider important, which could trigger an impairment review, include significant changes in the manner of our use of the assets, changes in historical or projected operating performance, and significant negative economic trends. The carrying value of a long-lived asset group is considered impaired when the total projected undiscounted cash flows from such asset group are separately identifiable and are less than the carrying value. In that event, a loss is recognized based on the amount by which the carrying value exceeds the fair market value of the long-lived asset group, primarily determined using discounted future cash flows.

Indefinite-lived intangible assets (which for us are comprised entirely of tradenames) are not amortized, but similar to goodwill, are tested for impairment at least annually. These tests are performed more frequently if there are triggering events. When testing an indefinite-lived intangible asset for impairment we have the option of performing a qualitative assessment before calculating the fair value of the asset.  If we determine, on the basis of qualitative factors, that the fair value of the indefinite-lived intangible asset is not more likely than not impaired, we would not need to calculate the fair value of the asset.  The fair value of the tradenames is measured as the discounted cash flow savings realized from owning such tradenames and not having to pay a royalty for their use.

The evaluation of the recoverability of long-lived assets, and the determination of their fair value, requires us to make significant estimates and assumptions. These estimates and assumptions primarily include, but are not limited to: the identification of the asset group at the lowest level of independent cash flows and the principal asset of the group; the discount rate; terminal growth rates; and forecasts of revenue, operating income, depreciation and amortization, and capital expenditures.

The evaluation of the fair value of indefinite-lived trademarks also requires us to make significant estimates and assumptions. These estimates and assumptions primarily include, but are not limited to: the assumed market-royalty rate; the discount rate; terminal growth rates; and forecasts of revenue.

Due to the inherent uncertainty involved in making these estimates, actual results could differ from those estimates. In addition, changes in underlying assumptions would have a significant impact on the conclusion that an asset group's carrying value is recoverable, that an indefinite-lived asset is not impaired, or the determination of any impairment charge if it was determined that the asset values were indeed impaired.

Accounts Receivable

Our accounts receivable represent a significant portion of our current assets. We are required to estimate the collectibility of our receivables and to establish allowances for the amount of receivables that will prove uncollectible. We base these allowances on our historical collection experience, the length of time our receivables are outstanding, the financial circumstances of individual customers, and general business and economic conditions. Due to our large number of customers and their dispersion across many countries and industries, we have limited exposure to concentrations of credit risk. As of December 31, 2013, one customer comprised 13.9% of our accounts receivable balance.  This customer comprised 14.7% of our accounts receivable balance as of December 31, 2012.  No other customer accounted for more than 10% of our accounts receivable balance as of December 31, 2013 or December 31, 2012.  We continually monitor the credit risks associated with our accounts receivable and adjust the allowance for uncollectible accounts accordingly. We believe that our accounts receivable credit risk exposure beyond such allowance is not material to the financial statements.
-48-

Pension and Other Postretirement Benefits

Our defined benefit plans are concentrated in the United States, Germany, and the Republic of China (Taiwan). Our U.S. plans include a plan qualified under the Employee Retirement Security Act of 1974 ("ERISA") and various non-qualified plans.  The table below summarizes information about our pension and other postretirement benefit plans.  This information should be read in conjunction with Note 11 to our consolidated financial statements (amounts in thousands):
 
 
Benefit obligation
   
Plan assets
   
Funded position
   
Informally funded assets
   
Net position
   
Unrecognized actuarial items
 
U.S. qualified pension plan
 
$
279,925
   
$
295,633
   
$
15,708
   
$
-
   
$
15,708
   
$
78,324
 
U.S. non-qualified pension plans
   
35,448
     
-
     
(35,448
)
   
22,899
     
(12,549
)
   
6,060
 
German pension plans
   
187,335
     
-
     
(187,335
)
   
4,682
     
(182,653
)
   
39,223
 
Taiwanese pension plans
   
62,983
     
21,822
     
(41,161
)
   
-
     
(41,161
)
   
18,360
 
Other pension plans
   
30,208
     
27,037
     
(3,171
)
   
-
     
(3,171
)
   
4,069
 
OPEB plans
   
14,845
     
-
     
(14,845
)
   
2,674
     
(12,171
)
   
(4,536
)
Other retirement obligations
   
14,017
     
-
     
(14,017
)
   
-
     
(14,017
)
   
-
 
 
 
$
624,761
   
$
344,492
   
$
(280,269
)
 
$
30,255
   
$
(250,014
)
 
$
141,500
 

Accounting for defined benefit pension and other postretirement plans involves numerous assumptions and estimates. The discount rate at which obligations could effectively be settled and the expected long-term rate of return on plan assets are two critical assumptions in measuring the cost and benefit obligations of our pension and other postretirement benefit plans. Other important assumptions include the anticipated rate of future increases in compensation levels, estimated mortality, and for certain postretirement medical plans, increases or trends in health care costs.  Management reviews these assumptions at least annually.  We use independent actuaries and investment advisers to assist us in formulating assumptions and making estimates.  These assumptions are updated periodically to reflect the actual experience and expectations on a plan specific basis as appropriate.

In the U.S., we utilize published long-term high quality bonds to determine the discount rate at the measurement date. In Germany and the Republic of China (Taiwan), we utilize published long-term government bond rates to determine the discount rate at the measurement date. We utilize bond yields at various maturity dates that reflect the timing of expected future benefit payments. We believe the discount rates selected are the rates at which these obligations could effectively be settled.

For our U.S. qualified plan, we establish strategic asset allocation percentage targets and appropriate benchmarks for significant asset classes with the aim of achieving a prudent balance between return and risk. Based on current market interest rate conditions and the current market value of the plan assets, our qualified defined benefit plan in the U.S. is fully-funded. Accordingly, we have revised the asset allocation strategy for this plan with the intention of further reducing risk.

Non-qualified plans in the U.S. are considered by law to be unfunded.  However, the Company maintains assets in a rabbi trust to fund benefit payments under certain of these plans. Such assets would be subject to creditor claims under certain conditions.  (See also Notes 11 and 18 to our consolidated financial statements.)

Many of our non-U.S. plans are unfunded based on local laws and customs. For those non-U.S. plans that do maintain investments, their asset holdings are primarily cash and fixed income securities, based on local laws and customs. Some non-U.S. plans also informally fund their plans by holding certain available-for-sale investments.  Such assets would be subject to creditor claims under certain conditions. (See also Note 18 to our consolidated financial statements.)
-49-


We set the expected long-term rate of return based on the expected long-term average rates of return to be achieved by the underlying investment portfolios. In establishing this rate, we consider historical and expected returns for the asset classes in which the plans are invested, advice from pension consultants and investment advisors, and current economic and capital market conditions. The expected return on plan assets is incorporated into the computation of pension expense. The difference between this expected return and the actual return on plan assets is deferred. The net deferral of past asset losses (gains) affects the calculated value of plan assets and, ultimately, future pension expense (income).
 
We expect net periodic pension cost in 2014 to be less than net periodic pension cost recognized in 2013, with a decrease in the amortization of unrecognized losses partially offset by lower expected returns on assets subsequent to implementation of our asset de-risking strategies.

During the fourth fiscal quarter of 2008, we adopted amendments to our principal U.S. defined benefit pension plans, such that effective January 1, 2009, the plans were frozen. Pursuant to these amendments, no new employees may participate in the plans, no further participant contributions will be required or permitted, and no further benefits shall accrue after December 31, 2008. Accordingly, net periodic pension cost for U.S. plans no longer include any service cost.

We continue to seek to de-risk our pension exposures, especially given the frozen status of the U.S. plans and the current funded status. Such actions could result in increased net periodic pension cost due to lower expected rates of return on plan assets and/or possible charges to recognize unamortized actuarial items if all or a portion of the obligations were to be settled.

We believe that the current assumptions used to estimate plan obligations and annual expenses are appropriate. However, if economic conditions change or if our investment strategy changes, we may be inclined to change some of our assumptions, and the resulting change could have a material impact on the consolidated statements of operations and on the consolidated balance sheet.

-50-

Income Taxes

We are subject to income taxes in the U.S. and numerous foreign jurisdictions. Significant judgment is required in evaluating our tax positions and determining our provision for income taxes. During the ordinary course of business, there are many transactions and calculations for which the ultimate tax determination is uncertain. We establish reserves for tax-related uncertainties based on estimates of whether, and the extent to which, additional taxes will be due. These reserves are established when we believe that certain positions might be challenged despite our belief that our tax return positions are fully supportable. We adjust these reserves in light of changing facts and circumstances and the provision for income taxes includes the impact of reserve provisions and changes to reserves that are considered appropriate.

These accruals are based on management's best estimate of potential tax exposures. When particular matters arise, a number of years may elapse before such matters are examined and finally resolved.  Favorable resolution of such matters could be recognized as a reduction to our effective tax rate in the year of resolution.  Unfavorable resolution of any particular issue could increase the effective tax rate and may require the use of cash in the year of resolution.

We and our subsidiaries file U.S. federal income tax returns, as well as tax returns in multiple state and foreign jurisdictions.  The U.S. Internal Revenue Service is currently conducting an examination of our U.S. federal tax returns for the years 2010 and 2011.  Because of net operating losses which were fully utilized on the 2010 tax return, our U.S. federal tax returns for 2003 through 2009 remain subject to examination.  Most principal subsidiaries in Israel are currently under examination for tax years 2008 through 2010.  The tax returns of other significant non-U.S. subsidiaries which are currently under examination include India (2004 through 2011), China (2009), and the Republic of Taiwan (2007 through 2012).  In 2013, we settled an examination of the 2005 through 2008 tax years for our subsidiaries in Germany.  We and our subsidiaries also file income tax returns in other taxing jurisdictions in the U.S. and around the world, many of which are still open to examinations.
 
We account for uncertainty in income tax positions using the minimum recognition threshold a tax position is required to meet before being recognized in the financial statements as prescribed in GAAP.  For a tax benefit to be recognized, a tax position must be "more likely than not" to be sustained upon examination by taxing authorities.

We have recorded deferred tax assets representing future tax benefits, but may not be able to realize these future tax benefits in certain jurisdictions. Significant judgment is required in determining the expected future realizability of these deferred tax assets. We periodically evaluate the realizability of our deferred tax assets by assessing the valuation allowance and by adjusting the amount of such allowance, if necessary. The factors used to assess the likelihood of realization include deferred tax liabilities, our forecast of future taxable income, and available tax planning strategies that could be implemented to realize the net deferred tax assets.

Substantially all earnings generated by our non-U.S. subsidiaries are deemed to be reinvested outside of the United States indefinitely. Accordingly, no provision has been made for U.S. federal and state income taxes on these foreign earnings. Upon distribution of those earnings in the form of dividends or otherwise, we would be subject to U.S. income taxes (subject to an adjustment for foreign tax credits), state income taxes, incremental foreign income taxes, and withholding taxes payable to various foreign countries.

Additional information about income taxes is included in Note 5 to our consolidated financial statements.

-51-

Results of Operations

Statement of operations' captions as a percentage of net revenues and the effective tax rates were as follows:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Costs of products sold
   
76.1
%
   
76.4
%
   
72.2
%
Gross profit
   
23.9
%
   
23.6
%
   
27.8
%
Selling, general, and administrative expenses
   
15.5
%
   
15.7
%
   
14.2
%
Operating income
   
8.3
%
   
8.5
%
   
13.4
%
Income before taxes and noncontrolling interest
   
7.4
%
   
7.6
%
   
12.8
%
Net earnings attributable to Vishay stockholders
   
5.2
%
   
5.5
%
   
9.2
%
________
                       
Effective tax rate
   
29.8
%
   
27.4
%
   
27.5
%

Net Revenues

Net revenues were as follows (dollars in thousands):

  Years Ended December 31,
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Net revenues
 
$
2,370,979
   
$
2,230,097
   
$
2,594,029
 
Change versus prior year
 
$
140,882
   
$
(363,932
)
       
Percentage change versus prior year
   
6.3
%
   
-14.0
%
       

Changes in net revenues were attributable to the following:

 
 
2013 vs. 2012
   
2012 vs. 2011
 
 
 
   
 
Change attributable to:
 
   
 
Change in volume
   
8.3
%
   
-11.5
%
Decrease in average selling prices
   
-3.1
%
   
-3.7
%
Foreign currency effects
   
0.8
%
   
-2.1
%
Acquisitions
   
0.8
%
   
2.3
%
Other
   
-0.5
%
   
1.0
%
Net change
   
6.3
%
   
-14.0
%

Overall, the business conditions in 2013 were better than the 2012 conditions, but both years were below our expected run-rate. Our revenue results for the year ended December 31, 2011 also represent the effects of macroeconomic concerns, which reduced demand for our products in the last six fiscal months of the year, and the resulting quick adaptation of our manufacturing capacities in response thereto.  This period of macroeconomic concerns followed a period of favorable business conditions through the first six fiscal months of 2011 in which we achieved significantly higher annualized earnings than before the beginning of the 2008-2009 global economic recession at the same sales volume.

-52-

We deduct, from the sales that we record to distributors, allowances for future credits that we expect to provide for returns, scrapped product, and price adjustments under various programs made available to the distributors.  We make deductions corresponding to particular sales in the period in which the sales are made, although the corresponding credits may not be issued until future periods. We estimate the deductions based on sales levels to distributors, inventory levels at the distributors, current and projected market trends and conditions, recent and historical activity under the relevant programs, changes in program policies, and open requests for credits. We recorded deductions from gross sales under our distributor incentive programs of $84.3 million, $72.7 million, and $80.3 million, for the years ended December 31, 2013, 2012, and 2011, respectively, or, as a percentage of gross sales, 3.4%, 3.2%, and 3.0%, respectively. Actual credits issued under the programs for the years ended December 31, 2013, 2012, and 2011 were approximately $83.2 million, $76.9 million, and $82.3 million, respectively.  Increases and decreases in these incentives are largely attributable to the then-current business climate.

Royalty revenues, included in net revenues on the consolidated statements of operations, were $6.4 million, $7.1 million, and $6.6 million, for the years ended December 31, 2013, 2012, and 2011, respectively.

Gross Profit and Margins

Gross profit margins for the year ended December 31, 2013 were 23.9%, as compared to 23.6% for year ended December 31, 2012.

Gross profit margins for the year ended December 31, 2012 were 23.6%, as compared to 27.8% for year ended December 31, 2011. This decrease in gross profit margin reflects significantly lower volume and lower average selling prices.

-53-

Segments

Analysis of revenues and gross profit margins for our segments is provided below.

MOSFETs

Net revenues of the MOSFETs segment were as follows (dollars in thousands):

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Net revenues
 
$
449,477
   
$
433,682
   
$
537,980
 
Change versus comparable prior year period
 
$
15,795
   
$
(104,298
)
       
Percentage change versus comparable prior year period
   
3.6
%
   
-19.4
%
       

Changes in MOSFETs segment net revenues were attributable to the following:

 
 
2013 vs. 2012
   
2012 vs. 2011
 
 
 
   
 
Change attributable to:
 
   
 
Change in volume
   
11.2
%
   
-10.9
%
Decrease in average selling prices
   
-6.3
%
   
-9.9
%
Foreign currency effects
   
0.2
%
   
-0.7
%
Other
   
-1.5
%
   
2.1
%
Net change
   
3.6
%
   
-19.4
%

Gross profit as a percentage of net revenues for the MOSFETs segment was as follows:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Gross margin percentage
   
13.2
%
   
13.1
%
   
23.3
%

The MOSFETs segment was positively affected by increased demand from OEM customers in Asia in 2013.  The gross profit margin remained below expectations in 2013 as the increase in volume and lower materials prices were almost fully offset by the decrease in average selling prices and the negative effect of additional depreciation associated with our cost reduction program.  The decrease in gross profit margin from 2011 to 2012 is primarily due to decreases in sales volume and average selling prices. Also, a non-recurring manufacturing issue associated with purchased materials affected the 2012 results.

We have experienced significant declines in average selling prices in 2013 and 2012. The decline in 2013 is partially due to lower materials prices.  The decline in 2012 is partially due to selective volume based pricing for our MOSFETs products that we implemented in the second fiscal quarter of 2012.

On October 28, 2013, we announced a cost reduction program to enhance the competitiveness of our MOSFETs segment. See "Cost Management" above.

We continue to be optimistic about the long-term prospects of the MOSFETs segment and continue to make capital and R&D investments in this business.

-54-

Diodes

Net revenues of the Diodes segment were as follows (dollars in thousands):

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Net revenues
 
$
547,264
   
$
496,744
   
$
607,493
 
Change versus comparable prior year period
 
$
50,520
   
$
(110,749
)
       
Percentage change versus comparable prior year period
   
10.2
%
   
-18.2
%
       

Changes in Diodes segment net revenues were attributable to the following:

 
 
2013 vs. 2012
   
2012 vs. 2011
 
 
 
   
 
Change attributable to:
 
   
 
Change in volume
   
13.8
%
   
-14.9
%
Decrease in average selling prices
   
-3.0
%
   
-2.8
%
Foreign currency effects
   
0.2
%
   
-1.4
%
Other
   
-0.8
%
   
0.9
%
Net change
   
10.2
%
   
-18.2
%

Gross profit as a percentage of net revenues for the Diodes segment was as follows:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Gross margin percentage
   
22.2
%
   
20.0
%
   
23.7
%

The Diodes segment was positively affected by the increased demand from distributors in Asia in 2013, but negatively affected by the low demand from distributors in Asia in 2012.  The increase in gross profit margin from 2012 to 2013 is primarily due to the increase in sales volume, manufacturing efficiencies, and lower materials prices, partially offset by decreased average selling prices.  The decrease in the Diodes segment gross profit margin from 2011 to 2012 is primarily due to the decrease in sales volume.

Typical pricing pressure for our established Diodes products continues.  We have experienced moderate price declines versus the prior year periods.

The cost reduction programs announced on October 28, 2013 include two smaller projects to improve the results of the Diodes segment. These projects demonstrate our ongoing effort to improve the results of this segment.  See "Cost Management" above.
-55-

Optoelectronic Components

Net revenues of the Optoelectronic Components segment were as follows (dollars in thousands):

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Net revenues
 
$
228,245
   
$
209,194
   
$
229,886
 
Change versus comparable prior year period
 
$
19,051
   
$
(20,692
)
       
Percentage change versus comparable prior year period
   
9.1
%
   
-9.0
%
       

Changes in Optoelectronic Components segment net revenues were attributable to the following:

 
 
2013 vs. 2012
   
2012 vs. 2011
 
 
 
   
 
Change attributable to:
 
   
 
Change in volume
   
10.6
%
   
-3.1
%
Decrease in average selling prices
   
-2.3
%
   
-3.5
%
Foreign currency effects
   
1.3
%
   
-2.8
%
Other
   
-0.5
%
   
0.4
%
Net change
   
9.1
%
   
-9.0
%

Gross profit as a percentage of net revenues for the Optoelectronic Components segment was as follows:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Gross margin percentage
   
33.6
%
   
32.5
%
   
32.5
%

The Optoelectronic Components segment was relatively stable due to the continued strong demand of the automotive and industrial markets despite being negatively affected by the low demand from distributors in Asia in 2012. The Optoelectronic Components segment has now fully recovered with primarily volume-driven gross margin improvement.  The increase in gross profit margin in 2013 is due to increases in volume, partialy offset by lower average selling prices.  The segment gross profit margin remained high in 2012 despite a decrease in sales volume and average selling prices.

Typical pricing pressure for our established Optoelectronic Components products continues.  We have experienced slight declines in 2013 versus 2012 and moderate declines in 2012 versus 2011.
-56-

Resistors & Inductors

Net revenues of the Resistors & Inductors segment were as follows (dollars in thousands):

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Net revenues
 
$
706,248
   
$
642,320
   
$
640,854
 
Change versus comparable prior year period
 
$
63,928
   
$
1,466
         
Percentage change versus comparable prior year period
   
10.0
%
   
0.2
%
       

Changes in Resistors & Inductors segment net revenues were attributable to the following:

 
 
2013 vs. 2012
   
2012 vs. 2011
 
 
 
   
 
Change attributable to:
 
   
 
Change in volume
   
8.0
%
   
-4.3
%
Decrease in average selling prices
   
-1.6
%
   
-1.5
%
Foreign currency effects
   
1.1
%
   
-3.1
%
Acquisitions
   
2.9
%
   
9.3
%
Other
   
-0.4
%
   
-0.2
%
Net change
   
10.0
%
   
0.2
%

Gross profit as a percentage of net revenues for the Resistors & Inductors segment was as follows:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Gross margin percentage
   
31.4
%
   
31.8
%
   
33.4
%

The Resistors & Inductors segment has experienced four consecutive quarters of revenue growth.  The growth was experienced in almost all end markets and regions.  The biggest source of growth was from distributors.  The Resistors & Inductors segment was negatively affected in 2012 by a slowing of demand in Europe.  The segment gross profit margin remained high, but decreased slightly versus 2012 due to the increased volume and reduced material prices not being able to fully offset the reduction in average selling prices.  The segment gross profit margin remained high, but decreased slightly from 2011 to 2012 due to decreases in sales volume.

Along with our successful acquisitions of HiRel Systems and certain assets of Huntington Electric in the previous two years, MCB Industrie is positively contributing to gross margins of the Resistors & Inductors segment.

Average selling prices declined slightly in both 2013 versus 2012 and 2012 versus 2011.
-57-

Capacitors

Net revenues of the Capacitors segment were as follows (dollars in thousands):

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Net revenues
 
$
439,745
   
$
448,157
   
$
577,816
 
Change versus comparable prior year period
 
$
(8,412
)
 
$
(129,659
)
       
Percentage change versus comparable prior year period
   
-1.9
%
   
-22.4
%
       

Changes in Capacitors segment net revenues were attributable to the following:

 
 
2013 vs. 2012
   
2012 vs. 2011
 
 
 
   
 
Change attributable to:
 
   
 
Decrease in volume
   
-0.6
%
   
-19.6
%
Decrease in average selling prices
   
-2.4
%
   
-0.9
%
Foreign currency effects
   
1.2
%
   
-2.8
%
Other
   
-0.1
%
   
0.9
%
Net change
   
-1.9
%
   
-22.4
%

Gross profit as a percentage of net revenues for the Capacitors segment was as follows:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Gross margin percentage
   
20.0
%
   
22.0
%
   
28.0
%

The Capacitors segment was negatively affected by the economic slow-down which began in the second half of 2012 and stagnation in demand for renewable energies as government spending declined.  Additionally, the segment experienced a decrease in sales to the automotive industry in 2013, which was partially offset by increased distributions sales.  The decrease in gross profit margin from 2012 to 2013 is primarily due to the decrease in sales volume and average selling prices.  The decrease in gross profit margin from 2011 to 2012 is primarily due to the decrease in sales volume and some temporary inefficiencies. The Capacitors segment was adversely affected by high distributor inventory levels in the second half of 2011.

Lower demand and a reduction in material prices have increased the pressure on average selling prices.  Average selling prices declined slightly in both 2013 versus 2012 and 2012 versus 2011.

-58-

Selling, General, and Administrative Expenses

Selling, general, and administrative ("SG&A") expenses are summarized as follows (dollars in thousands):

 
Years ended December 31,
 
 
2013
 
2012
 
2011
 
 
 
   
   
 
Total SG&A expenses
 
$
368,542
   
$
349,625
   
$
367,623
 
as a percentage of sales
   
15.5
%
   
15.7
%
   
14.2
%

The overall increase in SG&A expenses in the year ended December 31, 2013 versus the year ended December 31, 2012 is primarily attributable to less austere temporary cost reduction programs implemented in 2013 versus 2012 due to differences in economic environment. The overall decrease in SG&A expenses in the year ended December 31, 2012 versus the year ended December 31, 2011 is primarily attributable to cost containment initiatives and certain temporary cost reduction programs, lower bonus accruals for 2012, and a positive exchange rate impact, partially offset by SG&A expenses of acquired businesses.  Several items included in SG&A expenses impact the comparability of these amounts, as summarized below (in thousands):

 
Years ended December 31,
 
 
2013
 
2012
 
2011
 
 
 
   
   
 
Amortization of intangible assets
 
$
15,068
   
$
14,754
   
$
14,684
 
Net losses (gains) on sales of assets
   
26
     
(741
)
   
(930
)

The acquisitions of the resistor businesses of Huntington Electric in the third fiscal quarter of 2011, HiRel Systems LLC in the first fiscal quarter of 2012, and MCB Industrie S.A. in the second fiscal quarter of 2013 increased our amortizable intangible assets balance by $56.5 million. See Note 3 to our consolidated financial statements for an estimate of our annual amortization expense through 2018. Additional acquisition activity will increase these amounts.
 
Amortization expense remained stable in 2012 versus 2011 principally due to certain intangible assets becoming fully amortized, which was offset by the amortization of intangible assets recognized in the aforementioned acquisitions of the resistors businesses of Huntington Electric in the third fiscal quarter of 2011 and HiRel Systems LLC in the first fiscal quarter of 2012.

We also recorded a $12.2 million gain on the sale of vacated property in Belgium in the second fiscal quarter of 2012 that is reported on a separate line in the consolidated statement of operations for the year ended December 31, 2012.

On October 28, 2013, we announced a voluntary separation / early retirement program targeting SG&A expenses. See "Cost Management" above.

-59-

Other Income (Expense)

2013 Compared to 2012

Interest expense for the year ended December 31, 2013 increased by $0.5 million versus the year ended December 31, 2012. The increase is primarily due to interest on convertible senior debentures due 2042 that were issued on May 31, 2012.

The following table analyzes the components of the line "Other" on the consolidated statements of operations (in thousands):

 
 
Years ended December 31,
   
 
 
 
2013
   
2012
   
Change
 
 
 
   
   
 
Foreign exchange gain (loss)
 
$
(993
)
 
$
(3,654
)
 
$
2,661
 
Interest income
   
4,566
     
7,626
     
(3,060
)
Other
   
(1,720
)
   
(532
)
   
(1,188
)
 
 
$
1,853
   
$
3,440
   
$
(1,587
)

The decrease in interest income in the year ended December 31, 2013 versus the year ended December 31, 2012 is primarily due to lower interest rates on the short-term investments in 2013 versus 2012.

2012 Compared to 2011

Interest expense for the year ended December 31, 2012 increased by $3.3 million versus the year ended December 31, 2011.  The increase is primarily due to interest on convertible senior debentures due 2041 and due 2042 that were issued on May 13, 2011 and May 31, 2012, respectively.

The following table analyzes the components of the line "Other" on the consolidated statements of operations (in thousands):

 
 
Years ended December 31,
   
 
 
 
2012
   
2011
   
Change
 
 
 
   
   
 
Foreign exchange gain (loss)
 
$
(3,654
)
 
$
(8,249
)
 
$
4,595
 
Interest income
   
7,626
     
10,386
     
(2,760
)
Sale of investments
   
-
     
1,396
     
(1,396
)
Other
   
(532
)
   
259
     
(791
)
 
 
$
3,440
   
$
3,792
   
$
(352
)

In the year ended December 31, 2011, we sold ancillary investments in the equity of two companies located outside of the U.S. for a total gain of $1.4 million.

The decrease in interest income in the year ended December 31, 2012 versus the year ended December 31, 2011 is primarily due to lower interest rates on the short-term investments in 2012 versus 2011.

-60-

Income Taxes

For the years ended December 31, 2013, 2012, and 2011, the effective tax rates were 29.8%, 27.4%, and 27.5%, respectively. The effective tax rates are generally less than the U.S. statutory rate primarily because of earnings in foreign jurisdictions and the release of deferred tax asset valuation allowances when facts and circumstances permit.

Income tax expense for the years ended December 31, 2013, 2012, and 2011 include certain discrete tax items for changes in uncertain tax positions, valuation allowances, tax rates, and other related items.  These items total $(4.2) million (tax benefit), $(4.0) million (tax benefit), and $3.5 million in 2013, 2012, and 2011, respectively.

For the year ended December 31, 2013, the discrete items include a $2.9 million benefit recorded in the third fiscal quarter due to a new tax law enacted in Israel in July 2013 which effectively increases the corporate income tax rate on certain types of income earned after January 1, 2014, and, therefore, increases our deferred tax assets and a $1.3 million benefit recorded in the first fiscal quarter due to the retroactive enactment of the American Taxpayer Relief Act of 2012, signed into law on January 2, 2013.

For the year ended December 31, 2012, the discrete item is the reduction of a valuation allowance on a deferred tax asset in Israel due to a merger of several of our wholly-owned subsidiaries in Israel in the fourth fiscal quarter, which will allow for the realization of these tax benefits that likely otherwise would have been forgone.

For the year ended December 31, 2011, the discrete items included a $10.0 million expense for the effect of a tax rate change on deferred taxes in Israel recorded in the first fiscal quarter, reduced by $1.0 million for a 2010 tax return filing in the fourth fiscal quarter, and partially offset by benefits related to reductions of valuation allowances in various jurisdictions of $5.5 million recorded in the fourth fiscal quarter. The reductions of valuation allowances were principally in Belgium due to expected future income from a pending real estate sale.

We operate in a global environment with significant operations in various locations outside the United States. Accordingly, the consolidated income tax rate is a composite rate reflecting our earnings and the applicable tax rates in the various locations where we operate. Part of our strategy is to achieve cost savings through the transfer and expansion of manufacturing operations to countries where we can take advantage of lower labor costs and available tax and other government-sponsored incentives. Accordingly, our effective tax rate is generally less than the U.S. statutory tax rate. Changes in the effective tax rate are largely attributable to changes in the mix of pretax income among our various taxing jurisdictions.

Additional information about income taxes is included in Note 5 to our consolidated financial statements.

-61-

Financial Condition, Liquidity, and Capital Resources

We focus on our ability to generate cash flows from operations. The cash generated from operations is used to fund our capital expenditure plans, and cash in excess of our capital expenditure needs is available to fund our acquisition strategy, to reduce debt levels, and to pay dividends and repurchase stock. We have generated cash flows from operations in excess of $200 million in each of the past 12 years, and cash flows from operations in excess of $100 million in each of the past 19 years.

We refer to the amount of cash generated from operations in excess of our capital expenditure needs and net of proceeds from the sale of assets as "free cash," a measure which management uses to evaluate our ability to fund acquisitions, repay debt, and otherwise enhance stockholder value through stock repurchases or dividends. Vishay has generated positive "free cash" in each of the past 17 years, and "free cash" in excess of $80 million in each of the past 12 years. In this volatile economic environment, we continue to focus on the generation of free cash, including an emphasis on cost controls.

We continued to generate positive cash flows from operations and free cash in line with our history despite the volatile economic environment during the year ended December 31, 2013. There is no assurance, however, that we will be able to continue to generate cash flows from operations and free cash at the same levels, or at all, going forward if the current economic environment worsens.

Beginning in the fourth fiscal quarter of 2010, we have reacted to favorable market conditions to significantly reshape the company's capital structure. We have completed three issuances of low-coupon convertible debentures since the fourth fiscal quarter of 2010, each of which matures thirty years from the date of issuance. We utilized the proceeds of those debenture offerings to repurchase 44.3 million shares of our common stock, representing approximately 24% of our outstanding stock prior to implementing these initiatives. In the third fiscal quarter of 2013, a holder of our exchangeable unsecured notes exercised its option to exchange $56.4 million principal amount of the notes for 3.7 million shares of our common stock. The exchange increases the number of our common shares outstanding, but has no effect on the calculation of the weighted average shares outstanding used for computing diluted earnings per share because our earnings per share computation assumes that the exchangeable unsecured notes would be converted, while also reducing our outstanding debt and improving our ratio of total debt to Vishay stockholders' equity.

We also entered into a new, larger, revolving credit facility in 2010, which was amended and restated on August 8, 2013. The amended and restated credit facility extends the term of our available credit, secures lower interest rates than we were previously paying for the next five years, and provides us with additional financial flexibility to pursue our growth plan. The total revolving commitment of our credit facility increased to $640 million and we have the ability to request up to an additional $50 million of incremental commitments, subject to the satisfaction of certain conditions. At December 31, 2013 and 2012, $114 million and $89 million, respectively, were outstanding under our credit facility. The credit facility provides a revolving commitment through August 8, 2018.

Borrowings under the credit facility bear interest at LIBOR plus an interest margin. The applicable interest margin is based on our leverage ratio. Based on our current leverage ratio, borrowings bear interest at LIBOR plus 1.75%. The interest rate on our borrowings will increase to LIBOR plus 2.00% if our leverage ratio equals or exceeds 2.50 to 1 and will decrease to LIBOR plus 1.50% if our leverage ratio decreases below 1.50 to 1. We are also required to pay facility fees on the entire commitment amount based on our leverage ratio. Based on our current leverage ratio, the facility fee is 0.35% per annum. Such facility fee will increase to 0.50% per annum if our leverage ratio equals or exceeds 2.50 to 1 and will decrease to 0.30% per annum if our leverage ratio decreases below 1.50 to 1.

The amendment and restatement of the credit facility also removed certain restrictions related to the incurrence and repayment of certain intercompany indebtedness, mergers, liquidations, and transfers of ownership of wholly owned subsidiaries that were present in the original credit agreement. These changes will enable us to streamline our complex subsidiary structure and provide greater operating flexibility.
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The borrowings under the credit facility are secured by a lien on substantially all assets, including accounts receivable, inventory, machinery and equipment, and general intangibles (but excluding real estate, intellectual property registered or licensed for use in, or arising under the laws of, any country other than the United States, assets located outside of the United States and deposit and securities accounts), of Vishay and certain significant subsidiaries located in the United States, and pledges of stock in certain significant domestic and foreign subsidiaries; and are guaranteed by certain significant subsidiaries. Certain of our subsidiaries are permitted to borrow under the credit facility, subject to the satisfaction of specified conditions. Any borrowings by these subsidiaries under the credit facility will be guaranteed by Vishay and certain subsidiaries.

The credit facility also limits or restricts us, from, among other things, incurring indebtedness, incurring liens on assets, making investments and acquisitions, making asset sales, and making other restricted payments, and requires us to comply with other covenants, including the maintenance of specific financial ratios.

The financial maintenance covenants include (a) an interest expense coverage ratio of not less than 2.00 to 1; and (b) a leverage ratio of not more than 3.25 to 1 (and a pro forma ratio of 2.75 to 1 on the date of incurrence of additional debt). The computation of these ratios is prescribed in Article VI of the Credit Agreement between Vishay Intertechnology, Inc. and JPMorgan Chase Bank, N.A., which has been filed with the SEC as Exhibit 10.1 to our current report on Form 8-K filed August 8, 2013.

We were in compliance with all financial covenants under the credit facility at December 31, 2013.  Our interest expense coverage ratio and leverage ratio were 12.46 to 1 and 1.86 to 1, respectively.  We expect to continue to be in compliance with these covenants based on current projections.

If we are not in compliance with all of the required financial covenants, the credit facility could be terminated by the lenders, and all amounts outstanding pursuant to the credit facility could become immediately payable. Additionally, our exchangeable unsecured notes due 2102 and our convertible senior debentures due 2040, due 2041, and due 2042 have cross-default provisions that could accelerate repayment in the event the indebtedness under the credit facility is accelerated.

Our permitted capacity to repurchase shares of our outstanding common stock or pay cash dividends under the credit facility increases each quarter by an amount equal to 20% of net income. At December 31, 2013, our credit facility allowed us to repurchase our common stock or pay cash dividends up to $204.6 million.  On February 3, 2014, our Board of Directors instituted a quarterly dividend payment program and declared the first cash dividend in the history of Vishay.  The initial cash dividend of $0.06 per share of common stock and Class B common stock will be paid on March 27, 2014 to stockholders of record at the close of business on March 3, 2014.  The amount and timing of any future stock repurchases or cash dividend payments remains subject to authorization of our Board of Directors.

The balance of our revolving credit facility was $89 million at December 31, 2012. We borrowed $189 million and repaid $164 million on our credit facility during the year ended December 31, 2013.  Included in both the amounts borrowed and repaid is $108 million borrowed to repay the amounts outstanding on our credit facility at the time it was amended and restated.  The average outstanding balance on our credit facility calculated at fiscal month-ends was $103.3 million and the highest amount outstanding on our credit facility at a month end was $114 million during the year ended December 31, 2013.

Management expects to continue to maintain the outstanding balance on the credit facility around its current level, and may periodically pay down the balance with available cash or use the credit facility to meet short-term financing needs. We expect that cash on-hand and cash flows from operations will be sufficient to meet our longer-term financing needs related to normal operating requirements, regular dividend payments, and our research and development and capital expenditure plans. Acquisition activity or share repurchases may require additional borrowing under our credit facility or may otherwise require us to incur additional debt. No principal payments on our outstanding debt are due before the maturity of our revolving credit facility in August 2018.

Substantially all of our December 31, 2013 cash and cash equivalents and short-term investments balances were held by our non-U.S. subsidiaries. At the present time, we expect the remaining cash and profits generated by foreign subsidiaries will continue to be reinvested outside of the U.S. indefinitely. If additional cash is needed to be repatriated to the U.S., we would be subject to additional U.S. income taxes (subject to an adjustment for foreign tax credits), state income taxes, incremental foreign income taxes, and withholding taxes payable to various foreign countries. Our substantially undrawn credit facility provides us with significant liquidity in the U.S.
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We invest a portion of our excess cash in highly liquid, high-quality instruments with maturities greater than 90 days, but less than 1 year, which we classify as short-term investments on our consolidated condensed balance sheets.  As these investments were funded using a portion of excess cash and represent a significant aspect of our cash management strategy, we include the investments in the calculation of net cash and short-term investments (debt).

The interest rates on our short-term investments average 0.5% and are approximately 20 basis points higher than interest rates on our cash accounts.  Transactions related to these investments are classified as investing activities on our consolidated condensed statements of cash flows.

The following table summarizes the components of net cash and short-term investments (debt) at December 31, 2013 and 2012, respectively (in thousands):

 
 
December 31,
2013
   
December 31,
2012
 
 
 
   
 
Credit Facility
 
$
114,000
   
$
89,000
 
Exchangeable unsecured notes, due 2102
   
38,642
     
95,042
 
Convertible senior debentures, due 2040*
   
101,846
     
100,166
 
Convertible senior debentures, due 2041*
   
52,264
     
51,399
 
Convertible senior debentures, due 2042*
   
58,159
     
57,324
 
Total debt
   
364,911
     
392,931
 
 
               
Cash and cash equivalents
   
640,348
     
697,595
 
Short-term investments
   
511,231
     
294,943
 
 
               
Net cash and short-term investments (debt)
 
$
786,668
   
$
599,607
 

Measurements such as "free cash" and "net cash and short-term investments (debt)" do not have uniform definitions and are not recognized in accordance with GAAP. Such measures should not be viewed as alternatives to GAAP measures of performance or liquidity. However, management believes that "free cash" is a meaningful measure of our ability to fund acquisitions, repay debt, and otherwise enhance stockholder value through stock repurchases or dividends, and that an analysis of "net cash and short-term investments (debt)" assists investors in understanding aspects of our cash and debt management. These measures, as calculated by us, may not be comparable to similarly titled measures used by other companies.

Our financial condition as of December 31, 2013 continued to be strong, with a current ratio (current assets to current liabilities) of 4.4 to 1, as compared to 4.3 to 1 as of December 31, 2012. The slight increase is primarily due to an increase in cash and short-term investments in 2013. Our ratio of total debt to Vishay stockholders' equity was 0.19 to 1 at December 31, 2013 as compared to a ratio of 0.24 to 1 at December 31, 2012. The significant decrease in the ratio is primarily due to the exchange by a holder of $56.4 million principal amount of our exchangeable unsecured notes for shares of our common stock in the third fiscal quarter of 2013.

Cash flows provided by operating activities were $292.1 million for the year ended December 31, 2013, as compared to cash flows provided by operations of $287.5 million for the year ended December 31, 2012.

Cash paid for property and equipment for the year ended December 31, 2013 was $153.1 million, as compared to $150.3 million for the year ended December 31, 2012. We expect capital spending of approximately $160 million in 2014.
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Contractual Commitments and Off-Balance Sheet Arrangements

As of December 31, 2013 we had contractual obligations as follows (in thousands):

 
 
   
Payments due by period
 
 
 
   
   
   
   
 
 
 
Total
   
Year 1
   
Years
2-3
   
Years
4-5
   
More than
5
 
 
 
   
   
   
   
 
Long-term debt
 
$
727,642
   
$
-
   
$
-
   
$
114,000
   
$
613,642
 
Interest payments on long-term debt
   
383,771
     
17,545
     
35,091
     
33,310
     
297,825
 
Operating and capital leases
   
82,100
     
26,954
     
38,175
     
14,173
     
2,798
 
Letters of credit
   
7,655
     
-
     
-
     
7,655
     
-
 
Expected pension and postretirement plan funding
   
393,905
     
34,435
     
69,834
     
82,740
     
206,896
 
Estimated costs to complete construction in progress
   
35,541
     
35,541
     
-
     
-
     
-
 
Uncertain tax positions, including interest and penalties
   
53,643
     
4,489
     
-
     
-
     
49,154
 
Purchase commitments
   
167,113
     
40,319
     
91,333
     
35,461
     
-
 
Other long-term liabilities
   
50,272
     
-
     
4,200
     
2,700
     
43,372
 
Executive employment agreement
   
10,000
     
10,000
     
-
     
-
     
-
 
Total contractual cash obligations
 
$
1,911,642
   
$
169,283
   
$
238,633
   
$
290,039
   
$
1,213,687
 

Commitments for long-term debt are based on the amount required to settle the obligation. Accordingly, the discounts associated with our convertible debentures due 2040, due 2041, and due 2042 are excluded from the calculation of long-term debt commitments in the table above.

Commitments for interest payments on long-term debt are cash commitments based on the stated maturity dates of each agreement, one of which bears a maturity date of 2102, and include facility fees under our revolving credit facility, which expires on August 8, 2018.  Commitments for interest payments on long-term debt exclude non-cash interest expense related to the amortization of the discount associated with our convertible debentures due 2040, due 2041, and due 2042.

Various factors could have a material effect on the amount of future principal and interest payments. Among other things, approximately $614 million of our outstanding debt instruments are convertible into or exchangeable for common stock at the option of the holder.  Also, although we intend to net share settle our convertible senior debentures due 2040, due 2041, and due 2042, we have the option to settle these instruments in shares of common stock pursuant to the indenture governing these debentures.  Additionally, interest commitments for our variable-rate exchangeable notes due 2102 and revolving credit facility are based on the rate prevailing at December 31, 2013, but actual rates are variable and are certain to change over time.

Our consolidated balance sheet at December 31, 2013 includes liabilities associated with uncertain tax positions in multiple taxing jurisdictions where we conduct business.  Due to the uncertain and complex application of tax regulations, combined with the difficulty in predicting when tax examinations throughout the world may be concluded, we cannot make reliable estimates of the timing of the remaining cash outflows relating to these liabilities. Accordingly, we have classified the amount recorded as a current liability as payable within one year, and the remaining uncertain tax positions are classified as payments due after five years, although actual timing of payments may be sooner.

There are certain guarantees and indemnifications extended among Vishay and VPG in accordance with the terms of the Master Separation and Distribution Agreement and the Tax Matters Agreement. The guarantees primarily relate to certain contingent tax liabilities included in the Tax Matters Agreement. See Note 19 to our consolidated financial statements for further discussion of the Tax Matters Agreement. These obligations were not material to us as of December 31, 2013, and are included in the uncertain tax positions disclosed above.
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We maintain long-term foundry agreements with subcontractors to ensure access to external front-end capacity for our semiconductor products. The purchase commitments in the table above represent the estimated minimum commitments for silicon wafers under these agreements.  Our actual purchases in future periods are expected to be greater than these minimum commitments.

GAAP requires that management evaluate if purchase commitments are at prices in excess of current market prices. The purchase commitments for silicon wafers described above are for the manufacture of proprietary products using Vishay Siliconix-owned technology licensed to these subcontractors by Siliconix, and accordingly, management can only estimate the "market price" of the wafers which are the subject of these commitments. Management believes that these commitments are at prices which are not in excess of estimated current market prices.

Other long-term liabilities in the table above include obligations that are reflected on our consolidated balance sheets as of December 31, 2013. Other long-term liabilities for which we are unable to reasonably estimate the timing of the settlement are classified as payments due after five years in the table above, although actual timing of payments may be sooner.

As more fully described in Note 13 to our consolidated financial statements, on May 13, 2009, we entered into an amended and restated employment agreement with the late Dr. Felix Zandman, our founder and former Executive Chairman, Chief Technical and Business Development Officer. Pursuant to the amended and restated employment agreement, Dr. Zandman received $10 million upon signing the agreement and five additional annual payments of $10 million each, one of which remains to be paid to his estate as of December 31, 2013. Dr. Zandman's passing in June 2011 had no effect on the timing of these payments.

For a further discussion of our long-term debt, pensions and other postretirement benefits, leases, uncertain tax positions, executive employment agreements, and purchase commitments, see Notes 5, 6, 11, and 13 to our consolidated financial statements.

We do not participate in, nor have we created, any off-balance sheet variable interest entities or other off-balance sheet financing, other than the operating leases described above.

Inflation

Normally, inflation does not have a significant impact on our operations as our products are not generally sold on long-term contracts. Consequently, we can adjust our selling prices, to the extent permitted by competition, to reflect cost increases caused by inflation.

See also "Commodity Price Risk" included in Item 7A, "Quantitative and Qualitative Disclosures About Market Risk" for additional related information.

Recent Accounting Pronouncements

As more fully described in Note 1 to our consolidated financial statements, new accounting guidance became effective for us in 2013. There is no effective accounting guidance pending adoption as of December 31, 2013 that is expected to have a material effect on our future financial position, results of operations, or liquidity.

The adoption of the new guidance in Note 1 to our consolidated financial statements is not expected to have a material effect on our financial position, results of operations, or liquidity.
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Item 7A.
QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK

Market Risk Disclosure

We are exposed to certain financial risks, including fluctuations in foreign currency exchange rates, interest rates, and commodity prices. We manage our exposure to these market risks through internally established policies and procedures and, when deemed appropriate, through the use of derivative financial instruments. Our policies do not allow speculation in derivative instruments for profit or execution of derivative instrument contracts for which there are no underlying exposures. We do not use financial instruments for trading purposes and we are not a party to any leveraged derivatives. We monitor our underlying market risk exposures on an ongoing basis and believe that we can modify or adapt our hedging strategies as needed.

Interest Rate Risk

We are exposed to changes in interest rates as a result of our borrowing activities and our cash balances. On a selective basis, we have in the past entered into interest rate swap or cap agreements to reduce the potential negative impact that increases in interest rates could have on our outstanding variable rate debt. As of December 31, 2013, 2012, and 2011 we did not have any outstanding interest rate swap or cap agreements.

We are exposed to changes in interest rates on our exchangeable notes due 2102. The exchangeable notes, of which $38.6 million are outstanding, bear interest at LIBOR (reset quarterly).

The interest paid on our credit facility is based on a LIBOR spread.  At December 31, 2013, we had $114 million outstanding under the revolving credit facility. The present amounts outstanding under the revolving credit commitment bears interest at LIBOR plus 1.75%.

Our convertible senior debentures due 2040, due 2041, and due 2042 bear interest at a fixed rate, and accordingly are not subject to interest rate fluctuation risks.

At December 31, 2013, we have $640.3 million of cash and cash equivalents and $511.2 million of short-term investments, which earn interest at various variable rates.

Based on the debt and cash positions at December 31, 2013, we would expect a 50 basis point increase or decrease in interest rates to increase or decrease our annualized net earnings by approximately $3.4 million.

See Note 6 to our consolidated financial statements for additional information about our long-term debt. Also see "Economic Outlook and Impact on Operations and Future Financial Results" included in Item 7, "Management's Discussion and Analysis of Financial Condition and Results of Operations" for additional discussion of market risks.

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Foreign Exchange Risk

We are exposed to foreign currency exchange rate risks, particularly due to market values of transactions in currencies other than the functional currencies of certain subsidiaries. From time to time, we utilize forward contracts to hedge a portion of projected cash flows from these exposures. As of December 31, 2013, we did not have any outstanding foreign currency forward exchange contracts.

Our significant foreign subsidiaries are located in Germany, Israel, and Asia. We finance our operations in Europe and certain locations in Asia in local currencies. Our operations in Israel and most significant locations in Asia are largely financed in U.S. dollars, but these subsidiaries also have significant transactions in local currencies. Our exposure to foreign currency risk is mitigated to the extent that the costs incurred and the revenues earned in a particular currency offset one another. Our exposure to foreign currency risk is more pronounced in Israel, the Czech Republic, and China because the percentage of expenses denominated in Israeli shekels, Czech koruna, and Chinese renminbi to total expenses is much greater than the percentage of sales denominated in Israeli shekels, Czech koruna, and Chinese renminbi to total sales.  Therefore, if the Israeli shekel, Czech koruna, and Chinese renminbi strengthen against all or most of our other major currencies, our operating profit is reduced.  Where possible, we maintain local currency denominated cash balances in these countries approximately equal to the local currency liabities to naturally hedge our exposures.  We also have a higher percentage of Euro-denominated sales than expenses.  Therefore, when the Euro strengthens against all or most of our other major currencies, our operating profit is increased.  Accordingly, we monitor several important cross-rates.

We have performed sensitivity analyses as of December 31, 2013 and 2012, using a model that measures the change in the values arising from a hypothetical 10% adverse movement in foreign currency exchange rates relative to the U.S. dollar, with all other variables held constant. The foreign currency exchange rates we used were based on market rates in effect at December 31, 2013 and 2012. The sensitivity analyses indicated that a hypothetical 10% adverse movement in foreign currency exchange rates would impact our net earnings by approximately $2.4 million and $4.1 million at December 31, 2013 and December 31, 2012, respectively, although individual line items in our consolidated statement of operations would be materially affected. For example, a 10% weakening in all foreign currencies would increase the U.S. dollar equivalent of operating income generated in foreign currencies, which would be offset by foreign exchange losses of our foreign subsidiaries that have significant transactions in U.S. dollars or have the U.S. dollar as their functional currency.

A change in the mix of the currencies in which we transact our business could have a material effect on the estimated impact of the hypothetical 10% movement in the value of the U.S. dollar. Furthermore, the timing of cash receipts and disbursements could result in materially different actual results versus the hypothetical 10% movement in the value of the U.S. dollar, particularly if there are significant changes in exchange rates in a short period of time.

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Commodity Price Risk

Although most materials incorporated in our products are available from a number of sources, certain materials are available only from a relatively limited number of suppliers or are subject to significant price volatility. Our results of operations may be materially and adversely affected if we have difficulty obtaining these raw materials, the quality of available raw materials deteriorates, or there are significant price changes for these raw materials. The determination that any of the raw materials used in our products are conflict minerals originating from the Democratic Republic of the Congo and adjoining countries could increase the probability that we will encounter the challenges noted above, incur additional expenses to comply with government regulations, and face public scrutiny. For periods in which the prices of these raw materials are rising, we may be unable to pass on the increased cost to our customers which would result in decreased margins for the products in which they are used. For periods in which the prices are declining, we may be required to write down our inventory carrying cost of these raw materials, since we record our inventory at the lower of cost or market. Depending on the extent of the difference between market price and our carrying cost, this write-down could have a material adverse effect on our net earnings. We also may need to record losses for adverse purchase commitments for these materials in periods of declining prices.

Silicon wafers are the most important raw material for the manufacturing of our semiconductor products. Silicon wafers are manufactured from high-purity silicon, a metalloid. There have at times been industry-wide shortages of high-purity silicon resulting primarily from growing demand of the electronic component and solar power industries, and limited growth in high-purity silicon manufacturing capacities. Shifts in demand for high-purity silicon and in turn, silicon wafers, have resulted in significant fluctuation in prices of silicon wafers.

We are a major consumer of the world's annual production of tantalum, a metal used in the manufacturing of tantalum capacitors. There are few suppliers that process tantalum ore into capacitor grade tantalum powder.  We acquire tantalum powder and wire from all of them under short-term commitments.

Palladium, a metal used to produce multi-layer ceramic capacitors, is currently found primarily in South Africa and Russia. Palladium is a commodity metal that is subject to price volatility. We periodically enter into short-term commitments to purchase palladium.

Certain metals used in the manufacture of our products, such as copper, are traded on active markets, and can be subject to significant price volatility.  Our policy is to enter into short-term commitments to purchase defined portions of annual consumption of these metals if market prices decline below budget.

We estimate that a 10% increase or decrease in the costs of raw materials subject to commodity price risk would decrease or increase our net earnings by $7.1 million, assuming that such changes in our costs have no impact on the selling prices of our products and that we have no pending commitments to purchase metals at fixed prices.


Item 8.
FINANCIAL STATEMENTS AND SUPPLEMENTARY DATA

The financial statements required by this Item are included herein, commencing on page F-1 of this report.

Item 9.
CHANGES IN AND DISAGREEMENTS WITH ACCOUNTANTS ON ACCOUNTING AND FINANCIAL DISCLOSURE

None.
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Item 9A.
CONTROLS AND PROCEDURES

Conclusion Regarding the Effectiveness of Disclosure Controls and Procedures

An evaluation was performed under the supervision and with the participation of our management, including the Chief Executive Officer ("CEO") and Chief Financial Officer ("CFO"), of the effectiveness of the design and operation of our disclosure controls and procedures, as such term is defined under Rule 13a-15(e) and Rule 15d-15(e) promulgated under the Securities Exchange Act of 1934, as amended. Based on that evaluation, our CEO and CFO concluded that our disclosure controls and procedures were effective as of the end of the period covered by this annual report to ensure that information required to be disclosed in reports that we file or submit under the Exchange Act is: (1) recorded, processed, summarized, and reported within the time periods specified in the SEC's rules and forms; and (2) accumulated and communicated to our management, including our CEO and CFO, as appropriate to allow timely decisions regarding required disclosure.

Management's Report on Internal Control Over Financial Reporting

Our management is responsible for establishing and maintaining adequate internal control over financial reporting, as such term is defined in Exchange Act Rules 13a-15(f) and 15d-15(f). Under the supervision and with the participation of our management, including our CEO and CFO, we conducted an evaluation of the effectiveness of our internal control over financial reporting as of December 31, 2013 based on the 1992 framework set forth in Internal Control – Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission.  Based on that evaluation, our management concluded that our internal control over financial reporting was effective as of December 31, 2013.

Ernst & Young LLP has issued an attestation report on the effectiveness of our internal control over financial reporting, as stated in their report which is included herein on page F-3.

Changes in Internal Control Over Financial Reporting

There were no changes in our internal control over financial reporting during our last fiscal quarter that have materially affected, or are reasonably likely to materially affect, our internal control over financial reporting.

Certifications

The certifications of our CEO and CFO pursuant to Section 302 of the Sarbanes-Oxley Act of 2002 are filed as Exhibits 31.1 and 31.2 to this Annual Report on Form 10-K. We have also filed with the New York Stock Exchange the most recent Annual Certification as required by Section 303A.12(a) of the New York Stock Exchange Listed Company Manual.


Item 9B.
OTHER INFORMATION

None.
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Item 10.
DIRECTORS, EXECUTIVE OFFICERS, AND CORPORATE GOVERNANCE

We have a code of ethics applicable to our Chief Executive Officer, Chief Financial Officer, Principal Accounting Officer or Controller, and financial managers. The text of this code has been posted on our website. To view the code, go to our website at ir.vishay.com and click on Corporate Governance. You can obtain a printed copy of this code, free of charge, by contacting us at the following address:

Corporate Investor Relations
Vishay Intertechnology, Inc.
63 Lancaster Avenue
Malvern, PA 19355-2143

It is our intention to satisfy the disclosure requirement under Item 5.05 of Form 8-K regarding any amendment to, or any waiver from, a provision of this code by posting such information on our website, at the aforementioned address and location.

Certain information required under this Item with respect to our Executive Officers is set forth in Part I hereof under the caption "Executive Officers of the Registrant."
Other information required under this Item will be contained in our definitive proxy statement, which will be filed within 120 days of December 31, 2013, our most recent fiscal year end, and is incorporated herein by reference.


Item 11.
EXECUTIVE COMPENSATION

Information required under this Item will be contained in our definitive proxy statement, which will be filed within 120 days of December 31, 2013, our most recent fiscal year end, and is incorporated herein by reference


Item 12.
SECURITY OWNERSHIP OF CERTAIN BENEFICIAL OWNERS AND MANAGEMENT AND RELATED STOCKHOLDER MATTERS

Information required under this Item will be contained in our definitive proxy statement, which will be filed within 120 days of December 31, 2013, our most recent fiscal year end, and is incorporated herein by reference.


Item 13.
CERTAIN RELATIONSHIPS AND RELATED TRANSACTIONS, AND DIRECTOR INDEPENDENCE

Information required under this Item will be contained in our definitive proxy statement, which will be filed within 120 days of December 31, 2013, our most recent fiscal year end, and is incorporated herein by reference.


Item 14.
PRINCIPAL ACCOUNTING FEES AND SERVICES

Information required under this Item will be contained in our definitive proxy statement, which will be filed within 120 days of December 31, 2013, our most recent fiscal year end, and is incorporated herein by reference.
-71-



Item 15.
EXHIBITS, FINANCIAL STATEMENT SCHEDULES

(a)  Documents Filed as Part of Form 10-K
1. Financial Statements
The Consolidated Financial Statements for the year ended December 31, 2013 are filed herewith. See Index to the Consolidated Financial Statements on page F-1 of this report.
2. Financial Statement Schedules
All financial statement schedules for which provision is made in the applicable accounting regulation of the Securities and Exchange Commission are not required under the related instructions or are inapplicable and therefore have been omitted.
3.
Exhibits
 
 
3.1
Corrected Amended and Restated Certificate of Incorporation of Vishay Intertechnology, Inc. dated June 5, 2012. Incorporated by reference to Exhibit 3.1 to our current report on Form 8-K filed June 5, 2012.
 
3.2
Amended and Restated Bylaws dated June 1, 2011. Incorporated by reference to Exhibit 3.2 to our current report on Form 8-K filed June 2, 2011.
 
4.1
Note Instrument, dated as of December 13, 2002. Incorporated by reference to Exhibit 4.3 to our current report on Form 8-K filed December 23, 2002.
 
4.2
Indenture, dated as of November 9, 2010, by and between Vishay Intertechnology, Inc. and Wilmington Trust Company, as Trustee. Incorporated by reference to Exhibit 4.1 to our current report on Form 8-K filed November 9, 2010.
 
4.3
Indenture, dated as of May 13, 2011, by and between Vishay Intertechnology, Inc. and Wilmington Trust Company, as Trustee. Incorporated by reference to Exhibit 4.1 to our current report on Form 8-K filed May 13, 2011.
 
4.4
Indenture, dated as of May 31, 2012, by and between Vishay Intertechnology, Inc. and Union Bank, N.A., as Trustee. Incorporated by reference to Exhibit 4.1 to our current report on Form 8-K filed May 31, 2012.
 
10.1†
Vishay Intertechnology Section 162(m) Cash Bonus Plan as amended and restated on February 21, 2012. Incorporated by reference to Annex A to our Proxy Statement, dated April 5, 2012, for our 2012 Annual Meeting of Stockholders, filed April 5, 2012.
 
10.2†
Vishay Intertechnology Senior Executive Phantom Stock Plan. Incorporated by reference to Annex C to our Proxy Statement, dated April 7, 2004, for our 2004 Annual Meeting of Stockholders.
 
10.3†
Vishay Intertechnology, Inc. 1998 Stock Option Program. Incorporated by reference to our Proxy Statement, dated April 16, 1998, for our 1998 Annual Meeting of Stockholders.
 
10.4†
Amendment to Section 4.1 of Vishay's 1998 Stock Option Program. Incorporated by reference to Proposal Three, included in our Proxy Statement, dated April 16, 2007, for our 2007 Annual Meeting of Stockholders.
 
 
10.5†
Vishay Intertechnology, Inc. 2007 Stock Incentive Program. Incorporated by reference to Annex A to our Proxy Statement, dated April 5, 2013, for our 2013 Annual Meeting of Stockholders.
 
10.6
Securities Investment and Registration Rights Agreement by and among Vishay Intertechnology, Inc. and the Original Holders (as defined), dated as of December 13, 2002. Incorporated by reference to Exhibit 4.4 to our current report on Form 8-K filed December 23, 2002.
 

-72-


 
10.7
Note Purchase Agreement between Vishay Intertechnology, Inc. and Subscribers (as defined), dated as of December 13, 2002. Incorporated by reference to Exhibit 4.2 to our current report on Form 8-K filed December 23, 2002.
 
10.8
Put and Call Agreement between Vishay Intertechnology, Inc. and the Initial Holders (as defined), dated as of December 13, 2002. Incorporated by reference to Exhibit 4.5 to our current report on Form 8-K filed December 23, 2002.
 
10.9
Press release, dated July 21, 2010, announcing the terms of the replacement notes to be issued to holders of Vishay's exchangeable floating-rate unsecured notes due 2102 and revised terms of its outstanding warrants as required due to the spin-off of Vishay Precision Group, Inc. on July 6, 2010. Incorporated by reference to Exhibit 99 to our current report on Form 8-K filed July 22, 2010.
 
10.10†
Amended and Restated Employment Agreement between Vishay Intertechnology, Inc. and Dr. Felix Zandman. Incorporated by reference to Exhibit 10.1 to our current report on Form 8-K/A filed May 15, 2009.
 
10.11†
Amendment to Employment Agreement, dated August 8, 2010, between Vishay Intertechnology, Inc. and Dr. Felix Zandman. Incorporated by reference to Exhibit 10.4 to our quarterly report on Form 10-Q for the fiscal quarter ended July 3, 2010.
 
10.12†
Employment agreement, between Vishay Europe GmbH (an indirect wholly owned subsidiary of Vishay Intertechnology, Inc.) and Dr. Gerald Paul. Incorporated by reference to Exhibit 10.3 to our quarterly report on Form 10-Q for the fiscal quarter ended October 2, 2004.
 
10.13†
Amendment to Employment Agreement, dated August 8, 2010, between Vishay Europe GmbH (an indirect wholly owned subsidiary of Vishay Intertechnology, Inc.) and Dr. Gerald Paul. Incorporated by reference to Exhibit 10.5 to our quarterly report on Form 10-Q for the fiscal quarter ended July 3, 2010.
 
10.14†
Amendment to Employment Agreement, dated August 28, 2011, between Vishay Europe GmbH (an indirect wholly owned subsidiary of Vishay Intertechnology, Inc.) and Dr. Gerald Paul. Incorporated by reference to Exhibit 10.3 to our quarterly report on Form 10-Q for the fiscal quarter ended October 1, 2011.
 
10.15†
Employment Agreement between Vishay Israel Ltd. (a wholly owned subsidiary of Vishay Intertechnology, Inc.) and Marc Zandman. Incorporated by reference to Exhibit 10.2 to our quarterly report on Form 10-Q for the fiscal quarter ended October 2, 2004.
 
10.16†
Amendment to Employment Agreement, dated August 8, 2010, between Vishay Israel Ltd. (a wholly owned subsidiary of Vishay Intertechnology, Inc.) and Marc Zandman. Incorporated by reference to Exhibit 10.6 to our quarterly report on Form 10-Q for the fiscal quarter ended July 3, 2010.
 
10.17†
Amendment to Employment Agreement, dated August 30, 2011, between Vishay Israel Ltd. (a wholly owned subsidiary of Vishay Intertechnology, Inc.) and Marc Zandman. Incorporated by reference to Exhibit 10.2 to our quarterly report on Form 10-Q for the fiscal quarter ended October 1, 2011.
 
10.18†
Employment Agreement between Vishay Intertechnology, Inc. and Dr. Lior E. Yahalomi. Incorporated by reference to Exhibit 10.1 to our current report on Form 8-K/A filed December 10, 2008.
 
10.19†
Amendment to Employment Agreement, dated August 8, 2010, between Vishay Intertechnology, Inc. and Dr. Lior E. Yahalomi. Incorporated by reference to Exhibit 10.7 to our quarterly report on Form 10-Q for the fiscal quarter ended July 3, 2010.
 
10.20†
Amendment to Employment Agreement, dated December 15, 2010, between Vishay Intertechnology, Inc. and Dr. Lior E. Yahalomi. Incorporated by reference to Exhibit 10.1 to our current report on Form 8-K filed December 17, 2010.
-73-


 
10.21†
Separation Agreement, dated August 17, 2011, between Vishay Intertechnology, Inc. and Dr. Lior E. Yahalomi. Incorporated by reference to Exhibit 10.5 to our quarterly report on Form 10-Q for the fiscal quarter ended October 1, 2011.
 
10.22†
General Release and Agreement, dated September 7, 2011, between Vishay Intertechnology, Inc. and Dr. Lior E. Yahalomi. Incorporated by reference to Exhibit 10.6 to our quarterly report on Form 10-Q for the fiscal quarter ended October 1, 2011.
 
10.23†
Compensation Matters Agreement, dated August 23, 2011, between Vishay Intertechnology, Inc. and Lori Lipcaman. Incorporated by reference to Exhibit 10.4 to our quarterly report on Form 10-Q for the fiscal quarter ended October 1, 2011.
 
10.24†
Compensation Matters Agreement, dated November 11, 2011, between Vishay Intertechnology, Inc. and Dieter Wunderlich. Incorporated by reference to Exhibit 10.30 to our 2011 annual report on Form 10-K.
 
10.25†
Terms and Conditions of Johan Vandoorn Employment Agreement, dated January 16, 2012. Incorporated by reference to Exhibit 10.31 to our 2011 annual report on Form 10-K.
 
10.26†
Employment Agreement between Vishay Americas, Inc. (a wholly owned subsidiary of Vishay Intertechnology, Inc.) and David Valletta dated November 21, 2011. Incorporated by reference to Exhibit 10.32 to our 2011 annual report on Form 10-K.
 
10.27†
Consulting and Non-Competition Agreement between Vishay Intertechnology, Inc. and Richard N. Grubb. Incorporated by reference to Exhibit 10.17 to our 2008 annual report on Form 10-K.
 
10.28
Technology License Agreement, dated as of April 1, 2007, by and between International Rectifier Corporation and Vishay Intertechnology, Inc. Incorporated by reference to Exhibit 99.1 to International Rectifier Corporation's current report on Form 8-K filed April 9, 2007.
 
10.29
Technology License Back Agreement, dated as of April 1, 2007, by and between Vishay Intertechnology, Inc. and International Rectifier Corporation. Incorporated by reference to Exhibit 99.2 to International Rectifier Corporation's current report on Form 8-K filed April 9, 2007.
 
10.30
Amended and Restated Transition Services Agreement, dated as of April 1, 2007, by and between International Rectifier Corporation and Vishay Intertechnology, Inc. Incorporated by reference to Exhibit 99.5 to International Rectifier Corporation's current report on Form 8-K filed April 9, 2007.
 
10.31
 
Transition Product Services Agreement, dated as of April 1, 2007, by and between International Rectifier Corporation, International Rectifier Southeast Asia Pte. Ltd., Vishay Intertechnology, Inc., and Vishay Asia Logistics Pte. Ltd. Incorporated by reference to Exhibit 99.6 to International Rectifier Corporation's current report on Form 8-K filed April 9, 2007.
 
10.32
Transition Buy Back Die Supply Agreement, dated as of April 1, 2007, by and between International Rectifier Corporation and Vishay Intertechnology, Inc. Incorporated by reference to Exhibit 99.7 to International Rectifier Corporation's current report on Form 8-K filed April 9, 2007.
 
10.33
Transition IGBT/Auto Die Supply Agreement, dated as of April 1, 2007, by and between International Rectifier Corporation and Vishay Intertechnology, Inc. Incorporated by reference to Exhibit 99.8 to International Rectifier Corporation's current report on Form 8-K filed April 9, 2007.
 
10.34
Indemnification Escrow Agreement, dated as of April 1, 2007, by and among Vishay Intertechnology, Inc., International Rectifier Corporation and Union Bank of California, N.A., as escrow agent. Incorporated by reference to Exhibit 99.9 to International Rectifier Corporation's current report on Form 8-K filed April 9, 2007.
-74-


 
10.35
Confidential Settlement Agreement and Release, Amendment No. 1 to Transition Buy Back Die Supply Agreement, Amendment No. 2 to Technology License Agreement, Amendment No. 7 to Master Purchase Agreement, and Amendment No. 3 to Asset Purchase Agreement, dated June 25, 2009, by and between Vishay Intertechnology, Inc. and International Rectifier Corporation. Incorporated by reference to Exhibit 10.1 to International Rectifier Corporation's current report on Form 8-K/A filed July 29, 2009.
 
10.36
Master Separation and Distribution Agreement, dated June 22, 2010, by and among Vishay Intertechnology, Inc. and Vishay Precision Group, Inc. Incorporated by reference to Exhibit 10.1 to our current report on Form 8-K filed June 23, 2010.
 
10.37
Employee Matters Agreement, dated June 22, 2010, by and among Vishay Intertechnology, Inc. and Vishay Precision Group, Inc. Incorporated by reference to Exhibit 10.2 to our current report on Form 8-K filed June 23, 2010.
 
10.38
Tax Matters Agreement, dated July 6, 2010, between Vishay Precision Group, Inc. and Vishay Intertechnology, Inc. Incorporated by reference to Exhibit 10.1 to Vishay Precision Group, Inc.'s current report on Form 8-K filed July 7, 2010.
 
10.39
Trademark License Agreement, dated July 6, 2010, between Vishay Precision Group, Inc. and Vishay Intertechnology, Inc. Incorporated by reference to Exhibit 10.2 to Vishay Precision Group, Inc.'s current report on Form 8-K filed July 7, 2010.
 
10.40*
Supply Agreement, dated July 6, 2010, between Vishay Advanced Technology, Ltd. And Vishay Dale Electronics, Inc. Incorporated by reference to Exhibit 10.4 to Vishay Precision Group, Inc.'s current report on Form 8-K filed July 7, 2010.
 
10.41*
Patent License Agreement, dated July 6, 2010, between Vishay Precision Group, Inc. and Vishay Dale Electronics, Inc. Incorporated by reference to Exhibit 10.6 to Vishay Precision Group, Inc.'s current report on Form 8-K filed July 7, 2010.
 
10.42
Lease Agreement, dated July 4, 2010, between Vishay Advanced Technology, Ltd. And V.I.E.C. Ltd. Incorporated by reference to Exhibit 10.7 to Vishay Precision Group, Inc.'s current report on Form 8-K filed July 7, 2010.
 
10.43
Amendment No. 1 to Lease Agreement, dated March 1, 2012, between Vishay Advanced Technology, Ltd. And V.I.E.C. Ltd. Incorporated by reference to Exhibit 10.2 to our quarterly report on Form 10-Q for the fiscal quarter ended March 31, 2012.
 
10.44*
Supply Agreement, dated July 6, 2010, between Vishay Dale Electronics, Inc. and Vishay Advanced Technology, Ltd. Incorporated by reference to Exhibit 10.8 to Vishay Precision Group, Inc.'s current report on Form 8-K filed July 7, 2010.
 
10.45*
Supply Agreement, dated July 6, 2010, between Vishay Measurements Group, Inc. and Vishay S.A. Incorporated by reference to Exhibit 10.9 to Vishay Precision Group, Inc.'s current report on Form 8-K filed July 7, 2010.
 
10.46*
Manufacturing Agreement, dated July 6, 2010, between Vishay S.A. and Vishay Precision Foil GmbH. Incorporated by reference to Exhibit 10.10 to Vishay Precision Group, Inc.'s current report on Form 8-K filed July 7, 2010.
-75-


 
10.47
Intellectual Property License Agreement, dated July 6, 2010, between Vishay S.A. and Vishay Precision Foil GmbH. Incorporated by reference to Exhibit 10.11 to Vishay Precision Group, Inc.'s current report on Form 8-K filed July 7, 2010.
 
10.48*
Supply Agreement, dated July 6, 2010, between Vishay Precision Foil GmbH and Vishay S.A. Incorporated by reference to Exhibit 10.12 to Vishay Precision Group, Inc.'s current report on Form 8-K filed July 7, 2010.
 
10.49*
Intellectual Property License Agreement, dated July 6, 2010, between Vishay S.A. and Vishay Measurements Group, Inc. Incorporated by reference to Exhibit 10.13 to Vishay Precision Group, Inc.'s current report on Form 8-K filed July 7, 2010.
 
10.50
Lease Agreement between Vishay Alpha Electronics Corporation and Vishay Japan Co., Ltd. Incorporated by reference to Exhibit 10.14 to Vishay Precision Group, Inc.'s current report on Form 8-K filed July 7, 2010.
 
10.51
Credit Agreement, dated as of December 1, 2010 among Vishay Intertechnology, Inc. and JPMorgan Chase Bank, N.A., as administrative agent and the lenders and other parties thereto. Incorporated by reference to Exhibit 10.1 to our current report on Form 8-K filed December 1, 2010
 
10.52
First Amendment and Waiver to Credit Agreement dated March 2, 2011, among Vishay Intertechnology, Inc. and JPMorgan Chase Bank, N.A., as administrative agent and the lenders and other parties thereto. Incorporated by reference to Exhibit 10.2 to our quarterly report on Form 10-Q for the fiscal quarter ended April 1, 2011.
 
10.53
Second Amendment dated September 8, 2011, among Vishay Intertechnology, Inc. and JPMorgan Chase Bank, N.A., as administrative agent and the lenders and other parties thereto. Incorporated by reference to Exhibit 10.1 to our current report on Form 8-K filed September 9, 2011.
 
10.54
Third Amendment and Incremental Facility Agreement dated April 3, 2012, among Vishay Intertechnology, Inc., the Incremental Revolving Lenders party hereto, and JPMorgan Chase Bank, N.A. in its capacities as administrative agent and issuing bank. Incorporated by reference to Exhibit 10.1 to our current report on Form 8-K filed April 3, 2012.
 
10.55
Credit Agreement, dated as of December 1, 2010, as amended and restated as of August 8, 2013 among Vishay Intertechnology, Inc. and JPMorgan Chase Bank, N.A., as administrative agent and the lenders and other parties thereto. Incorporated by reference to Exhibit 10.1 to our current report on Form 8-K filed August 8, 2013.
 
10.56†
Vishay Intertechnology, Inc. Deferred Compensation Plan (as amended and restated, effective November 15, 2011). Incorporated by reference to Exhibit 4.1 to our Registration Statement on Form S-8 (No. 333-178895) filed January 5, 2012.
  10.57†**
Vishay Intertechnology, Inc. Form of Executive Officer Restricted Stock Unit Agreement.
  10.58†**
Vishay Intertechnology, Inc. Form of Executive Officer Amended Restricted Stock Unit Agreement.
  10.59†**
Vishay Intertechnology, Inc. Form of Restricted Stock Unit Agreement.
  10.60†**
Vishay Intertechnology, Inc. Form of Executive Officer Phantom Stock Unit Agreement.
 
21**
Subsidiaries of the Registrant.
 
23.1**
Consent of Independent Registered Public Accounting Firm.

-76-


 
31.1**
Certification pursuant to Rules 13a-15(e) or 15d-15(e) under the Securities Exchange Act of 1934, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002 – Chief Executive Officer.
 
31.2**
Certification pursuant to Rules 13a-15(e) or 15d-15(e) under the Securities Exchange Act of 1934, as adopted pursuant to Section 302 of the Sarbanes-Oxley Act of 2002 – Chief Financial Officer.
 
32.1**
Certification Pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 – Chief Executive Officer.
 
32.2**
Certification Pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 – Chief Financial Officer.
 
101**
Interactive Data File (Annual Report on Form 10-K, for the year ended December 31, 2013, furnished in XBRL (eXtensible Business Reporting Language)).
__________________
* Confidential treatment has been requested by, and accorded to, VPG with respect to certain portions of this Exhibit. Omitted portions have been filed separately by VPG with the Securities and Exchange Commission.
** Filed herewith.
† Denotes a management contract or compensatory plan, contract, or arrangement.
-77-


SIGNATURES

Pursuant to the requirement of Section 13 or 15(d) of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 
  VISHAY INTERTECHNOLOGY, INC.
 
 
By:
/s/ Gerald Paul
 
 
Dr. Gerald Paul
 
 
President and Chief Executive Officer
 
 
February 19, 2014
 

Pursuant to the requirements of the Securities Exchange Act of 1934, this report has been signed below by the following persons on behalf of the Registrant and in the capacities and on the dates indicated below.

Signature
Title
Date
Principal Executive Officer:
 
 
 
 
 
/s/ Gerald Paul
President, Chief Executive Officer,
February 19, 2014
Dr. Gerald Paul
and Director
 
 
 
 
Principal Financial and Accounting Officer:
 
 
 
 
 
/s/ Lori Lipcaman
Executive Vice President and Chief
February 19, 2014
Lori Lipcaman
Financial Officer
 
 
 
 
Board of Directors:
 
 
 
 
 
/s/ Marc Zandman
Executive Chairman of
February 19, 2014
Marc Zandman
the Board of Directors
 
 
 
 
/s/ Abraham Ludomirski
Director
February 19, 2014
Dr. Abraham Ludomirski
 
 
 
 
 
/s/ Frank D. Maier
Director
February 19, 2014
Frank D. Maier
 
 
 
 
 
/s/ Wayne M. Rogers
Director
February 19, 2014
Wayne M. Rogers
 
 
 
 
 
/s/ Ronald M. Ruzic
Director
February 19, 2014
Ronald M. Ruzic
 
 
 
 
 
/s/ Ziv Shoshani
Director
February 19, 2014
Ziv Shoshani
 
 
 
 
 
/s/ Timothy V. Talbert
Director
February 19, 2014
Timothy V. Talbert
 
 
 
 
 
/s/ Thomas C. Wertheimer
Director
February 19, 2014
Thomas C. Wertheimer
 
 
 
 
 
/s/ Ruta Zandman
Director
February 19, 2014
Ruta Zandman
 
 

-78-



Vishay Intertechnology, Inc.

Index to Consolidated Financial Statements

Reports of Independent Registered Public Accounting Firm
F-2
 
 
Audited Consolidated Financial Statements
 
 
 
Consolidated Balance Sheets
F-4
Consolidated Statements of Operations
F-6
Consolidated Statements of Comprehensive Income
F-7
Consolidated Statements of Cash Flows
F-8
Consolidated Statements of Stockholders' Equity
F-9
Notes to the Consolidated Financial Statements
F-10

F-1




Report of Independent Registered Public Accounting Firm
on the Consolidated Financial Statements

The Board of Directors and Stockholders of Vishay Intertechnology, Inc.:

We have audited the accompanying consolidated balance sheets of Vishay Intertechnology Inc. as of December 31, 2013 and 2012, and the related consolidated statements of operations, comprehensive income, stockholders' equity, and cash flows for each of the three years in the period ended December 31, 2013. These financial statements are the responsibility of Vishay Intertechnology Inc.'s management. Our responsibility is to express an opinion on these financial statements based on our audits.

We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

In our opinion, the financial statements referred to above present fairly, in all material respects, the consolidated financial position of Vishay Intertechnology Inc. at December 31, 2013 and 2012, and the consolidated results of its operations and its cash flows for each of the three years in the period ended December 31, 2013, in conformity with U.S. generally accepted accounting principles.

We also have audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States), Vishay Intertechnology Inc.'s internal control over financial reporting as of December 31, 2013, based on criteria established in Internal Control—Integrated Framework (1992 framework) issued by the Committee of Sponsoring Organizations of the Treadway Commission and our report dated February 19, 2014 expressed an unqualified opinion thereon.
 
 
/s/ Ernst & Young LLP

Philadelphia, Pennsylvania
February 19, 2014
F-2



Report of Independent Registered Public Accounting Firm
on Internal Control over Financial Reporting

The Board of Directors and Stockholders of Vishay Intertechnology, Inc.:

We have audited Vishay Intertechnology Inc.'s internal control over financial reporting as of December 31, 2013, based on criteria established in Internal Control—Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission (1992 Framework) (the COSO criteria). Vishay Intertechnology Inc.'s management is responsible for maintaining effective internal control over financial reporting, and for its assessment of the effectiveness of internal control over financial reporting included in Item 9A, "Management's Report on Internal Control Over Financial Reporting." Our responsibility is to express an opinion on Vishay Intertechnology Inc.'s internal control over financial reporting based on our audit.

We conducted our audit in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether effective internal control over financial reporting was maintained in all material respects. Our audit included obtaining an understanding of internal control over financial reporting, assessing the risk that a material weakness exists, testing and evaluating the design and operating effectiveness of internal control based on the assessed risk, and performing such other procedures as we considered necessary in the circumstances. We believe that our audit provides a reasonable basis for our opinion.

A company's internal control over financial reporting is a process designed to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles. A company's internal control over financial reporting includes those policies and procedures that (1) pertain to the maintenance of records that, in reasonable detail, accurately and fairly reflect the transactions and dispositions of the assets of the company; (2) provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with generally accepted accounting principles, and that receipts and expenditures of the company are being made only in accordance with authorizations of management and directors of the company; and (3) provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use, or disposition of the company's assets that could have a material effect on the financial statements.

Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Also, projections of any evaluation of effectiveness to future periods are subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.

In our opinion, Vishay Intertechnology Inc. maintained in all material respects, effective internal control over financial reporting as of December 31, 2013, based on the COSO criteria.

We also have audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States), the consolidated balance sheets of Vishay Intertechnology Inc. as of December 31, 2013 and 2012, and the related consolidated statements of operations, comprehensive income, stockholders' equity, and cash flows for each of the three years in the period ended December 31, 2013 and our report dated February 19, 2014 expressed an unqualified opinion thereon.
 
 
/s/ Ernst & Young LLP

Philadelphia, Pennsylvania
February 19, 2014
F-3



VISHAY INTERTECHNOLOGY, INC.
Consolidated Balance Sheets
(In thousands, except share amounts)

 
 
December 31,
2013
   
December 31,
2012
 
 
 
   
 
Assets
 
   
 
Current assets:
 
   
 
Cash and cash equivalents
 
$
640,348
   
$
697,595
 
 
               
Short-term investments
   
511,231
     
294,943
 
 
               
Accounts receivable, net of allowances for doubtful accounts of $2,613 and $2,534, respectively
   
274,083
     
247,035
 
 
               
Inventories:
               
Finished goods
   
109,617
     
109,571
 
Work in process
   
197,600
     
177,350
 
Raw materials
   
125,491
     
120,728
 
Total inventories
   
432,708
     
407,649
 
 
               
Deferred income taxes
   
21,716
     
24,385
 
Prepaid expenses and other current assets
   
100,594
     
119,656
 
Total current assets
   
1,980,680
     
1,791,263
 
 
               
Property and equipment, at cost:
               
Land
   
93,685
     
92,348
 
Buildings and improvements
   
560,418
     
523,091
 
Machinery and equipment
   
2,340,778
     
2,163,182
 
Construction in progress
   
95,278
     
101,570
 
Allowance for depreciation
   
(2,163,540
)
   
(1,965,639
)
Property and equipment, net
   
926,619
     
914,552
 
 
               
Goodwill
   
43,132
     
34,866
 
 
               
Other intangible assets, net
   
129,951
     
133,717
 
 
               
Other assets
   
156,757
     
141,879
 
Total assets
 
$
3,237,139
   
$
3,016,277
 

Continues on following page.
F-4


VISHAY INTERTECHNOLOGY, INC.
Consolidated Balance Sheets (continued)
(In thousands, except share amounts)
 
 
Liabilities and stockholders' equity
 
December 31,
2013
   
December 31,
2012
 
Current liabilities:
 
   
 
Notes payable to banks
 
$
2
   
$
6
 
Trade accounts payable
   
163,894
     
147,936
 
Payroll and related expenses
   
120,997
     
108,353
 
Other accrued expenses
   
146,670
     
148,660
 
Income taxes
   
17,502
     
7,215
 
Total current liabilities
   
449,065
     
412,170
 
 
               
Long-term debt, less current portion
   
364,911
     
392,931
 
Deferred income taxes
   
157,640
     
129,379
 
Other liabilities
   
99,426
     
108,600
 
Accrued pension and other postretirement costs
   
287,901
     
344,961
 
Total liabilities
   
1,358,943
     
1,388,041
 
 
               
Commitments and contingencies
               
 
               
Stockholders' equity:
               
Preferred stock, par value $1.00 per share: authorized - 1,000,000 shares; none issued
               
Common stock, par value $0.10 per share: authorized - 300,000,000 shares; 135,202,081 and 131,143,534 shares outstanding
   
13,520
     
13,114
 
Class B convertible common stock, par value $0.10 per share: authorized - 40,000,000 shares; 12,129,227 and 12,129,227 shares outstanding
   
1,213
     
1,213
 
Capital in excess of par value
   
2,054,087
     
1,999,901
 
(Accumulated deficit) retained earnings
   
(257,698
)
   
(380,678
)
Accumulated other comprehensive income (loss)
   
61,634
     
(10,222
)
Total Vishay stockholders' equity
   
1,872,756
     
1,623,328
 
Non controlling interests
   
5,440
     
4,908
 
Total equity
   
1,878,196
     
1,628,236
 
Total liabilities and equity
 
$
3,237,139
   
$
3,016,277
 

See accompanying notes.
F-5



VISHAY INTERTECHNOLOGY, INC.
Consolidated Statements of Operations
(In thousands, except per share amounts)

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Net revenues
 
$
2,370,979
   
$
2,230,097
   
$
2,594,029
 
Costs of products sold
   
1,803,719
     
1,703,424
     
1,874,043
 
Gross profit
   
567,260
     
526,673
     
719,986
 
 
                       
Selling, general, and administrative expenses
   
368,542
     
349,625
     
367,623
 
Restructuring and severance costs
   
2,814
     
-
     
-
 
Executive compensation charges (credit)
   
(1,778
)
   
-
     
5,762
 
Gain on sale of property
   
-
     
(12,153
)
   
-
 
Operating income
   
197,682
     
189,201
     
346,601
 
 
                       
Other income (expense):
                       
Interest expense
   
(23,130
)
   
(22,604
)
   
(19,277
)
Other
   
1,853
     
3,440
     
3,792
 
 
   
(21,277
)
   
(19,164
)
   
(15,485
)
 
                       
Income before taxes
   
176,405
     
170,037
     
331,116
 
 
                       
Income tax expense
   
52,636
     
46,506
     
91,119
 
 
                       
Net earnings
   
123,769
     
123,531
     
239,997
 
 
                       
Less: net earnings attributable to noncontrolling interests
   
789
     
793
     
1,176
 
 
                       
Net earnings attributable to Vishay stockholders
 
$
122,980
   
$
122,738
   
$
238,821
 
 
                       
 
                       
Basic earnings per share attributable to Vishay stockholders:
 
$
0.85
   
$
0.82
   
$
1.49
 
 
                       
Diluted earnings per share attributable to Vishay stockholders:
 
$
0.81
   
$
0.79
   
$
1.42
 
 
                       
Weighted average shares outstanding - basic
   
144,856
     
149,020
     
160,094
 
 
                       
Weighted average shares outstanding - diluted
   
151,417
     
155,844
     
168,514
 

See accompanying notes.
F-6




VISHAY INTERTECHNOLOGY, INC.
Consolidated Statements of Comprehensive Income
(In thousands)

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Net earnings
 
$
123,769
   
$
123,531
   
$
239,997
 
 
                       
Other comprehensive income (loss), net of tax
                       
 
                       
Foreign currency translation adjustment
   
23,537
     
14,567
     
(26,441
)
 
                       
Pension and other post-retirement actuarial items
   
49,038
     
(29,759
)
   
(29,207
)
 
                       
Unrealized gain (loss) on available-for-sale securities
   
(719
)
   
1,192
     
(1,065
)
 
                       
Other comprehensive income (loss)
   
71,856
     
(14,000
)
   
(56,713
)
 
                       
Comprehensive income
   
195,625
     
109,531
     
183,284
 
 
                       
Less: comprehensive income attributable to noncontrolling interests
   
789
     
793
     
1,176
 
 
                       
Comprehensive income attributable to Vishay stockholders
 
$
194,836
   
$
108,738
   
$
182,108
 

See accompanying notes.

F-7



VISHAY INTERTECHNOLOGY, INC.
Consolidated Statements of Cash Flows
(In thousands)

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Continuing operating activities
 
   
   
 
Net earnings
 
$
123,769
   
$
123,531
   
$
239,997
 
Adjustments to reconcile net earnings (loss) to net cash provided by operating activities:
                       
Depreciation and amortization
   
170,132
     
168,555
     
179,706
 
(Gain) loss on disposal of property and equipment
   
26
     
(12,894
)
   
(930
)
Accretion of interest on convertible debentures
   
3,646
     
3,028
     
2,046
 
Inventory write-offs for obsolescence
   
19,108
     
20,865
     
21,118
 
Pensions and other postretirement benefits, net of contributions
   
(9,327
)
   
(12,146
)
   
(11,385
)
Deferred income taxes
   
1,734
     
(6,828
)
   
14,108
 
Other
   
(7,009
)
   
8,530
     
(16,120
)
Net change in operating assets and liabilities, net of effects of businesses acquired
   
(10,009
)
   
(5,152
)
   
(52,503
)
Net cash provided by continuing operating activities
   
292,070
     
287,489
     
376,037
 
 
                       
Continuing investing activities
                       
Capital expenditures
   
(153,077
)
   
(150,291
)
   
(168,641
)
Proceeds from sale of property and equipment
   
4,681
     
10,241
     
2,162
 
Purchase of businesses, net of cash acquired
   
(23,034
)
   
(85,493
)
   
(19,335
)
Purchase of short-term investments
   
(664,867
)
   
(381,040
)
   
(497,258
)
Maturity of short-term investments
   
465,668
     
339,287
     
226,792
 
Sale of investments
   
-
     
-
     
2,167
 
Other investing activities
   
(176
)
   
(1,828
)
   
1,350
 
Net cash used in continuing investing activities
   
(370,805
)
   
(269,124
)
   
(452,763
)
 
                       
Continuing financing activities
                       
Proceeds from long-term borrowings
   
-
     
150,000
     
150,000
 
Issuance costs
   
(4,558
)
   
(4,827
)
   
(4,429
)
Principal payments on long-term debt and capital leases
   
(28
)
   
(27
)
   
(681
)
Net proceeds (payments) on revolving credit lines
   
25,000
     
(66,000
)
   
(85,000
)
Common stock repurchases
   
-
     
(150,000
)
   
(150,000
)
Net changes in short-term borrowings
   
(146
)
   
(115
)
   
(10
)
Distributions to noncontrolling interests
   
(257
)
   
(1,040
)
   
(1,440
)
Proceeds from stock options exercised
   
-
     
174
     
9,675
 
Excess tax benefit from stock options exercised
   
196
     
-
     
555
 
Other financing activites
   
(3,638
)
   
-
     
-
 
Net cash provided by (used in) continuing financing activities
   
16,569
     
(71,835
)
   
(81,330
)
Effect of exchange rate changes on cash and cash equivalents
   
4,919
     
1,977
     
9,806
 
 
                       
Net decrease in cash and cash equivalents
   
(57,247
)
   
(51,493
)
   
(148,250
)
 
                       
Cash and cash equivalents at beginning of year
   
697,595
     
749,088
     
897,338
 
Cash and cash equivalents at end of year
 
$
640,348
   
$
697,595
   
$
749,088
 

See accompanying notes
F-8



VISHAY INTERTECHNOLOGY, INC.
Consolidated Statements of Stockholders' Equity
(In thousands, except share amounts)

 
 
Common Stock
   
Class B Convertible Common Stock
   
Capital in Excess of Par Value
   
Retained Earnings (Accumulated Deficit)
   
Accumulated Other Comprehensive Income (Loss)
   
Total Vishay Stockholders' Equity
   
Noncontrolling Interests
   
Total Equity
 
 
 
   
   
   
   
   
   
   
 
Balance at January 1, 2011
 
$
15,061
   
$
1,435
   
$
2,156,981
   
$
(742,237
)
 
$
60,491
   
$
1,491,731
   
$
5,419
   
$
1,497,150
 
Net earnings
   
-
     
-
     
-
     
238,821
     
-
     
238,821
     
1,176
     
239,997
 
Other comprehensive income (loss)
   
-
     
-
     
-
     
-
     
(56,713
)
   
(56,713
)
   
-
     
(56,713
)
Distributions to noncontrolling interests
   
-
     
-
     
-
     
-
     
-
     
-
     
(1,440
)
   
(1,440
)
Phantom and restricted stock issuances (193,602 shares)
   
20
     
-
     
(161
)
   
-
     
-
     
(141
)
   
-
     
(141
)
Issuance of convertible debentures due 2041
   
-
     
-
     
62,246
     
-
     
-
     
62,246
       -      
62,246
 
Stock repurchase (8,620,689 shares)
   
(862
)
   
-
     
(149,138
)
   
-
     
-
     
(150,000
)
   
-
     
(150,000
)
Stock compensation expense
   
-
     
-
     
6,832
     
-
     
-
     
6,832
     
-
     
6,832
 
Stock options exercised (650,621 shares)
   
65
     
-
     
9,610
     
-
     
-
     
9,675
     
-
     
9,675
 
Tax effects of stock plan
   
-
     
-
     
555
     
-
     
-
     
555
     
-
     
555
 
Conversions from Class B to common stock (900,290 shares)
   
90
     
(90
)
   
-
     
-
     
-
     
-
     
-
     
-
 
Balance at December 31, 2011
 
$
14,374
   
$
1,345
   
$
2,086,925
   
$
(503,416
)
 
$
3,778
   
$
1,603,006
   
$
5,155
   
$
1,608,161
 
Net earnings
   
-
     
-
     
-
     
122,738
     
-
     
122,738
     
793
     
123,531
 
Other comprehensive income (loss)
   
-
     
-
     
-
     
-
     
(14,000
)
   
(14,000
)
   
-
     
(14,000
)
Distributions to noncontrolling interests
   
-
     
-
     
-
     
-
     
-
     
-
     
(1,040
)
   
(1,040
)
Phantom and restricted stock issuances (11,323 shares)
   
1
     
-
     
(9
)
   
-
     
-
     
(8
)
   
-
     
(8
)
Issuance of convertible debentures due 2042
   
-
     
-
     
57,874
     
-
     
-
     
57,874
     
-
     
57,874
 
Stock repurchase (13,948,687 shares)
   
(1,395
)
   
-
     
(148,605
)
   
-
     
-
     
(150,000
)
   
-
     
(150,000
)
Stock compensation expense
   
-
     
-
     
3,544
     
-
     
-
     
3,544
     
-
     
3,544
 
Stock options exercised (22,095 shares)
   
2
     
-
     
172
     
-
     
-
     
174
     
-
     
174
 
Conversions from Class B to common stock (1,323,322 shares)
   
132
     
(132
)
   
-
     
-
     
-
     
-
     
-
     
-
 
Balance at December 31, 2012
 
$
13,114
   
$
1,213
   
$
1,999,901
   
$
(380,678
)
 
$
(10,222
)
 
$
1,623,328
   
$
4,908
   
$
1,628,236
 
Net earnings
   
-
     
-
     
-
     
122,980
     
-
     
122,980
     
789
     
123,769
 
Other comprehensive income
   
-
     
-
     
-
     
-
     
71,856
     
71,856
     
-
     
71,856
 
Distributions to noncontrolling interests
   
-
     
-
     
-
     
-
     
-
     
-
     
(257
)
   
(257
)
Restricted stock issuances (393,818 shares)
   
40
     
-
     
(2,680
)
   
-
     
-
     
(2,640
)
   
-
     
(2,640
)
Stock compensation expense
   
-
     
-
     
636
     
-
     
-
     
636
     
-
     
636
 
Tax effects of stock plan
   
-
     
-
     
196
     
-
     
-
     
196
     
-
     
196
 
Issuance of common stock for exchangeable unsecured notes (3,664,729 shares)
   
366
     
-
     
56,034
     
-
     
-
     
56,400
     
-
     
56,400
 
Balance at December 31, 2013
 
$
13,520
   
$
1,213
   
$
2,054,087
   
$
(257,698
)
 
$
61,634
   
$
1,872,756
   
$
5,440
   
$
1,878,196
 
See accompanying notes.


F-9

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)
 
Vishay Intertechnology, Inc. ("Vishay" or the "Company") is a global manufacturer and supplier of semiconductors and passive components, including power MOSFETs, power integrated circuits, transistors, diodes, optoelectronic components, resistors, capacitors, and inductors. Semiconductors and electronic components manufactured by the Company are used in virtually all types of electronic products, including those in the industrial, computing, automotive, consumer electronics products, telecommunications, power supplies, military/aerospace, and medical industries.

Note 1 – Summary of Significant Accounting Policies

Use of Estimates

The preparation of financial statements in conformity with accounting principles generally accepted in the United States ("GAAP") requires management to make estimates and assumptions that affect the amounts reported in the consolidated financial statements and accompanying notes. Actual results could differ significantly from those estimates.

Principles of Consolidation

The consolidated financial statements include the accounts of Vishay and all of its subsidiaries in which a controlling financial interest is maintained.  For those consolidated subsidiaries in which the Company's ownership is less than 100 percent, the outside stockholders' interests are shown as noncontrolling interest in the accompanying consolidated balance sheets.  Investments in affiliates over which the Company has significant influence but not a controlling interest are carried on the equity basis. Investments in affiliates over which the Company does not have significant influence are accounted for by the cost method. All intercompany transactions, accounts, and profits are eliminated.

Subsequent Events

In connection with the preparation of the consolidated financial statements and in accordance with GAAP, the Company evaluated subsequent events after the balance sheet date of December 31, 2013 through the date these financial statements were issued through the filing of this annual report on Form 10-K with the U.S. Securities and Exchange Commission.

Revenue Recognition

The Company recognizes revenue on product sales during the period when the sales process is complete. This generally occurs when products are shipped to the customer in accordance with terms of an agreement of sale, title and risk of loss have been transferred, collectibility is reasonably assured, and pricing is fixed or determinable. For a small percentage of sales where title and risk of loss passes at point of delivery, the Company recognizes revenue upon delivery to the customer, assuming all other criteria for revenue recognition are met. The Company historically has had agreements with distributors that provided limited rights of product return. The Company has modified these arrangements to allow distributors a limited credit for unsaleable products, which it terms a "scrap allowance." Consistent with industry practice, the Company also has a "stock, ship and debit" program whereby it considers requests by distributors for credits on previously purchased products that remain in distributors' inventory, to enable the distributors to offer more competitive pricing. In addition, the Company has contractual arrangements whereby it provides distributors with protection against price reductions initiated by the Company after product is sold by the Company to the distributor and prior to resale by the distributor.
F-10

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 1 – Summary of Significant Accounting (continued)

The Company records a reduction of revenue during each period, and records a related accrued expense for the period, based upon its estimate of product returns, scrap allowances, "stock, ship and debit" credits, and price protection credits that will be attributable to sales recorded through the end of the period. The Company makes these estimates based upon sales levels to its distributors during the period, inventory levels at the distributors, current and projected market conditions, and historical experience under the programs. While the Company utilizes a number of different methodologies to estimate the accruals, all of the methodologies take into account sales levels to distributors during the relevant period, inventory levels at the distributors, current and projected market trends and conditions, recent and historical activity under the relevant programs, changes in program policies, and open requests for credits. These procedures require the exercise of significant judgments. The Company believes that it has a reasonable basis to estimate future credits under the programs.

Royalty revenues, included in net revenues on the consolidated statements of operations, were $6,362, $7,131, and $6,633 for the years ended December 31, 2013, 2012, and 2011, respectively.  The Company records royalty revenue in accordance with agreed upon terms when performance obligations are satisfied, the amount is fixed or determinable, and collectibility is reasonably assured. Vishay earns royalties at the point of sale of products which incorporate licensed intellectual property. Accordingly, the amount of royalties recognized is determined based on periodic reporting to Vishay by its licensees, and based on judgments and estimates by Vishay management, which management considers reasonable.

Shipping and Handling Costs

Shipping and handling costs are included in costs of products sold.

Research and Development Expenses

Research and development costs are expensed as incurred. The amount charged to expense for research and development (exclusive of purchased in-process research and development) aggregated $62,090, $57,164, and $55,809, for the years ended December 31, 2013, 2012, and 2011, respectively. The Company spends additional amounts for the development of machinery and equipment for new processes and for cost reduction measures.

Grants

Government grants received by certain subsidiaries, primarily in Israel, are recognized as income in accordance with the purpose of the specific contract and in the period in which the related expense is incurred. Grants recognized as a reduction of costs of products sold were $406, $351, and $483 for the years ended December 31, 2013, 2012, and 2011, respectively. Deferred grant income included in other liabilities on the consolidated balance sheets was $1,882 and $1,548 at December 31, 2013 and 2012, respectively. The grants are subject to certain conditions, including maintaining specified levels of employment for periods up to ten years. Noncompliance with such conditions could result in the repayment of grants. However, management expects that the Company will comply with all terms and conditions of the grants.
F-11

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 1 – Summary of Significant Accounting (continued)

Income Taxes

The provision for income taxes is determined using the asset and liability approach of accounting for income taxes. Under this approach, deferred taxes represent the future tax consequences expected to occur when the reported amounts of assets and liabilities are recovered or paid. The provision for income taxes represents income taxes paid or payable for the current year plus the change in deferred taxes during the year. Deferred taxes result from differences between the financial and tax bases of the Company's assets and liabilities and are adjusted for changes in tax rates and tax laws when changes are enacted. Valuation allowances have been established for deferred tax assets which the Company believes do not meet GAAP criteria of "more likely than not" to be realilzed.  This criterion requires a level of judgment regarding future taxable income, which may be revised due to changes in market conditions, tax laws, or other factors. If the Company's assumptions and estimates change in the future, valuation allowances established may be increased, resulting in increased tax expense. Conversely, if the Company is ultimately able to utilize all or a portion of the deferred tax assets for which a valuation allowance has been established, then the related portion of the valuation allowance can be released, resulting in decreased tax expense.

At the present time, substantially all earnings generated by foreign subsidiaries are expected to be reinvested outside of the United States indefinitely. Accordingly, no provision has been made for U.S. federal and state income taxes on these foreign earnings. Upon distribution of those earnings in the form of dividends or otherwise, the Company would be subject to U.S. income taxes (subject to an adjustment for foreign tax credits), state income taxes, incremental foreign income taxes, and withholding taxes payable to the various foreign countries.

The Company and its subsidiaries are subject to income taxes in the U.S. and numerous foreign jurisdictions.  Significant judgment is required in evaluating the Company's tax positions and determining its provision for income taxes. During the ordinary course of business, there are many transactions and calculations for which the ultimate tax determination is uncertain. The Company establishes reserves for tax-related uncertainties based on estimates of whether, and the extent to which, additional taxes will be due. These reserves are established when the Company believes that certain positions might be challenged despite the Company's belief that its tax return positions are fully supportable.  The Company adjusts these reserves in light of changing facts and circumstances and the provision for income taxes includes the impact of reserve provisions and changes to reserves that are considered appropriate.

These accruals for tax-related uncertainties are based on management's best estimate of potential tax exposures. When particular matters arise, a number of years may elapse before such matters are audited by tax authorities and finally resolved.  Favorable resolution of such matters could be recognized as a reduction to the Company's effective tax rate in the year of resolution.  Unfavorable resolution of any particular issue could increase the effective tax rate and may require the use of cash in the year of resolution.  The amount included in current liabilities on the accompanying consolidated balance sheets reflect only amounts expected to be settled in cash within one year.

Cash, Cash Equivalents, and Short-Term Investments

Cash and cash equivalents includes demand deposits and highly liquid investments with maturities of three months or less when purchased.  Highly liquid investments with original maturities greater than three months, but less than one year are classified as short-term investments.  At December 31, 2013 and 2012, the Company's short-term investments were comprised of time deposits with financial institutions whose original maturity exceeds three months, but less than one year.

Allowance for Doubtful Accounts

The Company maintains an allowance for doubtful accounts for estimated losses resulting from the inability of its customers to make required payments. The allowance is determined through an analysis of the aging of accounts receivable and assessments of risk that are based on historical trends and an evaluation of the impact of current and projected economic conditions. The Company evaluates the past-due status of its trade receivables based on contractual terms of sale. If the financial condition of the Company's customers were to deteriorate, resulting in an impairment of their ability to make payments, additional allowances may be required. Bad debt expense (income realized upon subsequent collection) was $62, $(24), and $(93) for the years ended December 31, 2013, 2012, and 2011, respectively.

Inventories

Inventories are stated at the lower of cost, determined by the first-in, first-out method, or market. Inventories are adjusted for estimated obsolescence and written down to net realizable value based upon estimates of future demand, technology developments, and market conditions.
F-12

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 1 – Summary of Significant Accounting (continued)

Property and Equipment

Property and equipment is carried at cost and is depreciated principally by the straight-line method based upon the estimated useful lives of the assets. Machinery and equipment are being depreciated over useful lives of seven to ten years. Buildings and building improvements are being depreciated over useful lives of twenty to forty years. Construction in progress is not depreciated until the assets are placed in service. The estimated cost to complete construction in progress at December 31, 2013 was approximately $35,541. Depreciation of capital lease assets is included in total depreciation expense. Depreciation expense was $155,064, $153,801, and $165,022 for the years ended December 31, 2013, 2012, and 2011, respectively.  Gains and losses on the disposal of assets which do not qualify for presentation as discontinued operations are included in the determination of operating margin (within selling, general, and administrative expenses).  Individually material gains and losses on disposal are separately disclosed in the notes to the consolidated financial statements.

Goodwill and Other Intangible Assets

Goodwill and indefinite-lived intangible assets are not amortized but rather are tested for impairment at least annually. The required annual impairment tests of goodwill and indefinite-lived intangible assets are completed as of the first day of the fourth fiscal quarter of each year.  These tests are performed more frequently whenever events or changes in circumstances indicate that the assets might be impaired.  Certain of the Company's tradenames have been assigned indefinite useful lives.

Definite-lived intangible assets are amortized over their estimated useful lives.  Patents and acquired technology are being amortized over useful lives of seven to twenty-five years.  Capitalized software is amortized over periods of three to ten years, primarily included in costs of products sold on the consolidated statements of operations.  Customer relationships are amortized over useful lives of five to twenty years.  Noncompete agreements are amortized over periods of four to ten years. The Company continually evaluates the reasonableness of the useful lives of these assets.

GAAP prescribes a two-step quantitative method for determining goodwill impairment. The Company has the option of performing a qualitative assessment before performing the two-step quantitative impairment test. If it is determined, on the basis of qualitative factors, that the fair value of the reporting unit is not more likely than not less than the carrying amount, the two-step quantitative impairment test is not required. If it is determined that the fair value of the reporting unit is more likely than not less than the carrying amount, the two-step quantitative impairment test is required. In the first step, the Company determines the fair value of the reporting unit and compares that fair value to the net book value of the reporting unit. The fair value of the reporting unit is determined using various valuation techniques, including a comparable companies market multiple approach and a discounted cash flow analysis (an income approach).

If the net book value of the reporting unit were to exceed the fair value, the Company would then perform the second step of the quantitative impairment test, which requires allocation of the reporting unit's fair value to all of its assets and liabilities in a manner similar to a purchase price allocation, with any residual fair value being allocated to goodwill. An impairment charge will be recognized only when the implied fair value of a reporting unit's goodwill is less than its carrying amount.

The Company has the option of performing a qualitative assessment of the indefinite-lived intangible assets before performing a quantitative impairment test. The fair value of the tradenames is measured as the discounted cash flow savings realized from owning such tradenames and not having to pay a royalty for their use.

There was no impairment identified through the annual impairment tests completed in 2013, 2012, or 2011.

Upon determining that an intangible asset classified as indefinite-lived is impaired, the Company reassesses the useful life of the impaired assets and begins to amortize the remaining carrying value over that useful life if it is determined that the asset no longer has an indefinite useful life.
F-13

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 1 – Summary of Significant Accounting (continued)

Impairment of Long-Lived Assets

The carrying value of long-lived assets held-and-used, other than goodwill and indefinite-lived intangible assets, is evaluated when events or changes in circumstances indicate the carrying value may not be recoverable or the useful life has changed. The carrying value of a long-lived asset group is considered impaired when the total projected undiscounted cash flows from such asset group are separately identifiable and are less than the carrying value. In that event, a loss is recognized based on the amount by which the carrying value exceeds the fair market value of the long-lived asset group.  Fair market value is determined primarily using present value techniques based on projected cash flows from the asset group.  Losses on long-lived assets held-for-sale, other than goodwill and indefinite-lived intangible assets, are determined in a similar manner, except that fair market values are reduced for anticipated disposal costs.

Available-for-Sale Securities

Other assets reported on the consolidated balance sheets include investments in marketable securities which are classified as available-for-sale. These assets include assets that are held in trust related to the Company's non-qualified pension and deferred compensation plans (see Note 11) and assets that are intended to fund a portion of the Company's other postretirement benefit obligations outside of the U.S. These assets are reported at fair value, based on quoted market prices as of the end of the reporting period. Unrealized gains and losses are reported, net of their related tax consequences, as a component of accumulated other comprehensive income in stockholders' equity until sold. At the time of sale the assets that are held in trust related to the Company's non-qualified pension and deferred compensation plans, any gains (losses) calculated by the specific identification method are recognized as a reduction (increase) to benefits expense, within selling, general, and administrative expenses.

Financial Instruments

The Company uses financial instruments in the normal course of its business, including from time to time, derivative financial instruments. Additionally, from time to time, the Company enters into contracts that are not considered derivative financial instruments in their entirety, but that include embedded derivative features. The convertible senior debentures due 2040, due 2041, and due 2042 contain embedded derivatives that are recorded at fair value on a recurring basis. At December 31, 2013 and 2012, outstanding derivative instruments were not material.

The Company reports derivative instruments on the consolidated balance sheet at their fair values.  The accounting for changes in fair value depends upon the purpose of the derivative instrument and whether it is designated and qualifies for hedge accounting. For instruments designated as hedges, the effective portion of gains or losses is reported in other comprehensive income (loss) and the ineffective portion, if any, is reported in current period net earnings (loss).  Changes in the fair values of derivative instruments that are not designated as hedges, including embedded derivatives, are recorded in current period net earnings (loss).

The Company has in the past used interest rate swap agreements to modify variable rate obligations to fixed rate obligations, thereby reducing exposure to market rate fluctuations. The Company has also in the past used financial instruments such as forward exchange contracts to hedge a portion, but not all, of its firm commitments denominated in foreign currencies.  The purpose of the Company's foreign currency management is to minimize the effect of exchange rate changes on actual cash flows from foreign currency denominated transactions.

Other financial instruments include cash and cash equivalents, short-term investments, accounts receivable, and notes payable. The carrying amounts of these financial instruments reported in the consolidated balance sheets approximate their fair values due to the short-term nature of these assets and liabilities.
F-14

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 1 – Summary of Significant Accounting (continued)

Foreign Currency Translation

The Company has significant operations outside of the United States. The Company finances its operations in Europe and certain locations in Asia in local currencies, and accordingly, these subsidiaries utilize the local currency as their functional currency. The Company's operations in Israel and most significant locations in Asia are largely financed in U.S. dollars, and accordingly, these subsidiaries utilize the U.S. dollar as their functional currency.

For those subsidiaries where the local currency is the functional currency, assets and liabilities in the consolidated balance sheets have been translated at the rate of exchange as of the balance sheet date. Translation adjustments do not impact the consolidated results of operations and are reported as a separate component of stockholders' equity. Revenues and expenses are translated at the average exchange rate for the year. While the translation of revenues and expenses into U.S. dollars does not directly impact the statement of operations, the translation effectively increases or decreases the U.S. dollar equivalent of revenues generated and expenses incurred in those foreign currencies.

For those foreign subsidiaries where the U.S. dollar is the functional currency, all foreign currency financial statement amounts are remeasured into U.S. dollars. Exchange gains and losses arising from remeasurement of foreign currency-denominated monetary assets and liabilities are included in the consolidated results of operations.

Stock-Based Compensation

Compensation costs related to stock-based payment transactions are recognized in the consolidated financial statements. The amount of compensation cost is measured based on the grant-date fair value of the equity (or liability) instruments issued. Compensation cost is recognized over the period that an officer, employee, or non-employee director provides service in exchange for the award. For options and restricted stock units subject to graded vesting, the Company recognizes expense over the service period for each separately vesting portion of the award as if the award was, in-substance, multiple awards.  The Company recognizes compensation cost for restricted stock units ("RSUs") that are expected to vest and records cumulative adjustments in the period that the expectation changes.

Commitments and Contingencies

Liabilities for loss contingencies, including environmental remediation costs, arising from claims, assessments, litigation, fines, penalties, and other sources are recorded when it is probable that a liability has been incurred and the amount of the assessment and/or remediation can be reasonably estimated. The costs for a specific environmental remediation site are discounted if the aggregate amount of the obligation and the amount and timing of the cash payments for that site are fixed or reliably determinable based upon information derived from the remediation plan for that site. Accrued liabilities for environmental matters recorded at December 31, 2013 and 2012 do not include claims against third parties.

Restructuring and Severance Costs

Restructuring and severance costs reflect charges resulting from cost reduction programs implemented by the Company.  Restructuring and severance costs include exit costs, severance benefits pursuant to an on-going arrangement, voluntary termination compensation under a defined program, and any related pension curtailment and settlement charges.

The Company recognizes expense for one-time benefits only after management has committed to a plan, the plan is sufficiently detailed to provide the number, classification, and location of employees to be terminated as well as the expected completion date, the plan has been sufficiently communicated to employees such that they are able to determine the type and amount of benefits they will receive if terminated, and it is unlikely that the plan will be significantly changed or withdrawn. If an employee is not required to render service beyond a minimum retention period, the Company recognizes expense once the aforementioned criteria have been met. If an employee is required to render service beyond a minimum retention period, the Company recognizes expense over the period that the employee is required to render future service.
F-15

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 1 – Summary of Significant Accounting (continued)

The Company recognizes expense for on-going benefit arrangements when the liability is reasonably estimable and considered probable.

The Company recognizes expense for voluntary separation / early retirement when the employee delivers an irrevocable voluntary termination notice pursuant to a defined company program.

The Company recognizes other exit costs as incurred.

Self-Insurance Programs

The Company uses a combination of insurance and self-insurance mechanisms to provide for the potential liabilities for workers' compensation, general liability, property damage, director and officers' liability, and vehicle liability.

As part of its self-insurance program for certain risks, the Company created a wholly-owned captive insurance entity in 2007. At December 31, 2013, the captive insurance entity provides only property and general liability insurance, although it is licensed to also provide casualty and directors' and officers' insurance. The captive insurance entity had no amounts accrued for outstanding claims at December 31, 2013 and 2012.

Certain cash and investments held by the captive insurance entity are restricted primarily for the purpose of potential insurance claims. Restricted cash of $7,927 and $7,752 is included in other noncurrent assets at December 31, 2013 and 2012, respectively, representing required statutory reserves of the captive insurance entity.

Convertible Debentures

The Company separately accounts for the liability and equity components of convertible debt instruments that may be settled in cash in a manner that reflects the Company's nonconvertible debt borrowing rate. The liability component at issuance is recognized at fair value, based on the fair value of a similar instrument that does not have a conversion feature. A discount is recorded if debentures are issued at a coupon rate which is below the rate of a similar instrument that did not have a conversion feature at issuance.  The equity component is based on the excess of the principal amount of the debentures over the fair value of the liability component, after adjusting for an allocation of debt issuance costs and the deferred tax impact, and is recorded as capital in excess of par. Debt discounts are amortized as additional non-cash interest expense over the expected life of the debt.

Recently Adopted Accounting Guidance

In February 2013, the FASB issued Accounting Standards Update ("ASU") No. 2013-02, Comprehensive Income (Topic 220), Reporting of Amounts Reclassified Out of Accumulated Other Comprehensive Income. The ASU adds new disclosure requirements for items reclassified out of accumulated other comprehensive income. The ASU does not amend any existing requirements for reporting net income or other comprehensive income in the financial statements. The ASU is effective for the Company for interim and annual periods beginning after January 1, 2013. Vishay adopted the ASU on January 1, 2013. The adoption of the ASU had no effect on the Company's financial position, results of operations, or liquidity.

Reclassifications

Certain prior year amounts have been reclassified to conform to the current financial statement presentation.
F-16

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 2 - Acquisition and Divestiture Activities

As part of its growth strategy, the Company seeks to expand through targeted acquisitions of other manufacturers of electronic components that have established positions in major markets, reputations for product quality and reliability, and product lines with which the Company has substantial marketing and technical expertise.

Year ended December 31, 2013

MCB Industrie S.A.

On June 13, 2013, Vishay acquired MCB Industrie S.A. ("MCB Industrie") in France, a well-established manufacturer of specialty resistors and sensors, for $23,034, net of cash acquired. The products and technology portfolio acquired is expected to enable Vishay to expand its presence in the European industrial market. For financial reporting purposes, the results of operations for this business have been included in the Resistors & Inductors segment from June 13, 2013. The inclusion of this business did not have a material impact on the Company's consolidated results for the year ended December 31, 2013. Based on an estimate of their fair values, the Company allocated $5,433 of the purchase price to definite-lived intangible assets.  After allocating the purchase price to the assets acquired and liabilities assumed based on an estimation of their fair values at the date of acquisition, the Company recorded goodwill of $7,985 related to this acquisition.  The goodwill associated with this transaction is not deductible for income tax purposes.

Had this acquisition occurred as of the beginning of the periods presented in these consolidated financial statements, the pro forma statements of operations would not be materially different than the consolidated statements of operations presented.

Year ended December 31, 2012

HiRel Systems LLC

On January 13, 2012, Vishay acquired HiRel Systems LLC, a leading supplier of high reliability transformers, inductors, coils, and power conversion products, for $85,493, net of cash acquired. The products and technology portfolio acquired further enhanced the Company's inductors portfolio, particularly in the field of custom magnetics for medical, military, aerospace and aviation, and applications in the industrial and commercial field such as renewable energy and test and measurement equipment. For financial reporting purposes, the results of operations for this business have been included in the Resistors & Inductors segment from January 13, 2012. Based on an estimate of their fair values, the Company allocated $43,950 of the purchase price to definite-lived intangible assets. After allocating the purchase price to the assets acquired and liabilities assumed based on an estimation of their fair values at the date of acquisition, the Company recorded goodwill of $25,815 related to this acquisition. The goodwill associated with this transaction is deductible for income tax purposes.

Had this acquisition occurred as of the beginning of the periods presented in these consolidated financial statements, the pro forma statements of operations would not be materially different than the consolidated statements of operations presented.

Year ended December 31, 2011

Huntington Electric, Inc.

On September 28, 2011, Vishay acquired the resistor businesses of Huntington Electric, Inc., for approximately $19,335, net of cash acquired. For financial reporting purposes, the results of operations for these businesses have been included in the Resistors & Inductors segment from September 28, 2011. After allocating the purchase price to the assets acquired and liabilities assumed based on their fair values at the date of acquisition, the Company recorded goodwill of $9,051 related to this acquisition.  The goodwill associated with this transaction is deductible for income tax purposes.

Had this acquisition occurred as of the beginning of the periods presented in these consolidated financial statements, the pro forma statements of operations would not be materially different than the consolidated statements of operations presented.


F-17

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)
 
Note 3 – Goodwill and Other Intangible Assets

Goodwill represents the excess of the cost of a business acquired over the fair value of the related net assets at the date of acquisition. Goodwill is not amortized but rather tested for impairment at least annually. The required annual impairment test of goodwill is completed as of the first day of the fourth fiscal quarter of each year. These impairment tests must be performed more frequently whenever events or changes in circumstances indicate that the asset might be impaired.  The Company's business segments (see Note 15) represent its reporting units for goodwill impairment testing purposes.

Vishay recorded goodwill impairment charges in the year ended December 31, 2008. Subsequent to the goodwill impairment charges recorded in 2008, there was no remaining goodwill recorded on the consolidated balance sheet until the acquisition of the resistor businesses of Huntington Electric on September 28, 2011.

The changes in the carrying amount of goodwill by segment for the years ended December 31, 2013 and 2012 were as follows:


 
 
Resistors &
Inductors
   
Total
 
 
 
   
 
Balance at January 1, 2012
 
$
9,051
   
$
9,051
 
HiRel Systems acquisition
   
25,815
     
25,815
 
Balance at December 31, 2012
 
$
34,866
   
$
34,866
 
MCB Industrie acquisition
   
7,985
     
7,985
 
Exchange rate effects
   
281
     
281
 
Balance at December 31, 2013
 
$
43,132
   
$
43,132
 

Other intangible assets are as follows:

 
 
December 31,
 
 
 
2013
   
2012
 
 
 
   
 
Intangible Assets Subject to Amortization
 
   
 
(Definite-lived):
 
   
 
Patents and acquired technology
 
$
92,842
   
$
83,383
 
Capitalized software
   
55,893
     
56,162
 
Customer relationships
   
99,558
     
97,451
 
Tradenames
   
35,845
     
34,534
 
Non-competition agreements
   
1,948
     
1,700
 
 
   
286,086
     
273,230
 
Accumulated amortization:
               
Patents and acquired technology
   
(66,337
)
   
(61,269
)
Capitalized software
   
(50,006
)
   
(50,161
)
Customer relationships
   
(40,727
)
   
(33,416
)
Tradenames
   
(18,560
)
   
(14,579
)
Non-competition agreements
   
(864
)
   
(447
)
 
   
(176,494
)
   
(159,872
)
Net Intangible Assets Subject to Amortization
   
109,592
     
113,358
 
 
               
Intangible Assets Not Subject to Amortization
               
(Indefinite-lived):
               
Tradenames
   
20,359
     
20,359
 
 
 
$
129,951
   
$
133,717
 


F-18

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)
Note 3 – Goodwill and Other Intangible Assets (continued)

Amortization expense (excluding capitalized software) was $15,068, $14,754, and $14,684, for the years ended December 31, 2013, 2012, and 2011, respectively.

Estimated annual amortization expense of intangible assets on the balance sheet at December 31, 2013 for each of the next five years is as follows:

2014
 
$
17,268
 
2015
   
17,207
 
2016
   
15,552
 
2017
   
11,702
 
2018
   
8,277
 
F-19

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 4 – Restructuring and Related Activities

The Company places a strong emphasis on controlling its costs.

Historically, the Company's primary cost reduction technique was through the transfer of production to the extent possible from high-labor-cost countries, such as the United States and Western Europe, to lower-labor-cost countries, such as the Czech Republic, Hungary, Israel, India, Malaysia, Mexico, the People's Republic of China, and the Philippines. Between 2001 and 2009, the Company recorded, in the consolidated statements of operations, restructuring and severance costs and related asset write-downs in order to reduce its cost structure going forward.

The Company also incurred significant costs to restructure and integrate acquired businesses, which was included in the cost of the acquisitions under then-applicable GAAP.

The Company did not initiate any new restructuring projects in the years ended December 31, 2012, 2011, or 2010.

On October 28, 2013, the Company announced various cost reduction programs as part of its continuous efforts to improve efficiency and operating performance. The cash costs of these programs, primarily severance, are expected to be approximately $32,000.  Complete implementation of all of the programs is expected to occur before the end of the first fiscal quarter of 2016.  Many of the severance costs will be recognized ratably over the required stay periods.

The following table summarizes restructuring and related expenses which were recognized during the year ended December 31, 2013 and reported on a separate line in the accompanying consolidated statement of operations:

MOSFETs Enhanced Competitiveness Program
 
$
2,328
 
Voluntary Separation / Retirement Program
   
486
 
Total
   
2,814
 


MOSFETs Enhanced Competitiveness Program

Over a period of approximately 2 years and in a period of discrete steps, the manufacture of wafers for a substantial share of products will be transferred into a more cost-efficient fab. As a consequence, certain other manufacturing currently occurring in-house will be transferred to third-party foundries (see Note 13).

The total severance costs associated with these initiatives are expected to be approximately $16,000. Employees generally must remain with the Company during the production transfer period. Accordingly, the Company will accrue these severance costs ratably over the respective employees' remaining service periods.


Voluntary Separation / Retirement Program

The voluntary separation / early retirement program was offered to employees worldwide who were eligible because they met job classification, age, and years-of-service criteria as of October 31, 2013. The program benefits vary by country and job classification, but generally include a cash loyalty bonus based on years of service. All responses are due, subject to applicable rescission rights, on or before March 28, 2014.

The Company expects most costs associated with this program to be recorded in the first fiscal quarter of 2014.  As of December 31, 2013, the Company received a limited number of irrevocable voluntary termination notices and recorded the related separation costs.

These employees generally were not aligned with any particular segment. The effective separation / retirement date for most employees who accepted the offer was June 30, 2014 or earlier, with a few exceptions to allow for a short transition period.


Gain on Sale of Vacated Property

On April 3, 2012, Vishay sold a property in Belgium vacated as a result of its restructuring activities in prior years for approximately $14,200. At closing, Vishay recognized a gain on the sale of the property of $12,153 within its statements of operations and proceeds from the sale of property and equipment of $3,406 within its statement of cash flows. The remaining proceeds are reported as proceeds from the sale of property and equipment within the statements of cash flows as the cash is received.  At December 31, 2013, the remaining amount receivable by the Company is $3,586.

F-20

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 5 – Income Taxes

Income (loss) from continuing operations before taxes and noncontrolling interests consists of the following components:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Domestic
 
$
(26,065
)
 
$
(15,995
)
 
$
2,143
 
Foreign
   
202,470
     
186,032
     
328,973
 
 
 
$
176,405
   
$
170,037
   
$
331,116
 

Significant components of income taxes are as follows:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Current:
 
   
   
 
Federal
 
$
(603
)
 
$
8,409
   
$
10,968
 
State and local
   
280
     
574
     
(801
)
Foreign
   
51,225
     
44,351
     
66,844
 
 
   
50,902
     
53,334
     
77,011
 
Deferred:
                       
Federal
   
2,215
     
(8,557
)
   
6,188
 
State and local
   
92
     
(240
)
   
(2,286
)
Foreign
   
(573
)
   
1,969
     
10,206
 
 
   
1,734
     
(6,828
)
   
14,108
 
Total income tax expense
 
$
52,636
   
$
46,506
   
$
91,119
 
F-21

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)


Note 5 – Income Taxes (continued)

Deferred income taxes reflect the net tax effects of temporary differences between the carrying amounts of assets and liabilities for financial reporting purposes and the amounts for income tax purposes. Significant components of the Company's deferred tax assets and liabilities are as follows:

 
 
December 31,
 
 
 
2013
   
2012
 
 
 
   
 
Deferred tax assets:
 
   
 
Pension and other retiree obligations
 
$
34,343
   
$
58,577
 
Inventories
   
8,759
     
13,881
 
Net operating loss carryforwards
   
182,691
     
158,638
 
Tax credit carryforwards
   
20,780
     
16,180
 
Other accruals and reserves
   
31,469
     
34,194
 
Total gross deferred tax assets
   
278,042
     
281,470
 
Less valuation allowance
   
(183,289
)
   
(166,266
)
 
   
94,753
     
115,204
 
Deferred tax liabilities:
               
Tax over book depreciation
   
(10,652
)
   
(13,975
)
Earnings not permanently reinvested
   
-
 
   
(1,652
)
Convertible debentures
   
(162,371
)
   
(149,113
)
Other - net
   
(5,932
)
   
(2,711
)
Total gross deferred tax liabilities
   
(178,955
)
   
(167,451
)
 
               
Net deferred tax assets (liabilities)
 
$
(84,202
)
 
$
(52,247
)


The Company makes significant judgments regarding the realizability of its deferred tax assets (principally net operating losses). The carrying value of deferred tax assets is based on the Company's assessment that it is more likely than not that the Company will realize these assets after consideration of all available positive and negative evidence.

A reconciliation of income tax expense at the U.S. federal statutory income tax rate to actual income tax provision is as follows:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Tax at statutory rate
 
$
61,742
   
$
59,513
   
$
115,891
 
State income taxes, net of U.S. federal tax benefit
   
242
     
217
     
(2,005
)
Effect of foreign operations
   
(18,696
)
   
(19,083
)
   
(52,609
)
Unrecognized tax benefits
   
2,862
     
6,626
     
4,869
 
Change in valuation allowance on non-U.S. deferred tax assets
   
(285
)
   
(4,036
)
   
(5,554
)
Tax benefit of operating loss carryforwards
   
(1,259
)
   
(671
)
   
(1,588
)
Foreign income taxable in the U.S.
   
11,961
     
7,476
     
22,822
 
Tax on foreign dividends paid to the U.S.
   
-
     
-
     
15,453
 
U.S. foreign tax credits
   
-
     
(4,257
)
   
(12,322
)
Effect of statutory rate changes on deferred tax assets
   
(2,867
)     
-
     
9,040
 
Other
   
(1,064
)
   
721
     
(2,878
)
Total income tax expense
 
$
52,636
   
$
46,506
   
$
91,119
 
F-22

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 5 – Income Taxes (continued)

Income tax expense for the years ended December 31, 2013, 2012, and 2011 include certain discrete tax items for changes in uncertain tax positions, valuation allowances, tax rates, and other related items. These items total $(4,197) (tax benefit), $(4,036) (tax benefit), and $3,486 in 2013, 2012, and 2011, respectively.

For the year ended December 31, 2013, the discrete items include a $2,867 benefit recorded in the third fiscal quarter due to a new tax law enacted in Israel in July 2013 which effectively increases the corporate income tax rate on certain types of income earned after January 1, 2014, and, therefore, increases the deferred tax assets, and a $1,330 benefit recorded in the first fiscal quarter due to the retroactive enactment of the American Taxpayer Relief Act of 2012, signed into law on January 2, 2013.

For the year ended December 31, 2012, the discrete item is the reduction of a valuation allowance on a deferred tax asset in Israel due to a merger of several of the Company's wholly-owned subsidiaries in Israel in the fourth fiscal quarter which will allow for the realization of these tax benefits that likely otherwise would have been forgone.

For the year ended December 31, 2011, the discrete items included a $10,024 expense for the effect of a tax rate change on deferred taxes in Israel recorded in the first fiscal quarter, reduced by $984 for a 2010 tax return filing in the fourth fiscal quarter, and partially offset by benefits related to reductions of valuation allowances in various jurisdictions of $5,554 recorded in the fourth fiscal quarter.  The reductions of valuation allowances were principally in Belgium due to expected future income from a pending real estate sale.

At December 31, 2013, the Company had the following significant net operating loss carryforwards for tax purposes:

 
 
   
Expires
 
 
 
   
 
Austria
 
$
13,699
   
No expiration
 
Belgium
   
196,898
   
No expiration
 
Brazil
   
16,736
   
No expiration
 
Germany
   
49,880
   
No expiration
 
Israel
   
79,406
   
No expiration
 
Netherlands
   
24,136
     2014 - 2022  
United States
   
41,575
     2033  
 
               
California
   
54,317
     2016 - 2033  
Pennsylvania
   
637,923
     2018 - 2033  


Approximately $72,926 of the carryforwards in Belgium resulted from the Company's acquisition of BCcomponents in 2002.  Valuation allowances of $24,788 and $23,946, as of December 31, 2013 and 2012, respectively, have been recorded through goodwill for these acquired net operating losses. Prior to the adoption of updated guidance in ASC Topic 805 on January 1, 2009, if tax benefits were recognized through the utilization of these acquired net operating losses, the benefits of such loss utilization were recorded as a reduction to goodwill. After the adoption of the updated guidance on January 1, 2009, the benefits of such losses are recorded as a reduction of tax expense. In 2013, 2012, and 2011, the tax benefit recognized through a reduction of acquisition-date valuation allowances recorded as a reduction of tax expense was $0, $0, and $4,299, respectively.  The reduction in valuation allowances included pre-acquisition allowances for losses in Austria and Netherlands.


At December 31, 2013, the Company had the following significant tax credit carryforwards available:

 
 
   
Expires
 
 
 
   
 
U.S. Foreign Tax Credit
 
$
11,026
     
2020 - 2022
 
California Research Credit
   
9,062
   
No expiration
 
F-23

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)


Note 5 – Income Taxes (continued)

At December 31, 2013, no provision has been made for U.S. federal and state income taxes on approximately $2,752,155 of foreign earnings, which the Company continues to expect to be reinvested outside of the United States indefinitely. Upon distribution of those earnings in the form of dividends or otherwise, the Company would be subject to U.S. income taxes (subject to an adjustment for foreign tax credits), state income taxes, incremental foreign income taxes, and withholding taxes payable to the various foreign countries. Determination of the amount of unrecognized deferred U.S. income tax liability is not practicable because of the complexities associated with its hypothetical calculation.

As of December 31, 2008, the Company recorded additional tax expense for an expected repatriation of $112,500 because such earnings were not deemed to be indefinitely reinvested outside of the United States.  During the third fiscal quarter of 2012, the Company repatriated $72,100 of cash to the U.S., which substantially completed the $112,500 cash repatriation program the Company initiated in 2008. This repatriated cash was used to reduce the amount outstanding under the Company's revolving credit facility.  At the present time, the Company expects that the remaining cash and profits generated by foreign subsidiaries will continue to be reinvested indefinitely.

Net income taxes paid were $44,757, $46,611, and $126,918 for the years ended December 31, 2013, 2012, and 2011, respectively.
 
See Note 19 for a discussion of the tax-related uncertainties for the pre-spin-off period of Vishay Precision Group, Inc. ("VPG"), which was spun off on July 6, 2010.

F-24

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 5 – Income Taxes (continued)
 
The following table summarizes changes in the liabilities associated with unrecognized tax benefits:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Balance at beginning of year
 
$
51,771
   
$
48,152
   
$
52,066
 
Addition based on tax positions related to the current year
   
-
     
665
     
2,459
 
Addition based on tax positions related to prior years
   
4,015
     
3,498
     
7,232
 
Currency translation adjustments
   
310
     
(215
)
   
(749
)
Reduction based on tax positions related to prior years
   
(2,054
)
   
-
     
(3,293
)
Reduction for settlements
   
(7,316
)
   
(329
)
   
(9,528
)
Reduction for lapses of statute of limitation
   
(849
)
   
-
     
(35
)
Balance at end of year
 
$
45,877
   
$
51,771
   
$
48,152
 

All of the unrecognized tax benefits of $45,877 and $51,771, as of December 31, 2013 and 2012, respectively, would reduce the effective tax rate if recognized.
 
The Company recognizes interest and penalties related to unrecognized tax benefits in income tax expense. At December 31, 2013 and 2012, the Company had accrued interest and penalties related to the unrecognized tax benefits of $7,766 and $8,513, respectively. During the years ended December 31, 2013, 2012, and 2011, the Company recognized $2,218, $2,833, and $3,795, respectively, in interest and penalties.

The Company and its subsidiaries file U.S. federal income tax returns, as well as tax returns in multiple state and foreign jurisdictions.  The U.S. Internal Revenue Service is currently conducting an examination of Vishay's U.S. federal tax returns for the years 2010 and 2011.  Because of net operating losses which were fully utilized on the 2010 tax return, the Company's U.S. federal tax returns for 2003 through 2009 remain subject to examination.  Most principal subsidiaries in Israel are currently under examination for tax years 2008 through 2010.  The tax returns of other significant non-U.S. subsidiaries which are currently under examination include India (2004 through 2011), China (2009), and the Republic of Taiwan (2007 through 2012).  In 2013, the Company settled an examination of the 2005 through 2008 tax years for its subsidiaries in Germany.  The Company and its subsidiaries also file income tax returns in other taxing jurisdictions in the U.S. and around the world, many of which are still open to examinations.

The timing of the resolution of income tax examinations is highly uncertain, as are the amounts and timing of tax payments that result from such examinations.  These events could cause large fluctuations in the balance sheet classification of current and non-current unrecognized tax benefits.  The Company believes that in the next 12 months it is reasonably possible that certain income tax examinations will conclude or the statutes of limitation on certain income tax periods open to examination will expire, or both.  Given the uncertainties described above, the Company can only determine an estimate of potential decreases in unrecognized tax benefits ranging from $30,900 to $35,000.

F-25

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 6 – Long-Term Debt

Long-term debt consists of the following:

 
 
December 31, 2013
   
December 31, 2012
 
 
 
   
 
Credit facility
 
$
114,000
   
$
89,000
 
Exchangeable unsecured notes, due 2102
   
38,642
     
95,042
 
Convertible senior debentures, due 2040
   
101,846
     
100,166
 
Convertible senior debentures, due 2041
   
52,264
     
51,399
 
Convertible senior debentures, due 2042
   
58,159
     
57,324
 
 
   
364,911
     
392,931
 
Less current portion
   
-
     
-
 
 
 
$
364,911
   
$
392,931
 

Credit Facility

The Company maintains a credit facility with a consortium of banks led by JPMorgan Chase Bank, N.A., as administrative agent (the "Credit Facility"). On August 8, 2013, the Company entered into an Amended and Restated Credit Agreement, which provides an aggregate commitment of $640,000 of revolving loans available until August 8, 2018. The original credit agreement became effective December 1, 2010 and was scheduled to expire on December 1, 2015. The Credit Facility, as amended and restated, also provides for the ability of Vishay to request up to $50,000 of incremental revolving commitments, subject to the satisfaction of certain conditions.

Borrowings under the Credit Facility bear interest at the London Interbank Offered Rate ("LIBOR") plus an interest margin.  The applicable interest margin is based on the Company's leverage ratio.  Based on the Company's current leverage ratio, borrowings bear interest at LIBOR plus 1.75%.  The interest rate on the Company's borrowings will increase to LIBOR plus 2.00% if the Company's leverage ratio equals or exceeds 2.50 to 1 and will decrease to LIBOR plus 1.50% if the Company's leverage ratio decreases below 1.50 to 1.  Vishay is also required to pay facility fees on the entire commitment amount based on the Company's leverage ratio.  Based on the Company's current leverage ratio, the facility fee is 0.35% per annum.  Such facility fee will increase to 0.50% per annum if the Company's leverage ratio equals or exceeds 2.50 to 1 and will decrease to 0.30% per annum if the leverage ratio decreases below 1.50 to 1.

The August 8, 2013 Amended and Restated Credit Agreement also removes certain restrictions related to the incurrence and repayment of certain intercompany indebtedness, mergers, liquidations, and transfers of ownership of wholly owned subsidiaries that were present in the original credit agreement. These changes will enable the Company to streamline its complex subsidiary structure and provide greater operating flexibility.

The borrowings under the Credit Facility are secured by a lien on substantially all assets, including accounts receivable, inventory, machinery and equipment, and general intangibles (but excluding real estate, intellectual property registered or licensed for use in, or arising under the laws of, any country other than the United States, assets located outside of the United States and deposit and securities accounts), of Vishay and certain significant subsidiaries located in the United States, and pledges of stock in certain significant domestic and foreign subsidiaries; and are guaranteed by certain significant subsidiaries. Certain of the Company's subsidiaries are permitted to borrow under the Credit Facility, subject to the satisfaction of specified conditions. Any borrowings by these subsidiaries under the Credit Facility are guaranteed by Vishay and certain subsidiaries. The Credit Facility also limits or restricts the Company and its subsidiaries, from, among other things, incurring indebtedness, incurring liens on its respective assets, making investments and acquisitions, making asset sales, and making other restricted payments, and requires the Company to comply with other covenants, including the maintenance of specific financial ratios.
F-26

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 6 – Long-Term Debt (continued)

The Credit Facility permits the Company to repurchase shares of its common stock or pay cash dividends up to a permitted capacity, conditioned upon Vishay maintaining (i) a pro forma leverage ratio of 2.75 to 1.00, (ii) a pro forma interest expense coverage ratio of 2.00 to 1.00, and (iii) $300,000 of available liquidity, as defined in the Credit Facility.  The permitted capacity to repurchase shares of the Company's outstanding common stock or pay cash dividends under the Credit Facility increases each quarter by an amount equal to 20% of net income. At December 31, 2013, the Credit Facility allows the Company to repurchase its common stock or pay cash dividends up to $204,596 (See Note 7).  The amount and timing of any future stock repurchases or cash dividends remains subject to authorization of the Company's Board of Directors.

The Credit Facility also contains customary events of default, including, but not limited to, failure to pay principal or interest, failure to pay or default under other material debt, material misrepresentation or breach of warranty, violation of certain covenants, a change of control, the commencement of bankruptcy proceedings, the insolvency of Vishay or certain of its significant subsidiaries, and the rendering of a judgment in excess of $25,000 against Vishay or certain of its significant subsidiaries. Upon the occurrence of an event of default under the Credit Facility, the Company's obligations under the credit facility may be accelerated and the lending commitments under the credit facility terminated.

At December 31, 2013 and 2012, there was $518,345 and $431,295, respectively, available under the Credit Facility. Letters of credit totaling $7,655 and $7,705 were outstanding at December 31, 2013 and 2012, respectively.

Convertible Senior Debentures

Vishay currently has three issuances of convertible senior debentures outstanding with generally congruent terms. The following table summarizes some key facts and terms regarding the three series of outstanding convertible senior debentures:

 
 
Due 2040
   
Due 2041
   
Due 2042
 
 
 
   
   
 
Issuance date
 
November 9, 2010
   
May 13, 2011
   
May 31, 2012
 
Maturity date
 
November 15, 2040
   
May 15, 2041
   
June 1, 2042
 
Principal amount
 
$
275,000
   
$
150,000
   
$
150,000
 
Cash coupon rate (per annum)
   
2.25
%
   
2.25
%
   
2.25
%
Nonconvertible debt borrowing rate at issuance (per annum)
   
8.00
%
   
8.375
%
   
7.50
%
Initial conversion rate (per $1 principal amount)
   
72.0331
     
52.5659
     
84.6937
 
Effective conversion price (per share)
 
$
13.88
   
$
19.02
   
$
11.81
 
130% of the conversion price (per share)
 
$
18.04
   
$
24.73
   
$
15.35
 
Call date
 
November 20, 2020
   
May 20, 2021
   
June 7, 2022
 


The payment of cash dividends results in an adjustment to the conversion rate and effective conversion price for each issuance of the convertible senior debentures (See Note 7).

GAAP requires an issuer to separately account for the liability and equity components of the instrument in a manner that reflects the issuer's nonconvertible debt borrowing rate when interest costs are recognized in subsequent periods. The resulting discount on the debt is amortized as non-cash interest expense in future periods.

F-27

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 6 – Long-Term Debt (continued)

The carrying values of the liability and equity components of the convertible debentures are reflected in the Company's consolidated balance sheets as follows:

 
 
Principal amount of the debentures
   
Unamortized discount
   
Embedded derivative
   
Carrying value of liability component
   
Equity component - net carrying value
 
 
 
   
   
   
   
 
December 31, 2013
 
   
   
   
   
 
Due 2040
 
$
275,000
     
(173,645
)
   
491
   
$
101,846
   
$
110,094
 
Due 2041
 
$
150,000
     
(98,085
)
   
349
   
$
52,264
   
$
62,246
 
Due 2042
 
$
150,000
     
(92,038
)
   
197
   
$
58,159
   
$
57,874
 
Total
 
$
575,000
   
$
(363,768
)
 
$
1,037
   
$
212,269
   
$
230,214
 
 
                                       
December 31, 2012
                                       
Due 2040
 
$
275,000
     
(175,456
)
   
622
   
$
100,166
   
$
110,094
 
Due 2041
 
$
150,000
     
(99,000
)
   
399
   
$
51,399
   
$
62,246
 
Due 2042
 
$
150,000
     
(92,958
)
   
282
   
$
57,324
   
$
57,874
 
Total
 
$
575,000
   
$
(367,414
)
 
$
1,303
   
$
208,889
   
$
230,214
 


Interest is payable on the debentures semi-annually at the cash coupon rate; however, the remaining debt discount is being amortized as additional non-cash interest expense using an effective annual interest rate equal to the Company's estimated nonconvertible debt borrowing rate at the time of issuance. In addition to ordinary interest, contingent interest will accrue in certain circumstances relating to the trading price of the debentures and under certain other circumstances beginning ten years subsequent to issuance.

Interest expense related to the debentures is reflected on the consolidated statements of operations for the years ended December 31:

 
 
 
Contractual coupon interest
   
Non-cash amortization of debt discount
   
Non-cash amortization of deferred financing costs
   
Non-cash change in value of derivative liability
   
Total interest expense related to the debentures
 
 
 
   
   
   
   
 
2013
 
   
   
   
   
 
Due 2040
 
$
6,188
     
1,811
     
88
     
(131
)
 
$
7,956
 
Due 2041
 
$
3,375
     
915
     
47
     
(50
)
 
$
4,287
 
Due 2042
 
$
3,375
     
920
     
54
     
(85
)
 
$
4,264
 
Total
 
$
12,938
   
$
3,646
   
$
189
   
$
(266
)
 
$
16,507
 
 
                                       
2012
                                       
Due 2040
 
$
6,188
     
1,675
     
88
     
28
   
$
7,979
 
Due 2041
 
$
3,375
     
843
     
45
     
7
   
$
4,270
 
Due 2042
 
$
1,978
     
510
     
32
     
46
   
$
2,566
 
Total
 
$
11,541
   
$
3,028
   
$
165
   
$
81
   
$
14,815
 
 
                                       
2011
                                       
Due 2040
 
$
6,188
     
1,548
     
88
     
275
   
$
8,099
 
Due 2041
 
$
2,128
     
498
     
29
     
181
   
$
2,836
 
Total
 
$
8,316
   
$
2,046
   
$
117
   
$
456
   
$
10,935
 
F-28

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)


Note 6 – Long-Term Debt (continued)

Prior to three months before the maturity date, the holders may only convert their debentures under the following circumstances: (1) during any fiscal quarter  after the first full quarter subsequent to issuance, if the sale price of Vishay common stock reaches 130% of the conversion price for a specified period; (2) the trading price of the debentures falls below 98% of the product of the sale price of Vishay's common stock and the conversion rate for a specified period; (3) Vishay calls any or all of the debentures for redemption, at any time prior to the close of business on the third scheduled trading day immediately preceding the redemption date; or (4) upon the occurrence of specified corporate events. None of these conditions had occurred as of December 31, 2013.

The debentures are convertible, subject to certain conditions, into cash, shares of Vishay's common stock or a combination thereof, at Vishay's option, at the conversion rate. At the direction of its Board of Directors, Vishay intends, upon conversion, to repay the principal amount of the debentures in cash and settle any additional amounts in shares. Vishay must provide additional shares upon conversion if there is a "fundamental change" in the business as defined in the indenture governing the debentures.

Vishay may not redeem the debentures prior to the respective call dates, except in connection with certain tax-related events.  On or after the call date and prior to the maturity date, Vishay may redeem for cash all or part of the debentures at a redemption price equal to 100% of the principal amount of the debentures to be redeemed, plus accrued and unpaid interest to, but excluding, the redemption date, if the last reported sale price of Vishay's common stock has been at least 150% of the conversion price then in effect for at least 20 trading days during any 30 consecutive trading day period prior to the date on which Vishay provides notice of redemption.

Exchangeable Unsecured Notes, due 2102

On December 13, 2002, Vishay issued $105,000 in nominal (or principal) amount of its floating rate unsecured exchangeable notes due 2102 in connection with an acquisition. The notes are governed by a note instrument and a put and call agreement dated December 13, 2002. The notes may be put to Vishay in exchange for shares of its common stock and, under certain circumstances, may be called by Vishay for similar consideration.

Under the terms of the put and call agreement, by reason of the spin-off of VPG on July 6, 2010, Vishay was required to take action so that the existing notes are deemed exchanged as of the date of the spin-off, for a combination of new notes of Vishay reflecting a lower principal amount of the notes and new notes issued by VPG.

Based on the relative trading prices of Vishay and VPG common stock on the ten trading days following the spin-off, Vishay retained the liability for an aggregate $95,042 principal amount of exchangeable notes effective July 6, 2010. The assumption of a portion of the liability by VPG was recorded as a reduction in parent net investment just prior to the completion of the spin-off.

Under the terms of the put and call agreement the holders may at any time put the notes to Vishay in exchange for shares of Vishay's common stock, and Vishay may call the notes in exchange for cash or for shares of its common stock at any time after January 2, 2018. Subsequent to the spin-off of VPG, the put/call rate of the Vishay notes is $15.39 per share of common stock.

The payment of quarterly cash dividends does not result in an adjustment to the put/call rate of the notes (See Note 7).

Effective August 26, 2013, a holder of the notes exercised its option to exchange $56,400 principal amount of the notes for 3,664,729 shares of Vishay common stock.  Following this transaction, Vishay had outstanding exchangeable unsecured notes with a principal amount of $38,642, which are exchangeable for an aggregate of 2,511,742 shares of Vishay common stock.

The notes bear interest at LIBOR. Interest continues to be payable quarterly on March 31, June 30, September 30, and December 31 of each calendar year.

F-29

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)


Note 6 – Long-Term Debt (continued)

Other Borrowings Information
Aggregate annual maturities of long-term debt, based on the terms stated in the respective agreements, are as follows:
2014
 
$
-
 
2015
   
-
 
2016
   
-
 
2017
   
-
 
2018
   
114,000
 
Thereafter
   
613,642
 

The annual maturities of long-term debt are based on the amount required to settle the obligation. Accordingly, the discounts associated with the convertible debentures due 2040, due 2041, and due 2042 are excluded from the calculation of the annual maturities of long-term debt in the table above.

At December 31, 2013, the Company had committed and uncommitted short-term credit lines with various U.S. and foreign banks aggregating approximately $27,400, with substantially no amounts borrowed. At December 31, 2012, the Company had committed and uncommitted short-term credit lines with various U.S. and foreign banks aggregating approximately $18,200, with substantially no amounts borrowed.

Interest paid was $17,647, $16,578, and $14,084 for the years ended December 31, 2013, 2012, and 2011, respectively.

See Note 18 for further discussion on the fair value of the Company's long-term debt.
F-30

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 7 – Stockholders' Equity
The Company's Class B common stock carries ten votes per share while the common stock carries one vote per share. Class B shares are transferable only to certain permitted transferees while the common stock is freely transferable.  Class B shares are convertible on a one-for-one basis at any time into shares of common stock.  Transfers of Class B shares other than to permitted transferees result in the automatic conversion of the Class B shares into common stock.

The Board of Directors may only declare dividends or other distributions with respect to the common stock or the Class B common stock if it grants such dividends or distributions in the same amount per share with respect to the other class of stock.  Stock dividends or distributions on any class of stock are payable only in shares of stock of that class.  Shares of either common stock or Class B common stock cannot be split, divided, or combined unless the other is also split, divided, or combined equally.

On May 31, 2012, the Company repurchased 13,948,687 shares of common stock for an aggregate purchase price of $150,000. The Company repurchased 8,620,689 shares of its common stock on May 13, 2011 for $150,000 and 21,721,959 shares of its common stock on November 9, 2010 for $275,000. At December 31, 2013, the Credit Facility allows the Company to repurchase its common stock or pay cash dividends up to $204,596, conditioned upon the Company maintaining specific pro forma financial ratios and a required minimum amount of available liquidity, as defined in the credit agreement.  The amount and timing of any future stock repurchases remains subject to authorization of the Company's Board of Directors.

The Company issued 8,823,529 warrants to acquire shares of Vishay common stock as part of the purchase price for the 2002 acquisition of BCcomponents.  These warrants expired in December 2012.

At December 31, 2013, the Company had reserved shares of common stock for future issuance as follows:

Common stock options outstanding
   
109,000
 
Restricted stock units outstanding
   
1,059,000
 
2007 Stock Incentive Program - available to grant
   
766,000
 
Phantom stock units outstanding
   
107,000
 
Phantom stock units available to grant
   
75,000
 
Exchangeable unsecured notes, due 2102
   
2,511,742
 
Convertible senior debentures, due 2040*
   
22,285,258
 
Convertible senior debentures, due 2041*
   
8,870,490
 
Convertible senior debentures, due 2042*
   
14,450,865
 
Conversion of Class B common stock
   
12,129,227
 
 
   
62,363,582
 
___________________
*The convertible senior debentures due 2040, due 2041, and due 2042 are convertible into 19,809,103, 7,884,885, and 12,704,055 shares, respectively, of Vishay common stock.  The Company has reserved the maximum amount of shares to be delivered upon a make-whole fundamental change as defined in the indentures governing the debentures.
 
Subsequent Event
 
On February 3, 2014, the Company's Board of Directors approved the initiation of a quarterly cash dividend program.  The initial cash dividend of $0.06 per share of common stock and Class B common stock will be paid on March 27, 2014 to stockholders of record at the close of business on March 3, 2014.  Future dividends will be subject to approval by the Board of Directors.
 
 
F-31

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 8 – Other Income (Expense)

The caption "Other" on the consolidated statements of operations consists of the following:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Foreign exchange gain (loss)
 
$
(993
)
 
$
(3,654
)
 
$
(8,249
)
Interest income
   
4,566
     
7,626
     
10,386
 
Sale of investments
   
-
     
-
     
1,396
 
Other
   
(1,720
)
   
(532
)
   
259
 
 
 
$
1,853
   
$
3,440
   
$
3,792
 

In the year ended December 31, 2011, the Company sold ancillary investments in the equity of two companies located outside of the U.S. for a total gain of $1,396.

Note 9 – Other Accrued Expenses

Other accrued expenses consist of the following:

 
 
December 31,
 
 
 
2013
   
2012
 
 
 
   
 
Sales returns and allowances
 
$
34,465
   
$
32,703
 
Goods received, not yet invoiced
   
36,692
     
29,690
 
Other
   
75,513
     
86,267
 
 
 
$
146,670
   
$
148,660
 
F-32

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 10 – Accumulated Other Comprehensive Income (Loss)

The cumulative balance of each component of other comprehensive income (loss) and the income tax effects allocated to each component are as follows:

 
 
Pension and
other post-retirement
actuarial items
   
Currency translation adjustment
   
Unrealized gain (loss) on
available-for-sale securities
   
Total
 
 
 
   
   
   
 
Balance at January 1, 2011
 
$
(119,990
)
 
$
179,335
   
$
1,146
   
$
60,491
 
Other comprehensive income before reclassifications
   
(54,053
)
   
(26,441
)
   
(1,622
)
 
$
(82,116
)
Tax effect
   
16,975
     
-
     
568
   
$
17,543
 
Other comprehensive income before reclassifications, net of tax
   
(37,078
)
   
(26,441
)
   
(1,054
)
 
$
(64,573
)
Amounts reclassified out of AOCI
   
12,192
     
-
     
(17
)
 
$
12,175
 
Tax effect
   
(4,321
)
   
-
     
6
   
$
(4,315
)
Amounts reclassified out of AOCI, net of tax
   
7,871
     
-
     
(11
)
 
$
7,860
 
Net comprehensive income
 
$
(29,207
)
 
$
(26,441
)
 
$
(1,065
)
 
$
(56,713
)
Balance at December 31, 2011
 
$
(149,197
)
 
$
152,894
   
$
81
   
$
3,778
 
Other comprehensive income before reclassifications
   
(57,072
)
   
14,567
     
1,834
   
$
(40,671
)
   Tax effect
   
16,626
     
-
     
(642
)
 
$
15,984
 
Other comprehensive income before reclassifications, net of tax
   
(40,446
)
   
14,567
     
1,192
   
$
(24,687
)
Amounts reclassified out of AOCI
   
16,059
     
-
     
-
   
$
16,059
 
Tax effect
   
(5,372
)
   
-
     
-
   
$
(5,372
)
Amounts reclassified out of AOCI, net of tax
   
10,687
     
-
     
-
   
$
10,687
 
Net comprehensive income
 
$
(29,759
)
 
$
14,567
   
$
1,192
   
$
(14,000
)
Balance at December 31, 2012
 
$
(178,956
)
 
$
167,461
   
$
1,273
   
$
(10,222
)
Other comprehensive income before reclassifications
   
52,545
     
23,537
     
913
   
$
76,995
 
Tax effect
   
(16,334
)
   
-
     
(299
)
 
$
(16,633
)
Other comprehensive income before reclassifications, net of tax
   
36,211
     
23,537
     
614
   
$
60,362
 
Amounts reclassified out of AOCI
   
19,112
     
-
     
(2,019
)
 
$
17,093
 
Tax effect
   
(6,285
)
   
-
     
686
   
$
(5,599
)
Amounts reclassified out of AOCI, net of tax
   
12,827
     
-
     
(1,333
)
 
$
11,494
 
Net comprehensive income
 
$
49,038
   
$
23,537
   
$
(719
)
 
$
71,856
 
Balance at December 31, 2013
 
$
(129,918
)
 
$
190,998
   
$
554
   
$
61,634
 

F-33

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)



Note 10 – Accumulated Other Comprehensive Income (Loss) (continued)

Reclassifications of pension and other post-retirement actuarial items out of AOCI are included in the computation of net periodic benefit cost. (See Note 11 for further information). The amount of unrealized gains (losses) on available-for-sale securities reclassified out of AOCI as a result of sales of securities held by the Company's rabbi trust used to fund a deferred compensation plan was $1,966, $0, and $17 for the years ended December 31, 2013, 2012, and 2011, respectively.  These reclassifications are recorded as a component of compensation expense within Selling, General, and Administrative expenses on our consolidated condensed statements of operations. The pre-tax amount of unrealized gains (losses) on available-for-sale securities reclassified out of AOCI as a result of sales of available-for-sale securities was $53, $0, and $0 for the years ended December 31, 2013, 2012, and 2011, respectively.  These reclassifications are recorded as a component of Other Income on our consolidated condensed statements of operations.  The tax effect of the reclassifications of unrealized gains (losses) on available-for-sale securities is recorded as a component of Income Tax Expense on our consolidated condensed statements of operations.

Other comprehensive income (loss) includes Vishay's proportionate share of other comprehensive income (loss) of nonconsolidated subsidiaries accounted for under the equity method.
F-34

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 11 – Pensions and Other Postretirement Benefits

The Company maintains various retirement benefit plans. GAAP requires employers to recognize the funded status of a benefit plan, measured as the difference between plan assets at fair value and the benefit obligation, in its balance sheet.  The recognition of the funded status on the balance sheet requires employers to recognize actuarial items (such as actuarial gains and losses, prior service costs, and transition obligations) as a component of other comprehensive income, net of tax.

The following table summarizes amounts recorded on the consolidated balance sheets associated with these various retirement benefit plans:

 
 
December 31,
 
 
 
2013
   
2012
 
 
 
   
 
Included in "Other Assets":
 
   
 
U.S. pension plans
 
$
15,708
   
$
-
 
Non-U.S. pension plans
   
257
     
143
 
Total included in other assets
 
$
15,965
   
$
143
 
Included in "Accrued Payroll":
               
U.S. pension plans
 
$
(51
)
 
$
(83
)
Non-U.S. pension plans
   
(7,644
)
   
(6,997
)
U.S. other postretirement plans
   
(638
)
   
(637
)
Total included in accrued payroll
 
$
(8,333
)
 
$
(7,717
)
Accrued pension and other postretirement costs:
               
U.S. pension plans
 
$
(35,397
)
 
$
(89,116
)
Non-U.S. pension plans
   
(224,280
)
   
(229,014
)
U.S. other postretirement plans
   
(6,703
)
   
(7,520
)
Non-U.S. other postretirement plans
   
(7,504
)
   
(6,964
)
Other retirement obligations
   
(14,017
)
   
(12,347
)
Total accrued pension and other postretirement costs
 
$
(287,901
)
 
$
(344,961
)
Accumulated other comprehensive loss:
               
U.S. pension plans
 
$
84,384
   
$
146,525
 
Non-U.S. pension plans
   
61,652
     
71,459
 
U.S. other postretirement plans
   
(5,782
)
   
(5,937
)
Non-U.S. other postretirement plans
   
1,246
     
805
 
Total accumulated other comprehensive loss*
 
$
141,500
   
$
212,852
 

* - Amounts included in accumulated other comprehensive loss are presented in this table pre-tax.
F-35

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)


Note 11 – Pensions and Other Postretirement Benefits (continued)

Defined Benefit Pension Plans

U.S. Pension Plans

The Company maintains several defined benefit pension plans which covered most full-time U.S. employees. These include pension plans which are "qualified" under the Employee Retirement Security Act of 1974 ("ERISA") and the Internal Revenue Code, and "non-qualified" pension plans which provide defined benefits primarily to U.S. employees whose benefits under the qualified pension plan would be limited by ERISA and the Internal Revenue Code.  Pension benefits earned are generally based on years of service and compensation during active employment.

Qualified U.S. Pension Plans

The qualified U.S. pension plans historically included both contributory and non-contributory plans. The Company's principal qualified U.S. pension plan (the Vishay Retirement Plan) was funded through Company and participant contributions to an irrevocable trust fund. The Company's other qualified U.S. pension plans, which were assumed as a result of past acquisitions, were funded only through Company contributions.

In 2008, the Company adopted amendments to the Vishay Retirement Plan such that effective January 1, 2009, the plan was frozen. Pursuant to these amendments, no new employees may participate in the plan, no further participant contributions were required or permitted, and no further benefits shall accrue after December 31, 2008. Benefits accumulated as of December 31, 2008 will be paid to employees upon retirement, and the Company will likely need to make additional cash contributions to the plan to fund this accumulated benefit obligation. To mitigate the loss in benefits of these employees, effective January 1, 2009, the Company increased the Company-match portion of its 401(k) defined contribution savings plan for employees impacted by the pension freeze.

The Company's other qualified U.S. pension plans had all been effectively frozen in prior years.  All of the Company's qualified U.S. pension plans have been merged into the Vishay Retirement Plan.

Non-qualified U.S. Pension Plans

The Company's principal non-qualified U.S. pension plan (the Vishay Non-qualified Retirement Plan) was a contributory pension plan designed to provide similar defined benefits to covered U.S. employees whose benefits under the Vishay Retirement Plan would be limited by ERISA and the Internal Revenue Code. The Vishay Non-qualified Retirement Plan is identical in construction to the Vishay Retirement Plan, except that the plan is not qualified under ERISA.

The Vishay Non-qualified Retirement Plan, like all non-qualified plans, is considered to be unfunded. The Company maintains a non-qualified trust, referred to as a "rabbi" trust, to fund benefit payments under this plan. Rabbi trust assets are subject to creditor claims under certain conditions and are not the property of employees. Therefore, they are accounted for as other noncurrent assets. Assets held in trust related to the non-qualified pension plan were $18,678 and $16,608 at December 31, 2013 and 2012, respectively.

In 2008, the Company adopted amendments to the Vishay Non-Qualified Retirement Plan such that effective January 1, 2009, the plan was frozen. Pursuant to these amendments, no new employees may participate in the plans, no further participant contributions were required or permitted, and no further benefits shall accrue after December 31, 2008. Benefits accumulated as of December 31, 2008 will be paid to employees upon retirement, and the Company will likely need to make additional cash contributions to the rabbi trust to fund this accumulated benefit obligation. To mitigate the loss in benefits of these employees, effective January 1, 2009, the Company increased the Company-match portion of its 401(k) defined contribution savings plan for employees impacted by the pension freeze.
F-36

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 11 – Pensions and Other Postretirement Benefits (continued)

The Company also maintains other pension plans which provide supplemental defined benefits primarily to former U.S. employees whose benefits under qualified pension plans were limited by ERISA. These non-qualified plans are all non-contributory plans, and are considered to be unfunded.

In 2004, the Company entered into an employment agreement with Dr. Felix Zandman, its Executive Chairman and then-Chief Executive Officer. Pursuant to this agreement, the Company is providing an annual retirement benefit of approximately $614 to his surviving spouse. The Company maintains a non-qualified trust, referred to as a "rabbi" trust, to fund benefit payments under this plan. Rabbi trust assets are subject to creditor claims under certain conditions and are not the property of employees. Therefore, they are accounted for as other noncurrent assets. Assets held in trust related to this non-qualified pension plan were $4,221 and $4,833 at December 31, 2013 and 2012, respectively.

In 2010, the Compensation Committee determined to modify Dr. Gerald Paul's and the Compensation Committee recommended to the Board of Directors, and the Board of Directors determined to modify Mr. Marc Zandman's employment arrangements such that upon any termination (other than for cause) after attaining age 62, the executive would be entitled to the same payments and benefits he would have received if his respective employment was terminated by Vishay without cause or by the respective executive for good reason. These modifications were included in formal amendments signed on August 8, 2010. The expense associated with the modifications to the employment arrangements of Dr. Gerald Paul and Mr. Marc Zandman effectively represents a defined retirement benefit that will be recognized over the remaining service period of the individuals.

Non-U.S. Pension Plans

The Company provides pension and similar benefits to employees of certain non-U.S. subsidiaries consistent with local practices. Pension benefits earned are generally based on years of service and compensation during active employment.
F-37

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 11 – Pensions and Other Postretirement Benefits (continued)

The following table sets forth a reconciliation of the benefit obligation, plan assets, and funded status related to U.S. and non-U.S. pension plans:

 
 
December 31, 2013
   
December 31, 2012
 
 
 
U.S.
Plans
   
Non-U.S.
Plans
   
U.S.
Plans
   
Non-U.S.
Plans
 
 
 
   
   
   
 
Change in benefit obligation:
 
   
   
   
 
Benefit obligation at beginning of year
 
$
355,065
   
$
282,448
   
$
322,527
   
$
243,966
 
Service cost
   
-
     
3,499
     
-
     
3,247
 
Interest cost
   
13,882
     
8,150
     
15,699
     
9,374
 
Plan amendments
   
-
     
23
     
-
     
67
 
Actuarial (gains) losses
   
(34,703
)
   
(5,134
)
   
35,467
     
29,957
 
Benefits paid
   
(18,871
)
   
(13,980
)
   
(18,628
)
   
(11,456
)
Currency translation
   
-
     
5,520
     
-
     
7,293
 
Benefit obligation at end of year
 
$
315,373
   
$
280,526
   
$
355,065
   
$
282,448
 
 
                               
Change in plan assets:
                               
Fair value of plan assets at beginning
                               
of year
 
$
265,866
   
$
46,580
   
$
239,045
     
35,544
 
Actual return on plan assets
   
31,018
     
2,482
     
27,763
     
2,795
 
Company contributions
   
17,620
     
14,781
     
17,686
     
17,905
 
Benefits paid
   
(18,871
)
   
(13,980
)
   
(18,628
)
   
(11,456
)
Currency translation
   
-
     
(1,004
)
   
-
     
1,792
 
Fair value of plan assets at end of year
 
$
295,633
   
$
48,859
   
$
265,866
   
$
46,580
 
 
                               
Funded status at end of year
 
$
(19,740
)
 
$
(231,667
)
 
$
(89,199
)
 
$
(235,868
)

The plan assets are stated at fair value. See Note 18 for further discussion of the valuation of the plan assets.

Amounts recognized in the consolidated balance sheet consist of the following:

 
 
December 31, 2013
   
December 31, 2012
 
 
 
U.S.
Plans
   
Non-U.S.
Plans
   
U.S.
Plans
   
Non-U.S.
Plans
 
 
 
   
   
   
 
Other assets
 
$
15,708
   
$
257
   
$
-
   
$
143
 
Accrued benefit liability - currrent
   
(51
)
   
(7,644
)
   
(83
)
   
(6,997
)
Accrued benefit liability - non-current
   
(35,397
)
   
(224,280
)
   
(89,116
)
   
(229,014
)
Accumulated other comprehensive loss
   
84,384
     
61,652
     
146,525
     
71,459
 
 
 
$
64,644
   
$
(170,015
)
 
$
57,326
   
$
(164,409
)
F-38

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 11 – Pensions and Other Postretirement Benefits (continued)

Actuarial items consist of the following:

 
 
December 31, 2013
   
December 31, 2012
 
 
 
U.S.
Plans
   
Non-U.S.
Plans
   
U.S.
Plans
   
Non-U.S.
Plans
 
 
 
   
   
   
 
Unrecognized net actuarial loss
 
$
83,161
   
$
61,652
   
$
144,324
   
$
71,459
 
Unamortized prior service cost
   
1,223
     
-
     
2,201
     
-
 
 
 
$
84,384
   
$
61,652
   
$
146,525
   
$
71,459
 

The following table sets forth additional information regarding the projected and accumulated benefit obligations:

 
 
December 31, 2013
   
December 31, 2012
 
 
 
U.S.
Plans
   
Non-U.S.
Plans
   
U.S.
Plans
   
Non-U.S.
Plans
 
 
 
   
   
   
 
Accumulated benefit obligation, all plans
 
$
315,373
   
$
260,558
   
$
355,065
   
$
261,557
 
 
                               
Plans for which the accumulated benefit
                               
obligation exceeds plan assets:
                               
Projected benefit obligation
 
$
35,448
   
$
251,569
   
$
355,065
   
$
255,772
 
Accumulated benefit obligation
   
35,448
     
238,419
     
355,065
     
240,816
 
Fair value of plan assets
   
-
     
21,356
     
265,866
     
20,436
 

The following table sets forth the components of net periodic pension cost:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
U.S.
Plans
   
Non-U.S.
Plans
   
U.S.
Plans
   
Non-U.S.
Plans
   
U.S.
Plans
   
Non-U.S.
Plans
 
 
 
   
   
   
   
   
 
Service cost net of employee contributions
 
$
-
   
$
3,499
   
$
-
   
$
3,247
   
$
-
   
$
3,197
 
Interest cost
   
13,882
     
8,150
     
15,699
     
9,374
     
16,332
     
10,366
 
Expected return on plan assets
   
(19,124
)
   
(2,084
)
   
(18,972
)
   
(1,667
)
   
(19,082
)
   
(1,651
)
Amortization of actuarial losses
   
14,566
     
3,407
     
12,960
     
1,681
     
9,006
     
993
 
Amortization of prior service cost
   
978
     
(12
)
   
2,200
     
60
     
2,361
     
531
 
Curtailment and settlement losses (gains)
   
-
     
959
     
-
     
-
     
148
     
-
 
Net periodic benefit cost
 
$
10,302
   
$
13,919
   
$
11,887
   
$
12,695
   
$
8,765
   
$
13,436
 
F-39

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 11 – Pensions and Other Postretirement Benefits (continued)

See Note 10 for the pretax, tax effect and after tax amounts included in other comprehensive income during the years ended December 31, 2013, 2012, and 2011.  The estimated actuarial items for the defined benefit pensions plans that will be amortized from accumulated other comprehensive loss into net periodic pension cost during 2014 is $9,900.

The following weighted average assumptions were used to determine benefit obligations at December 31 of the respective years:

 
 
2013
   
2012
 
 
 
U.S.
Plans
   
Non-U.S.
Plans
   
U.S.
Plans
   
Non-U.S.
Plans
 
Discount rate
   
5.00
%
   
3.11
%
   
4.00
%
   
3.04
%
Rate of compensation increase
   
0.00
%
   
1.99
%
   
0.00
%
   
1.48
%

The following weighted average assumptions were used to determine the net periodic pension costs for the years ended December 31, 2013 and 2012:

 
 
Years ended December 31,
 
 
 
2013
   
2012
 
 
 
 
U.S.
Plans
   
Non-U.S.
Plans
   
U.S.
Plans
   
Non-U.S.
Plans
 
Discount rate
   
4.00
%
   
3.04
%
   
5.00
%
   
3.96
%
Rate of compensation increase
   
0.00
%
   
1.48
%
   
0.00
%
   
2.31
%
Expected return on plan assets
   
7.25
%
   
4.44
%
   
8.00
%
   
4.47
%

The plans' expected return on assets is based on management's expectations of long-term average rates of return to be achieved by the underlying investment portfolios. In establishing this assumption, management considers historical and expected returns for the asset classes in which the plans are invested, advice from pension consultants and investment advisors, and current economic and capital market conditions.

The investment mix between equity securities and fixed income securities is based upon achieving a desired return, balancing higher return, more volatile equity securities, and lower return, less volatile fixed income securities. The Company's U.S. defined benefit plans are invested in diversified portfolios of public-market equity and fixed income securities. Investment allocations are made across a range of markets, industry sectors, capitalization sizes, and, in the case of fixed income securities, maturities and credit quality.  The target allocation has historically been approximately 60% invested in equity securities and 40% invested in fixed income securities.  Based on market interest rate conditions and the current market value of the plan assets at December 31, 2013, our qualified defined benefit plan in the U.S. is fully-funded.  Accordingly, we have revised the asset allocation strategy for this plan to further reduce risk and now have set the target allocation at approximately 20% of the assets invested in equity securities and 80% invested in fixed income securities. The Company is evaluating options to further reduce the risk associated with its pension obligations. The Company's non-U.S. defined benefit plan investments are based on local laws and customs. Most plans invest in cash and local government fixed income securities, although plans in certain countries have investments in equity securities.  The plans do not invest in securities of Vishay or its subsidiaries. Negative investment returns could ultimately affect the funded status of the plans, requiring additional cash contributions. See Note 18 for further information on the fair value of the plan assets by asset category.

F-40

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 11 – Pensions and Other Postretirement Benefits (continued)

Estimated future benefit payments are as follows:

 
 
U.S.
Plans
   
Non-U.S.
Plans
 
 
 
   
 
2014
 
$
19,128
   
$
14,249
 
2015
   
19,451
     
14,082
 
2016
   
19,780
     
14,501
 
2017
   
26,378
     
16,769
 
2018
   
21,926
     
15,292
 
2019-2023
   
109,815
     
90,491
 

The Company anticipates making contributions to U.S. defined benefit pension plans of between $15,000 and $20,000 in 2014.

The Company's anticipated 2014 contributions for non-U.S. defined benefit pension plans will approximate the expected benefit payments disclosed above.
F-41

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 11 – Pensions and Other Postretirement Benefits (continued)

Other Postretirement Benefits
In the U.S., the Company maintains unfunded non-pension postretirement plans, including medical benefits for certain executives and their surviving spouses, which are funded as costs are incurred. One of these plans was amended effective January 1, 2012, which reduced the benefit obligations of the Company. The Company also maintains two unfunded non-pension postretirement plans at two European subsidiaries.

The following table sets forth a reconciliation of the benefit obligation, plan assets, and accrued benefit cost related to U.S. and non-U.S. non-pension defined benefit postretirement plans:

 
 
December 31, 2013
   
December 31, 2012
 
 
 
U.S.
Plans
   
Non-U.S.
Plans
   
U.S.
Plans
   
Non-U.S.
Plans
 
 
 
   
   
   
 
Change in benefit obligation:
 
   
   
   
 
Benefit obligation at beginning of year
 
$
8,157
   
$
6,964
   
$
10,924
   
$
5,972
 
Service cost
   
111
     
299
     
106
     
253
 
Interest cost
   
314
     
257
     
366
     
286
 
Plan amendments
   
-
     
-
     
(3,297
)
   
-
 
Actuarial (gains) losses
   
(639
)
   
398
     
660
     
1,022
 
Benefits paid
   
(602
)
   
(740
)
   
(602
)
   
(704
)
Currency translation
   
-
     
326
     
-
     
135
 
Benefit obligation at end of year
 
$
7,341
   
$
7,504
   
$
8,157
   
$
6,964
 
 
                               
Fair value of plan assets at end of year
 
$
-
   
$
-
   
$
-
   
$
-
 
 
                               
Funded status at end of year
 
$
(7,341
)
 
$
(7,504
)
 
$
(8,157
)
 
$
(6,964
)

Amounts recognized in the consolidated balance sheet consist of the following:

 
 
December 31, 2013
   
December 31, 2012
 
 
 
U.S.
Plans
   
Non-U.S.
Plans
   
U.S.
Plans
   
Non-U.S.
Plans
 
 
 
   
   
   
 
Accrued benefit liability - current
 
$
(638
)
 
$
-
   
$
(637
)
 
$
-
 
Accrued benefit liability - non-current
   
(6,703
)
   
(7,504
)
   
(7,520
)
   
(6,964
)
Accumulated other comprehensive income
   
(5,782
)
   
1,246
     
(5,937
)
   
805
 
 
 
$
(13,123
)
 
$
(6,258
)
 
$
(14,094
)
 
$
(6,159
)

F-42

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)


Note 11 – Pensions and Other Postretirement Benefits (continued)

Actuarial items consist of the following:

 
 
December 31, 2013
   
December 31, 2012
 
 
 
U.S.
Plans
   
Non-U.S.
Plans
   
U.S.
Plans
   
Non-U.S.
Plans
 
 
 
   
   
   
 
Unrecognized net actuarial gain
 
$
(2,301
)
 
$
1,246
   
$
(1,657
)
 
$
805
 
Unamortized prior service (credit) cost
   
(3,481
)
   
-
     
(4,280
)
   
-
 
 
 
$
(5,782
)
 
$
1,246
   
$
(5,937
)
 
$
805
 

The following table sets forth the components of net periodic benefit cost:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
U.S.
Plans
   
Non-U.S.
Plans
   
U.S.
Plans
   
Non-U.S.
Plans
   
U.S.
Plans
   
Non-U.S.
Plans
 
 
 
   
   
   
   
   
 
Service cost
 
$
111
   
$
299
   
$
106
   
$
253
   
$
77
   
$
275
 
Interest cost
   
314
     
257
     
366
     
286
     
547
     
282
 
Amortization of actuarial gains
   
4
     
8
     
(76
)
   
-
     
(315
)
   
-
 
Amortization of prior service credit
   
(798
)
   
-
     
(798
)
   
-
     
(431
)
   
-
 
Amortization of transition obligation
   
-
     
-
     
32
     
-
     
47
     
-
 
Net periodic benefit cost
 
$
(369
)
 
$
564
   
$
(370
)
 
$
539
   
$
(75
)
 
$
557
 

The estimated actuarial items for the other postretirement benefit plans that will be amortized from accumulated other comprehensive loss into net periodic benefit cost during 2014 are not material and approximate the amounts amortized in 2013.

The following weighted average assumptions were used to determine benefit obligations at December 31 of the respective years:

 
 
2013
   
2012
 
 
 
 
U.S.
Plans
   
Non-U.S. Plans
   
U.S.
Plans
   
Non-U.S. Plans
 
 
 
   
   
   
 
Discount rate
   
5.00
%
   
3.44
%
   
4.00
%
   
3.80
%
Rate of compensation increase
   
0.00
%
   
3.19
%
   
0.00
%
   
3.20
%

The following weighted average assumptions were used to determine the net periodic benefit costs for the years ended December 31, 2013 and 2012:

 
 
Years ended December 31,
 
 
 
2013
   
2012
 
 
 
 
U.S.
Plans
   
Non-U.S.
Plans
   
U.S.
Plans
   
Non-U.S. Plans
 
 
 
   
   
   
 
Discount rate
   
4.00
%
   
3.80
%
   
5.00
%
   
5.09
%
Rate of compensation increase
   
0.00
%
   
3.20
%
   
0.00
%
   
3.22
%


The impact of a one-percentage-point change in assumed health care cost trend rates on the net periodic benefit cost and postretirement benefit obligation is not material.
F-43

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)


Note 11 – Pensions and Other Postretirement Benefits (continued)

Estimated future benefit payments are as follows:

 
 
U.S.
Plans
   
Non-U.S.
Plans
 
 
 
   
 
2014
 
$
638
   
$
420
 
2015
   
720
     
267
 
2016
   
704
     
329
 
2017
   
693
     
453
 
2018
   
678
     
551
 
2019-2023
   
2,940
     
3,650
 

As the plans are unfunded, the Company's anticipated contributions for 2014 are equal to its estimated benefits payments.

Other Retirement Obligations

The Company participates in various other defined contribution and government-mandated retirement plans based on local law or custom.  The Company periodically makes required contributions for certain of these plans, whereas other plans are unfunded retirement bonus plans which will be paid at the employee's retirement date.  At December 31, 2013 and 2012, the consolidated balance sheets include $(14,017) and $(12,347), respectively, within accrued pension and other postretirement costs related to these plans.

Many of the Company's U.S. employees are eligible to participate in 401(k) savings plans, some of which provide for Company matching under various formulas. The Company's matching expense for the plans was $5,276, $4,230, and $4,985 for the years ended December 31, 2013, 2012, and 2011, respectively. No material amounts are included in the consolidated balance sheets at December 31, 2013 and 2012 related to unfunded 401(k) contributions.

Certain key employees participate in a deferred compensation plan. During the years ended December 31, 2013, 2012, and 2011, these employees could defer a portion of their compensation until retirement, or elect shorter deferral periods. The Company maintains a liability within other noncurrent liabilities on its consolidated balance sheets related to these deferrals. The Company maintains a non-qualified trust, referred to as a "rabbi" trust, to fund payments under this plan. Rabbi trust assets are subject to creditor claims under certain conditions and are not the property of employees. Therefore, they are accounted for as other noncurrent assets. Assets held in trust related to the deferred compensation plan at December 31, 2013 and 2012 were approximately $14,093 and $12,310, respectively.

The Company is obligated to pay post-employment benefits to certain terminated employees related to acquisitions. The liabilities recorded for these obligations total $4,727 and $5,827 as of December 31, 2013 and 2012, respectively.  Of these amounts, $1,358 and $1,498 are included in accrued liabilities as of December 31, 2013 and 2012, respectively, with the remaining amounts included in other noncurrent liabilities.
F-44

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 12 – Share-Based Compensation

The Company has various stockholder-approved programs which allow for the grant of share-based compensation to officers, employees, and non-employee directors.

The amount of compensation cost related to share-based payment transactions is measured based on the grant-date fair value of the equity instruments issued. The fair value of each option award is estimated on the date of grant using the Black-Scholes option-pricing model. The Company determines compensation cost for RSUs, phantom stock units, and restricted stock based on the grant-date fair value of the underlying common stock. Compensation cost is recognized over the period that an officer, employee, or non-employee director provides service in exchange for the award.

The following table summarizes share-based compensation expense recognized:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Stock options
 
$
18
   
$
73
   
$
(83
)
Restricted stock units
   
510
     
3,378
     
6,693
 
Phantom stock units
   
108
     
93
     
222
 
Total
 
$
636
   
$
3,544
   
$
6,832
 

The Company recognizes compensation cost for RSUs that are expected to vest and records cumulative adjustments in the period that the expectation changes. Stock-based compensation for the year ended December 31, 2013, as presented in the table above, includes the material reversal of stock-based compensation expense recognized for the performance-based RSUs scheduled to vest on January 1, 2014 recorded in the second fiscal quarter of 2013. $1,778 of these reversed costs had been originally reported as a separate line item upon cessation of employment of certain former executives in 2011, and accordingly, this adjustment is also reported as a separate line item in the accompanying consolidated statements of operations.  A portion of the stock-based compensation expense related to certain current executives that was reversed in the second fiscal quarter of 2013 was recognized in the fourth fiscal quarter of 2013 due to certain amendments to the performance-based RSUs granted to certain current executives in 2011 approved by the Compensation Committee of the Board of Director's in the fourth fiscal quarter of 2013.  Pursuant to their original terms, the performance-based RSUs would vest on January 1, 2014 only if all of the associated performance criteria were met for the three-year period ending December 31, 2013.  Pursuant to the amended terms, 75% of the performance-based RSUs of each of the certain current executives vested effective December 5, 2013 in light of the Compensation Committee of the Board of Director's assessment that the performance criteria would be achieved in substantial part by December 31, 2013.

Stock-based compensation expense for the year ended December 31, 2011, as presented in the table above, includes amounts associated with the acceleration of vesting of awards upon the passing of Vishay's former Executive Chairman of the Board of Directors, Dr. Felix Zandman, and the resignation of Vishay's former Chief Financial Officer, Dr. Lior Yahalomi. The associated expenses are reported as a component of the executive compensation charges reported in the accompanying consolidated statement of operations.  The stock-based compensation expense recognized for the performance-based RSUs scheduled to vest on January 1, 2014 was reversed in the second fiscal quarter of 2013, as described above.
F-45

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)


Note 12 – Share-Based Compensation (continued)

The following table summarizes unrecognized compensation cost and the weighted average remaining amortization periods at December 31, 2013 (amortization periods in years):

 
 
Unrecognized Compensation Cost
   
Weighted Average Remaining Amortization Periods
 
 
 
   
 
Stock options
 
$
-
     
0.0
 
Restricted stock units
   
9,636
     
1.2
 
Phantom stock units
   
-
     
0.0
 
Total
 
$
9,636
         

2007 Stock Incentive Program

The Company's 2007 Stock Incentive Program (the "2007 Program") permits the grant of up to 3,000,000 shares of restricted stock, unrestricted stock, RSUs, and stock options, to officers, employees, and non-employee directors.  Such instruments are available for grant until May 22, 2017.

The 2007 Program was originally approved by stockholders of the Company on May 22, 2007, as the "2007 Stock Option Program." On May 28, 2008, the Company's stockholders approved amendments to the 2007 Stock Option Program, which was then renamed the "2007 Stock Incentive Program".

On February 23, 2011, the Board of Directors of the Company amended and restated the 2007 Program. The amendment eliminated share recycling, so that on the exercise of an option where the exercise price is paid via the tender of previously-owned shares or pursuant to an "immaculate cashless exercise," the total "gross" number of option shares exercised is removed from the pool of shares available for future issuance. Similarly, shares withheld to pay income taxes in connection with the exercise of an option are also removed from the pool. The amendment also restricts re-pricing and cash repurchases of options without the prior approval of stockholders. The 2007 Program was subsequently re-approved by the Company's stockholders at the 2013 Annual Stockholders Meeting held on May 23, 2013.

At December 31, 2013, the Company has reserved 766,000 shares of common stock for future grants of equity awards pursuant to the 2007 Program. If any outstanding options are forfeited by the holder or cancelled by the Company, the underlying shares would be available for regrant to others.

Stock Options

In addition to stock options outstanding pursuant to the 2007 Program, during the periods presented, the Company had stock options outstanding under previous stockholder-approved stock option programs.

Under the 1998 Stock Option Program, certain executive officers and key employees were granted options. On March 16, 2008, the stockholder approval for the 1998 Stock Option Program expired. While no additional options may be granted pursuant to this plan, at December 31, 2013, 99,000 options issued under the 1998 Program remain outstanding and may be exercised in future periods.

On November 2, 2001, Vishay acquired General Semiconductor, Inc., which became a wholly owned subsidiary of the Company. As a result of the acquisition, each outstanding option to acquire General Semiconductor common stock became exercisable for shares of Vishay common stock. Based on the conversion ratio in the acquisition of 0.563 of a Vishay share for each General Semiconductor share, the former General Semiconductor options become exercisable in the aggregate for 4,282,000 shares of Vishay common stock on the date of the acquisition. All such options were immediately vested and exercisable as a result of the merger but the terms of the options otherwise remained unchanged. As of November 2, 2011, the tenth anniversary of the acquisition, no options related to this plan were outstanding and no additional options may be granted from this plan.
F-46

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 12 – Share-Based Compensation (continued)

The following table summarizes the Company's stock option activity (number of options in thousands):

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
Number of Options
   
Weighted Average Exercise Price
   
Number of Options
   
Weighted Average Exercise Price
   
Number of Options
   
Weighted Average Exercise Price
 
 
 
   
   
   
   
   
 
Outstanding:
 
   
   
   
   
   
 
Beginning of year
   
109
   
$
15.24
     
384
   
$
15.40
     
1,254
   
$
15.04
 
Granted
   
-
     
-
     
-
     
-
     
-
     
-
 
Exercised
   
-
     
-
     
(22
)
   
7.89
     
(651
)
   
14.87
 
Cancelled or forfeited
   
-
     
-
     
(253
)
   
16.12
     
(219
)
   
14.92
 
End of year
   
109
   
$
15.24
     
109
   
$
15.24
     
384
   
$
15.40
 
 
                                               
Vested and expected to vest
   
109
             
109
             
384
         
 
                                               
Exercisable:
                                               
End of year
   
109
             
79
             
323
         

The following table summarizes information concerning stock options outstanding and exercisable at December 31, 2013 (number of options in thousands, contractual life in years):

   
Options Outstanding
   
Options Exercisable
 
Exercise Price
   
Number of Options
   
Weighted Average Remaining
Contractual Life
   
Weighted Average Exercise Price
   
Number of Options
   
Weighted Average Exercise Price
 
   
   
   
   
   
 
$
11.54 - $12.90
     
32
     
2.85
   
$
12.73
     
32
   
$
12.73
 
$
16.29
     
77
     
3.39
     
16.29
     
77
     
16.29
 
Total
     
109
     
3.23
   
$
15.24
     
109
   
$
15.24
 

The weighted-average remaining contractual life of all exercisable options is 3.23 years.

F-47

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 12 – Share-Based Compensation (continued)

The fair value of each option award is estimated on the date of grant using the Black-Scholes option-pricing model.  There were no options granted in 2013, 2012, or 2011.

The pretax aggregate intrinsic value (the difference between the closing stock price on the last trading day of 2013 of $13.26 per share and the exercise price, multiplied by the number of in-the-money options) that would have been received by the option holders had all option holders exercised their options on December 31, 2013 is $17.  This amount changes based on changes in the market value of the Company's common stock.  No options were exercised during the year ended December 31, 2013.  During the years ended December 31, 2012 and 2011, 22,095 and 650,621 options, respectively, were exercised. The total intrinsic value of options exercised during the years ended December 31, 2012 and 2011 was $110 and $1,693, respectively.

The following table summarizes information concerning unvested stock options (number of options in thousands):

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
Number of Options
   
Weighted Average Grant-date Fair Value
   
Number of Options
   
Weighted Average Grant-date Fair Value
   
Number of Options
   
Weighted Average Grant-date Fair Value
 
 
 
   
   
   
   
   
 
Unvested:
 
   
   
   
   
   
 
Beginning of year
   
30
   
$
10.14
     
61
   
$
9.96
     
253
   
$
9.33
 
Granted
   
-
     
-
     
-
     
-
     
-
     
-
 
Vested
   
(30
)
   
10.14
     
(31
)
   
9.79
     
(192
)
   
9.13
 
End of year
   
-
   
$
-
     
30
   
$
10.14
     
61
   
$
9.96
 
F-48

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 12 – Share-Based Compensation (continued)

Restricted Stock Units

Each RSU entitles the recipient to receive a share of common stock when the RSU vests.

RSU activity for the years ended December 31, 2013, 2012, and 2011 is presented below (number of RSUs in thousands):

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
Number of RSUs
   
Weighted Average Grant-date Fair Value
   
Number of
RSUs
   
Weighted Average Grant-date Fair Value
   
Number of
RSUs
   
Weighted Average Grant-date Fair Value
 
 
 
   
   
   
   
   
 
Outstanding:
 
   
   
   
   
   
 
Beginning of year
   
1,316
   
$
12.53
     
891
   
$
12.58
     
634
   
$
9.61
 
Granted
   
374
     
12.76
     
437
     
12.31
     
423
     
16.57
 
Vested*
   
(598
)
   
10.92
     
(12
)
   
8.29
     
(154
)
   
11.25
 
Cancelled or forfeited
   
(33
)
   
16.54
     
-
     
-
     
(12
)
   
13.26
 
End of year
   
1,059
   
$
13.40
     
1,316
   
$
12.53
     
891
   
$
12.58
 
 
                                               
Expected to vest
   
570
             
1,040
             
891
         
______________
 
* The number of RSUs vested includes shares that the Company withheld on behalf of employees to satisfy the statutory tax withholding requirements.
 
The number of performance-based RSUs scheduled to vest on January 1, 2014 and January 1, 2015 is fixed based on the full achievement of the defined target performance criteria. The number of performance-based RSUs scheduled to vest on January 1, 2016 increases ratably based on the achievement of defined performance criteria between the established target and maximum levels.  RSUs with performance-based vesting criteria are expected to vest as follows (number of RSUs in thousands):

Vesting Date
 
Expected to Vest
   
Not Expected to Vest
   
Total
 
    January 1, 2014**
   
-
     
102
     
102
 
January 1, 2015
   
-
     
276
     
276
 
January 1, 2016
   
111
     
111
     
222
 
______________
 
** The performance vesting criteria for the performance-based RSUs with a vesting date of January 1, 2014 has not been achieved.
 
In the event of (i) the termination of the executive's employment by the Company without cause, by the executive for "good reason," or as a result of death or disability, the executive's outstanding RSUs shall immediately vest and the outstanding performance-based RSUs shall vest on their normal vesting date to the extent applicable performance criteria are realized; and (ii) a change of control of Vishay, all of such executive's outstanding RSUs and performance-based RSUs shall immediately vest.  In the event of voluntary termination by the executive (without "good reason") or termination for cause, the executive's outstanding RSUs and performance-based RSUs will be forfeited.

F-49

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 12 – Share-Based Compensation (continued)

Phantom Stock Plan

The Company maintains a phantom stock plan for certain senior executives.  The Phantom Stock Plan authorizes the grant of up to 300,000 phantom stock units to the extent provided for in the Company's employment agreements with such senior executives.  Each phantom stock unit entitles the recipient to receive a share of common stock at the individual's termination of employment or any other future date specified in the individual's employment agreement. The phantom stock units are fully vested at all times.

If the Company declares dividends on its common stock, the dividend amounts with respect to the phantom stock units will be deemed reinvested in additional units of phantom stock.

The Board of Directors of the Company can amend or terminate the Phantom Stock Plan at any time, except that phantom stock units already granted to any individual cannot be adversely affected without the individual's consent. Furthermore, stockholder approval of an amendment is required if the amendment increases the number of units subject to the Phantom Stock Plan or otherwise materially amends the Phantom Stock Plan or if stockholder approval is otherwise required by applicable law or stock exchange rules.  If the Board of Directors does not terminate the Phantom Stock Plan, it will terminate when all phantom stock units have been awarded with respect to all 300,000 shares of common stock reserved for the Phantom Stock Plan.

The following table summarizes the Company's phantom stock units activity for the years ended December 31, 2013, 2012, and 2011 (number of phantom stock units in thousands):

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
Number
of
Phantom
Stock Units
   
Grant-
date
Fair Value per Unit
   
Number
of
Phantom
Stock Units
   
Grant-
date
Fair Value per Unit
   
Number
of
Phantom
Stock Units
   
Grant-
date
Fair Value per Unit
 
 
 
   
   
   
   
   
 
Outstanding:
 
   
   
   
   
   
 
Beginning of year
   
97
   
     
87
   
     
116
   
 
Granted
   
10
   
$
10.75
     
10
   
$
9.33
     
15
   
$
14.78
 
Redeemed for common stock
   
-
             
-
             
(44
)
       
End of year
   
107
             
97
             
87
         
 
                                               
Available for future grants
   
75
             
85
             
95
         
F-50

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)
 
Note 13 – Commitments and Contingencies

Leases

The Company uses various leased facilities and equipment in its operations. In the normal course of business, operating leases are generally renewed or replaced by other leases. Certain operating leases include escalation clauses.

Total rental expense under operating leases was $29,327, $29,667, and $26,351 for the years ended December 31, 2013, 2012, and 2011, respectively.

Future minimum lease payments for operating leases with initial or remaining noncancelable lease terms in excess of one year are as follows:

2014
 
$
26,943
 
2015
   
21,776
 
2016
   
16,399
 
2017
   
12,336
 
2018
   
1,837
 
Thereafter
   
2,798
 

The Company also has capital lease obligations of $11 at December 31, 2013.

Environmental Matters

The Company is subject to various federal, state, local, and foreign laws and regulations governing environmental matters, including the use, discharge, and disposal of hazardous materials. The Company's manufacturing facilities are believed to be in substantial compliance with current laws and regulations. Complying with current laws and regulations has not had a material adverse effect on the Company's financial condition.

The Company has engaged environmental consultants and attorneys to assist management in evaluating potential liabilities related to environmental matters. Management assesses the input from these consultants along with other information known to the Company in its effort to continually monitor these potential liabilities. Management assesses its environmental exposure on a site-by-site basis, including those sites where the Company has been named as a "potentially responsible party." Such assessments include the Company's share of remediation costs, information known to the Company concerning the size of the hazardous waste sites, their years of operation, and the number of past users and their financial viability.

The Company has accrued environmental liabilities of $11,855  as of December 31, 2013 relating to environmental matters related to its General Semiconductor subsidiary. The Company has also accrued approximately $10,139 at December 31, 2013 for other environmental matters. The liabilities recorded for these matters total $21,994, of which $11,121 is included in other accrued liabilities on the consolidated balance sheet, and $10,873 is included in other noncurrent liabilities on the consolidated balance sheet.

While the ultimate outcome of these matters cannot be determined, management does not believe that the final disposition of these matters will have a material adverse effect on the Company's consolidated financial position, results of operations, or cash flows beyond the amounts previously provided for in the consolidated financial statements. The Company's present and past facilities have been in operation for many years. These facilities have used substances and have generated and disposed of wastes which are or might be considered hazardous. Therefore, it is possible that additional environmental issues may arise in the future, which the Company cannot now predict.

F-51

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 13 – Commitments and Contingencies (continued)

Litigation

The Company is a party to various claims and lawsuits arising in the normal course of business. The Company is of the opinion that these litigations or claims will not have a material negative effect on its consolidated financial position, results of operations, or cash flows.

Semiconductor Foundry Agreements

The Company's Siliconix subsidiary maintains long-term foundry agreements with subcontractors to ensure access to external front-end capacity.

Since 2004, Siliconix has maintained a definitive long-term foundry agreement for semiconductor manufacturing with Tower Semiconductor, pursuant to which Siliconix transferred certain technology to Tower Semiconductor and committed to purchase a minimum amount of semiconductor wafers.  The agreement with Tower Semiconductor extends through the fourth quarter of 2017. 
 
On July 6, 2012, Siliconix amended its foundry agreement with an Asian foundry to ensure additional capacity in exchange for cash and a commitment to purchase a minimum amount of semiconductor wafers. This agreement extends through the fourth quarter of 2016.
 
The Company estimates its total purchase commitments under all long-term foundry agreements as follows:

2014
 
$
40,319
 
2015
   
45,030
 
2016
   
46,303
 
2017
   
35,461
 
2018
   
-
 

Siliconix has the option to purchase wafers from these subcontractors in addition to the minimum commitments and, accordingly, actual purchases may be different than the commitments disclosed above. Actual purchases from these subcontractors during the year ended December 31, 2013 were $47,878.

Product Quality Claims

The Company is a party to various product quality claims in the normal course of business. The Company provides warranties for its products which offer replacement of defective products. Annual warranty expenses are generally not significant. The Company periodically receives claims which arise from consequential damages which result from a customer's installation of an alleged defective Vishay component into the customer's product. Although not covered by its stated warranty, Vishay may occasionally reimburse the customer for these consequential damages in limited circumstances.
F-52

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 13 – Commitments and Contingencies (continued)

Executive Employment Agreements

The Company has employment agreements with certain of its senior executives. These employment agreements provide incremental compensation in the event of termination. The Company does not provide any severance or other benefits specifically upon a change in control.

On May 13, 2009, the Company entered into an amended and restated employment agreement with Dr. Felix Zandman (the "2009 Agreement"). This agreement amended and restated the employment agreement between the Company and Dr. Zandman that was previously amended and restated as of January 1, 2004 (the "2004 Agreement").

The purpose of the 2009 Agreement was to eliminate the right of Dr. Zandman to receive a royalty during the ten years following his termination of employment equal to 5% of gross sales, less returns and allowances, of Vishay products incorporating inventions and any other form of technology created, discovered or developed by him or under his direction.  The royalty was payable in the event Dr. Zandman was terminated without "cause" or resigned for "good reason," as defined in the 2004 Agreement. This provision was carried over from Dr. Zandman's original employment agreement of March 1985, and could not be modified or eliminated without Dr. Zandman's consent. It was a reflection, among other things, of Dr. Zandman's key role in the founding of the Company and in creating, developing and commercializing the Company's technologies and the absence of any compensation to Dr. Zandman for the core intellectual property that he contributed to the Company over the years from its inception.

The Company engaged a consultant in 2007 to assist its evaluation of the royalties to which Dr. Zandman would be entitled were his employment to be terminated. Based in part upon the work of this consultant and management's own updated computations, management estimated that the present value of the royalties to which Dr. Zandman would be entitled were his employment terminated at December 31, 2008 would have been between approximately $370,000 and $445,000, with a possible tax gross-up if the royalties were payable in connection with a change of control and deemed subject to an excise tax. (This present value does not factor in any assessment of the probability of payment.)

Pursuant to the 2009 Agreement, Dr. Zandman's right to the royalty payments was terminated. Dr. Zandman received a payment of $10,000 as of the effective date of the amended and restated agreement, and his estate is entitled to receive annual payments of $10,000 each through 2014.  Dr. Zandman's passing in June 2011 had no effect on the timing of these payments.  The Company recognized the compensation expense equal to the present value of these payments in 2009.  The Company recognized no tax benefit associated with the executive employment agreement charge. At December 31, 2013, the Company had approximately $10,000 accrued in other accrued expenses for this liability.

The Company recognized compensation expense of $3,889 reported as a component of the executive compensation charges in the accompanying consolidated statement of operations for the year ended December 31, 2011 for other elements of compensation that accelerated upon the passing of Dr. Zandman.  (See also Note 12.)

The Company recognized compensation expense of $1,873 reported as a component of the executive compensation charges in the accompanying consolidated statement of operations for the year ended December 31, 2011 for elements of compensation payable to the Company's former Chief Financial Officer, Dr. Lior Yahalomi, in connection with his resignation. (See also Note 12.)

The Company recognized a credit of $1,778 reported as the executive compensation credit in the accompanying consolidated statement of operations for the year ended December 31, 2013 for the reversal of stock-based compensation expense previously recorded for the performance-based RSUs scheduled to vest to Dr. Zandman's estate and Dr. Lior Yahalomi on January 1, 2014 at the time it was determined that achievement of the performance-based vesting criteria was no longer probable.
F-53

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 14 – Current Vulnerability Due to Certain Concentrations

Market Concentrations

While no single customer comprises greater than 10% of net revenues, a material portion of the Company's revenues are derived from the worldwide industrial, automotive, telecommunications, and computing markets. These markets have historically experienced wide variations in demand for end products. If demand for these end products should decrease, the producers thereof could reduce their purchases of the Company's products, which could have a material adverse effect on the Company's results of operations and financial position.

Credit Risk Concentrations

Financial instruments with potential credit risk consist principally of cash and cash equivalents, short-term investments, accounts receivable, and notes receivable. Concentrations of credit risk with respect to receivables are generally limited due to the Company's large number of customers and their dispersion across many countries and industries. As of December 31, 2013, one customer comprised 13.9% of the Company's accounts receivable balance.  This customer comprised 14.7% of the Company's accounts receivable balance as of December 31, 2012.  No other customer comprised greater than 10% of the Company's accounts receivable balance as of December 31, 2013 or December 31, 2012. The Company continually monitors the credit risks associated with its accounts receivable and adjusts the allowance for uncollectible accounts accordingly. The credit risk exposure associated with the accounts receivable is limited by the allowance and is not considered material to the financial statements.

The Company maintains cash and cash equivalents and short-term investments with various major financial institutions. The Company is exposed to credit risk related to the potential inability to access liquidity in financial institutions where its cash and cash equivalents and short-term investments are concentrated. As of December 31, 2013, the following financial institutions held over 10% of the Company's combined cash and cash equivalents and short-term investments balance:

UniCredit*
   
14.3
%
Bank of Tokyo Mitsubishi*
   
13.2
%
HSBC*
   
12.3
%
KBC*
   
10.6
%
Bank Leumi*
   
10.1
%

___________________________________________________
*Participant in Credit Facility

Sources of Supplies

Many of the Company's products require the use of raw materials that are produced in only a limited number of regions around the world or are available from only a limited number of suppliers. The Company's consolidated results of operations may be materially and adversely affected if there are significant price increases for these raw materials, the Company has difficulty obtaining these raw materials, or the quality of available raw materials deteriorates. For periods in which the prices of these raw materials are rising, the Company may be unable to pass on the increased cost to the Company's customers, which would result in decreased margins for the products in which they are used. For periods in which the prices are declining, the Company may be required to write down its inventory carrying cost of these raw materials which, depending on the extent of the difference between market price and its carrying cost, could have a material adverse effect on the Company's net earnings.

F-54

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)
Note 14 – Current Vulnerability Due to Certain Concentrations (continued)

Vishay is a major consumer of the world's annual production of tantalum. Tantalum, a metal purchased in powder or wire form, is the principal material used in the manufacture of tantalum capacitors. There are few suppliers that process tantalum ore into capacitor grade tantalum powder.

From time to time, there have been short-term market shortages of raw materials utilized by the Company. While these shortages have not historically adversely affected the Company's ability to increase production of products containing these raw materials, they have historically resulted in higher raw material costs for the Company. The Company cannot assure that any of these market shortages in the future would not adversely affect the Company's ability to increase production, particularly during periods of growing demand for the Company's products.

Certain raw materials used in the manufacture of the Company's products, such as gold, copper, palladium, and other metals, are traded on active markets and can be subject to significant price volatility. To ensure adequate supply and to provide cost certainty, the Company's policy is to enter into short-term commitments to purchase defined portions of annual consumption of the raw materials utilized by the Company if market prices decline below budget.  If after entering into these commitments, the market prices for these raw materials decline, the Company must recognize losses on these adverse purchase commitments.

Recently enacted rules in the U.S. on conflict minerals, which include tantalum, tungsten, tin, and gold, all of which are used in the Company's products, could result in increased prices and decreased supply of conflict minerals, which could negatively affect the Company's consolidated results of operations.

Geographic Concentration

The Company has operations outside the United States, and approximately 75% of revenues earned during 2013 were derived from sales to customers outside the United States. Additionally, as of December 31, 2013, $1,132,079 of the Company's cash and cash equivalents and short-term investments were held in countries outside of the United States. Some of the Company's products are produced and cash and cash equivalents and short-term investments are held in countries which are subject to risks of political, economic, and military instability. This instability could result in wars, riots, nationalization of industry, currency fluctuations, and labor unrest. These conditions could have an adverse impact on the Company's ability to operate in these regions and, depending on the extent and severity of these conditions, could materially and adversely affect the Company's overall financial condition, operating results, and ability to access its liquidity when needed. As of December 31, 2013 the Company's cash and cash equivalents and short-term investments were concentrated in the following countries:

Germany
   
44.4
%
Israel
   
22.5
%
Singapore
   
8.6
%
People's Republic of China
   
7.6
%
The Republic of China (Taiwan)
   
6.4
%
Canada
   
3.2
%
United States
   
1.7
%
Other Asia
   
3.2
%
Other Europe
   
1.6
%
Other
   
0.8
%

Vishay has been in operation in Israel for 43 years. The Company has never experienced any material interruption in its operations attributable to these factors, in spite of several Middle East crises, including wars.

F-55

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 15 –Segment and Geographic Data

Vishay operates, and its chief operating decision maker makes strategic and operating decisions with regards to assessing performance and allocating resources based on, five reporting segments: MOSFETs, Diodes, Optoelectronic Components, Resistors & Inductors, and Capacitors.

The Company evaluates business segment performance on operating income, exclusive of certain items ("segment operating income"). Only dedicated, direct selling, general, and administrative expenses of the segments are included in the calculation of segment operating income. The Company's calculation of segment operating income excludes such selling, general, and administrative costs as global operations, sales and marketing, information systems, finance and administration groups, as well as restructuring and severance costs, executive compensation charges (credits), material gains and losses on sales of property, and other items. Management believes that evaluating segment performance excluding such items is meaningful because it provides insight with respect to intrinsic operating results of the Company. These items represent reconciling items between segment operating income and consolidated operating income. Business segment assets are the owned or allocated assets used by each business.

The Company has also disclosed certain additional items not used to evaluate segment performance. In some cases, the items are regularly provided to the chief operating decision maker and are required to be disclosed by GAAP. Additionally, the additional segment disclosures may provide insight to the Company's future profitability by reportable segment.
F-56

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)


Note 15 –Segment and Geographic Data (continued)
The following tables set forth business segment information:

 
 
MOSFETs
   
Diodes
   
Optoelectronic
Components
   
Resistors & Inductors
   
Capacitors
   
Corporate / Other
   
Total
 
 
 
   
   
   
   
   
   
 
Year ended December 31, 2013:
 
   
   
   
   
   
   
 
Product sales
 
$
449,299
   
$
547,264
   
$
228,194
   
$
700,115
   
$
439,745
   
$
-
   
$
2,364,617
 
Royalty revenues
   
178
     
-
     
51
     
6,133
     
-
     
-
   
$
6,362
 
Total revenue
 
$
449,477
   
$
547,264
   
$
228,245
   
$
706,248
   
$
439,745
   
$
-
   
$
2,370,979
 
 
                                                       
Gross Margin
 
$
59,387
   
$
121,231
   
$
76,732
   
$
221,851
   
$
88,059
   
$
-
   
$
567,260
 
 
                                                       
Depreciation expense
 
$
50,606
   
$
37,305
   
$
12,484
   
$
31,998
   
$
21,596
   
$
1,075
   
$
155,064
 
Interest expense (income)
   
-
     
54
     
122
     
79
     
28
     
22,847
   
$
23,130
 
Capital expenditures
   
41,869
     
44,431
     
18,310
     
32,515
     
13,052
     
2,900
   
$
153,077
 
 
                                                       
Total Assets as of December 31, 2013:
 
$
543,037
   
$
788,121
   
$
213,128
   
$
843,685
   
$
636,637
   
$
212,531
   
$
3,237,139
 
 
                                                       
Year ended December 31, 2012:
                                                       
Product sales
 
$
433,436
   
$
496,744
   
$
209,141
   
$
635,488
   
$
448,157
   
$
-
   
$
2,222,966
 
Royalty revenues
   
246
     
-
     
53
     
6,832
     
-
     
-
   
$
7,131
 
Total revenue
 
$
433,682
   
$
496,744
   
$
209,194
   
$
642,320
   
$
448,157
   
$
-
   
$
2,230,097
 
 
                                                       
Gross Margin
 
$
56,694
   
$
99,116
   
$
67,943
   
$
204,137
   
$
98,783
   
$
-
   
$
526,673
 
 
                                                       
Depreciation expense
 
$
49,124
   
$
36,335
   
$
11,917
   
$
31,921
   
$
23,354
   
$
1,150
   
$
153,801
 
Interest expense (income)
   
-
     
64
     
140
     
543
     
52
     
21,805
   
$
22,604
 
Capital expenditures
   
49,201
     
30,025
     
16,759
     
35,878
     
15,531
     
2,897
   
$
150,291
 
 
                                                       
Total Assets as of December 31, 2012:
 
$
625,597
   
$
670,811
   
$
199,385
   
$
760,257
   
$
587,586
   
$
172,641
   
$
3,016,277
 
 
                                                       
Year ended December 31, 2011:
                                                       
Product sales
 
$
537,783
   
$
607,493
   
$
229,814
   
$
634,490
   
$
577,816
   
$
-
   
$
2,587,396
 
Royalty revenues
   
197
     
-
     
72
     
6,364
     
-
     
-
   
$
6,633
 
Total revenue
 
$
537,980
   
$
607,493
   
$
229,886
   
$
640,854
   
$
577,816
   
$
-
   
$
2,594,029
 
 
                                                       
Gross Margin
 
$
125,498
   
$
143,876
   
$
74,772
   
$
213,997
   
$
161,843
   
$
-
   
$
719,986
 
 
                                                       
Depreciation expense
 
$
53,808
   
$
39,577
   
$
12,384
   
$
32,039
   
$
25,979
   
$
1,235
   
$
165,022
 
Interest expense (income)
   
12
     
-
     
-
     
223
     
223
     
18,819
   
$
19,277
 
Capital expenditures
   
61,520
     
39,444
     
15,442
     
28,751
     
19,676
     
3,808
   
$
168,641
 
 
                                                       
Total Assets as of December 31, 2011:
 
$
646,660
   
$
682,017
   
$
163,486
   
$
609,556
   
$
672,049
   
$
219,962
   
$
2,993,730
 

F-57

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)


Note 15 –Segment and Geographic Data (continued)
 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Operating margin reconciliation:
 
   
   
 
MOSFETs
 
$
19,140
   
$
17,198
   
$
85,336
 
Diodes
   
96,581
     
75,733
     
118,111
 
Optoelectronic Components
   
62,259
     
54,632
     
60,492
 
Resistors & Inductors
   
186,583
     
172,129
     
185,327
 
Capacitors
   
64,494
     
76,858
     
136,901
 
Restructuring and Severance Costs
   
(2,814
)
   
-
     
-
 
Gain on Sale of Property
   
-
     
12,153
     
-
 
Executive Compensation Credit (Charges)
   
1,778
     
-
     
(5,762
)
Unallocated Selling, General, and Administrative Expenses
   
(230,339
)
   
(219,502
)
   
(233,804
)
Consolidated Operating Income (Loss)
 
$
197,682
   
$
189,201
   
$
346,601
 

See Note 4 for restructuring and severance costs segment information.

F-58

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)


Note 15 –Segment and Geographic Data (continued)

The following table summarizes net revenues based on revenues generated by subsidiaries located within the identified geographic area:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
United States
 
$
591,082
   
$
568,849
   
$
363,847
 
Germany
   
800,733
     
775,204
     
801,539
 
Other Europe
   
89,348
     
61,236
     
175,639
 
Israel
   
13,319
     
14,708
     
219,037
 
Asia
   
876,497
     
810,100
     
1,033,967
 
 
 
$
2,370,979
   
$
2,230,097
   
$
2,594,029
 

In the fourth fiscal quarter of 2011, Vishay made changes to its business model to streamline its sales process such that three main subsidiaries generate the majority of third-party sales.

The following table summarizes property and equipment based on physical location:

 
 
December 31,
 
 
 
2013
   
2012
 
 
 
   
 
United States
 
$
123,812
   
$
133,812
 
Germany
   
130,854
     
121,957
 
Czech Republic
   
47,002
     
51,620
 
Other Europe
   
107,381
     
98,534
 
Israel
   
138,741
     
140,994
 
People's Republic of China
   
172,274
     
169,395
 
Republic of China (Taiwan)
   
120,368
     
116,315
 
Other Asia
   
84,388
     
80,304
 
Other
   
1,799
     
1,621
 
 
 
$
926,619
   
$
914,552
 
F-59

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 16 – Earnings Per Share

Basic earnings per share is computed using the weighted average number of common shares outstanding during the periods presented. Diluted earnings per share is computed using the weighted average number of common shares outstanding adjusted to include the potentially dilutive effect of stock options and restricted stock units (see Note 12), warrants (see Note 7), convertible debt instruments (see Note 6), and other potentially dilutive securities.

The following table sets forth the computation of basic and diluted earnings per share attributable to Vishay stockholders (shares in thousands):

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Numerator:
 
   
   
 
Numerator for basic earnings per share:
 
   
   
 
Net earnings
 
$
122,980
   
$
122,738
   
$
238,821
 
 
                       
Adjustment to the numerator for continuing operations and net earnings:
                       
Interest savings assuming conversion of dilutive convertible and exchangeable notes, net of tax
   
140
     
293
     
189
 
 
                       
Numerator for diluted earnings per share:
                       
Net earnings
 
$
123,120
   
$
123,031
   
$
239,010
 
 
                       
Denominator:
                       
Denominator for basic earnings per share:
                       
Weighted average shares
   
144,856
     
149,020
     
160,094
 
 
                       
Effect of dilutive securities:
                       
Convertible and exchangeable debt instruments
   
6,130
     
6,176
     
7,820
 
Restricted stock units
   
320
     
549
     
212
 
Other
   
111
     
99
     
388
 
Dilutive potential common shares
   
6,561
     
6,824
     
8,420
 
 
                       
Denominator for diluted earnings per share:
                       
Adjusted weighted average shares
   
151,417
     
155,844
     
168,514
 
 
                       
 
                       
Basic earnings per share attributable to Vishay stockholders
   $
0.85
   
$
0.82
   
$
1.49
 
 
                       
Diluted earnings per share attributable to Vishay stockholders
   $
0.81
   
$
0.79
   
$
1.42
 

F-60

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 16 – Earnings Per Share (continued)

Diluted earnings per share for the years presented do not reflect the following weighted average potential common shares, as the effect would be antidilutive (in thousands):

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Convertible and exchangeable notes:
 
   
   
 
Convertible Senior Debentures, due 2040
   
19,809
     
19,809
     
9,905
 
Convertible Senior Debentures, due 2041
   
7,885
     
7,885
     
5,026
 
Convertible Senior Debentures, due 2042
   
-
     
7,434
     
-
 
Weighted average employee stock options
   
91
     
177
     
182
 
Weighted average warrants
   
-
     
8,390
     
8,824
 
Weighted average other
   
385
     
282
     
123
 

In periods in which they are dilutive, if the potential common shares related to the exchangeable notes are included in the computation, the related interest savings, net of tax, assuming conversion/exchange is added to the net earnings used to compute earnings per share.

The Company's convertible debt instruments are only convertible upon the occurrence of certain events. While none of these events has occurred as of December 31, 2013, certain conditions which could trigger conversion have been deemed to be non-substantive, and accordingly, the Company has always assumed the conversion of these instruments in its diluted earnings per share computation during periods in which they are dilutive.

At the direction of its Board of Directors, the Company intends, upon conversion, to repay the principal amounts of the convertible senior debentures, due 2040, due 2041, and due 2042, in cash and settle any additional amounts in shares of Vishay common stock. Accordingly, the debentures are included in the diluted earnings per share computation using the "treasury stock method" (similar to options and warrants) rather than the "if converted method" otherwise required for convertible debt. Under the "treasury stock method," Vishay calculates the number of shares issuable under the terms of the debentures based on the average market price of Vishay common stock during the period, and that number is included in the total diluted shares figure for the period.  If the average market price is less than $13.88, no shares are included in the diluted earnings per share computation for the convertible senior debentures due 2040, if the average market price is less than $19.02, no shares are included in the diluted earnings per share computation for the convertible senior debentures due 2041, and if the average market price is less than $11.81, no shares are included in the diluted earnings per share computation for the convertible senior debentures due 2042.
F-61

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 17 – Additional Cash Flow Information

Changes in operating assets and liabilities, net of effects of businesses acquired consists of the following:

 
 
Years ended December 31,
 
 
 
2013
   
2012
   
2011
 
 
 
   
   
 
Accounts receivable
 
$
(16,870
)
 
$
33,004
   
$
61,918
 
Inventories
   
(31,246
)
   
(186
)
   
(13,829
)
Prepaid expenses and other current assets
   
19,160
     
2,977
     
(14,273
)
Accounts payable
   
11,087
     
(9,408
)
   
(11,468
)
Other current liabilities
   
7,860
     
(31,539
)
   
(74,851
)
Net change in operating assets and liabilities
 
$
(10,009
)
 
$
(5,152
)
 
$
(52,503
)

F-62

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)


Note 18 – Fair Value Measurements


The fair value measurement accounting guidance establishes a valuation hierarchy of the inputs used to measure fair value. This hierarchy prioritizes the inputs to valuation techniques used to measure fair value into three broad levels. The following is a brief description of those three levels:

Level 1: Observable inputs such as quoted prices (unadjusted) in active markets for identical assets or liabilities.

Level 2: Inputs other than quoted prices that are observable for the asset or liability, either directly or indirectly. These include quoted prices for similar assets or liabilities in active markets and quoted prices for identical or similar assets or liabilities in markets that are not active.

Level 3: Unobservable inputs that reflect the Company's own assumptions.

An asset or liability's classification within the hierarchy is determined based on the lowest level input that is significant to the fair value measurement.
 
The following table provides the financial assets and liabilities carried at fair value measured on a recurring basis as of December 31, 2013 and 2012:

 
 
Total Fair Value
   
Level 1
   
Level 2
   
Level 3
 
 
 
   
   
   
 
December 31, 2013
 
   
   
   
 
Assets:
 
   
   
   
 
Assets held in rabbi trusts
 
$
36,992
   
$
24,064
   
$
12,928
   
$
-
 
Available for sale securities
 
$
7,356
     
7,356
     
-
     
-
 
U.S. Defined Benefit Pension Plan Assets:
                               
Equity securities
 
$
51,666
     
51,666
     
-
     
-
 
Fixed income securities
 
$
241,827
     
194,777
     
47,050
     
-
 
Real Estate Investment Trust securities
 
$
1,969
     
1,969
     
-
     
-
 
Cash
 
$
171
     
171
     
-
     
-
 
Non - U.S. Defined Benefit Pension Plan Assets:
                               
Equity securities
 
$
9,911
     
9,911
     
-
     
-
 
Fixed income securities
 
$
16,117
     
16,117
     
-
     
-
 
Cash
 
$
22,831
     
22,831
     
-
     
-
 
 
 
$
388,840
   
$
328,862
   
$
59,978
   
$
-
 
Liabilities:
                               
Embedded derivative - convertible debentures due 2040
 
$
(491
)
   
-
     
-
     
(491
)
Embedded derivative - convertible debentures due 2041
 
$
(349
)
   
-
     
-
     
(349
)
Embedded derivative - convertible debentures due 2042
 
$
(197
)
   
-
     
-
     
(197
)
 
 
$
(1,037
)
 
$
-
   
$
-
   
$
(1,037
)
 
                               
December 31, 2012
                               
Assets:
                               
Assets held in rabbi trusts
 
$
33,751
   
$
21,954
   
$
11,797
   
$
-
 
Available for sale securities
 
$
7,580
     
7,580
     
-
     
-
 
U.S. Defined Benefit Pension Plan Assets:
                               
Equity securities
 
$
153,829
     
153,829
     
-
     
-
 
Fixed income securities
 
$
99,669
     
42,006
     
57,663
     
-
 
Real Estate Investment Trust securities
   
6,518
     
6,518
     
-
     
-
 
Cash
 
$
5,850
     
5,850
     
-
     
-
 
Non - U.S. Defined Benefit Pension Plan Assets:
                               
Equity securities
 
$
8,888
     
8,888
     
-
     
-
 
Fixed income securities
 
$
14,437
     
14,437
     
-
     
-
 
Cash
 
$
23,255
     
23,255
     
-
     
-
 
 
 
$
353,777
   
$
284,317
   
$
69,460
   
$
-
 
Liabilities:
                               
Embedded derivative - convertible debentures due 2040
 
$
(622
)
   
-
     
-
     
(622
)
Embedded derivative - convertible debentures due 2041
 
$
(399
)
   
-
     
-
     
(399
)
Embedded derivative - convertible debentures due 2042
 
$
(282
)
   
-
     
-
     
(282
)
 
 
$
(1,303
)
 
$
-
   
$
-
   
$
(1,303
)
F-63

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 18 – Fair Value Measurements (continued)

The Company maintains non-qualified trusts, referred to as "rabbi" trusts, to fund payments under deferred compensation and non-qualified pension plans. Rabbi trust assets consist primarily of marketable securities, classified as available-for-sale, and company-owned life insurance assets. The marketable securities held in the rabbi trusts are valued using quoted market prices on the last business day of the year. The company-owned life insurance assets are valued in consultation with the Company's insurance brokers using the value of underlying assets of the insurance contracts.  The fair value measurement of the marketable securities held in the rabbi trust is considered a Level 1 measurement and the measurement of the company-owned life insurance assets is considered a Level 2 measurement within the fair value hierarchy.

The Company maintains defined benefit retirement plans in certain of its U.S. and non-U.S. subsidiaries. The assets of the plans are measured at fair value.

Equity securities held by the U.S. defined benefit retirement plans consist of various mutual funds and exchange traded funds that are valued based on quoted market prices on the last business day of the year. The fair value measurement of the mutual funds and exchange traded funds securities is considered a Level 1 measurement within the fair value hierarchy.

Fixed income securities held by the U.S. defined benefit retirement plans consist of exchange traded funds, investments in a group annuity contract, and a short-term investment fund. The exchange traded funds are valued based on quoted market prices on the last business day of the year. The fair value measurement of the exchange traded funds securities is considered a Level 1 measurement within the fair value hierarchy. The group annuity contract consists of a general asset account and a pooled separate account. Units of the general asset account are valued based on a discounted cash flow model using the current yields of similar instruments with comparable durations and similar credit risk. The pooled separate accounts are valued based on the value of the underlying bond funds, which are valued at quoted market prices on the last business day of the year, with adjustments made to reflect the nature of how the investment is held. The fair value measurement of the group annuity contract is considered a Level 2 measurement within the fair value hierarchy. The short-term investment fund strictly invests in short-term investments, including commercial paper, certificates of deposit, U.S. government agency and instrumentality obligations, U.S. government obligations, corporate notes, and funding agreements. The maturity date of all investments held by the short-term investment fund is within one year from the financial statement date. There are no redemption restrictions on the plan's investment. The fair value of the short-term investment fund has been estimated using the net asset value per share of the investment. The fair value measurement of the short-term investment fund is considered a Level 2 measurement within the fair value hierarchy.

Real estate investments held by the U.S. defined benefit retirement plans consist of real estate investment trust securities that are valued at quoted market prices on the last business day of the year. The fair value measurement of the real estate investments is considered a Level 1 measurement within the fair value hierarchy.

Equity securities held by the non-U.S. defined benefit retirement plans consist of equity securities that are valued based on quoted market prices on the last business day of the year.   The fair value measurement of the equity securities is considered a Level 1 measurement within the fair value hierarchy.

Fixed income securities held by the non-U.S. defined benefit retirement plans consist of government bonds in the Philippines and India and corporate notes that are valued based on quoted market prices on the last business day of the year. The fair value measurement of the fixed income securities is considered a Level 1 measurement within the fair value hierarchy.

Cash held by the U.S. and non-U.S. defined benefit retirement plans consists of demand deposits on account in various financial institutions to fund current benefit payments. The carrying amount of the cash approximates its fair value.

F-64

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 18 – Fair Value Measurements (continued)

The Company holds available for sale investments in debt securities that are intended to fund a portion of its pension and other postretirement benefit obligations outside of the U.S. The investments are valued based on quoted market prices on the last business day of the year. The fair value measurement of the investments is considered a Level 1 measurement within the fair value hierarchy.

The convertible senior debentures, due 2040, due 2041, and due 2042, issued by the Company on November 9, 2010, May 13, 2011, and May 31, 2012, respectively, contain embedded derivative features that GAAP requires to be bifurcated and remeasured each reporting period.  Each quarter, the change in the fair value of the embedded derivative features, if any, is recorded in the consolidated statements of operations. The Company uses a derivative valuation model to derive the value of the embedded derivative features. Key inputs into this valuation model are the Company's current stock price, risk-free interest rates, the stock dividend yield, the stock volatility, and the debentures' credit spread over London Interbank Offered Rate (LIBOR). The first three aforementioned inputs are based on observable market data and are considered Level 2 inputs while the last two aforementioned inputs are unobservable and thus require management's judgment and are considered Level 3 inputs. The fair value measurement is considered a Level 3 measurement within the fair value hierarchy.

The fair value of the long-term debt, excluding the derivative liability, at December 31, 2013 and 2012 is approximately $750,700 and $686,800, respectively, compared to its carrying value, excluding the derivative liability, of $363,874 and $391,628, respectively. The Company estimates the fair value of its long-term debt using a combination of quoted market prices for similar financing arrangements and expected future payments discounted at risk-adjusted rates, which are considered level 2 inputs.

At December 31, 2013 and 2012, the Company's short-term investments were comprised of time deposits with financial institutions that have maturities that exceed 90 days from the date of acquisition; however they all mature within one year from the respective balance sheet dates. The short-term investments are accounted for as held-to-maturity debt instruments, at amortized cost, which approximates their fair value. The investments are funded with excess cash not expected to be needed for operations prior to maturity; therefore, the Company believes it has the intent and ability to hold the short-term investments until maturity. At each reporting date, the Company performs an evaluation to determine if any unrealized losses are other-than-temporary. No other-than-temporary impairments have been recognized on these securities, and there are no unrecognized holding gains or losses for these securities during the periods presented. There have been no transfers to or from the held-to-maturity classification. All decreases in the account balance are due to returns of principal at the securities' maturity dates. Interest on the securities is recognized as interest income when earned.

At December 31, 2013 and 2012, the Company's cash and cash equivalents were comprised of demand deposits, time deposits with maturities of three months or less when purchased, and money market funds. The Company estimates the fair value of its cash, cash equivalents, and short-term investments using level 2 inputs. Based on the current interest rates for similar investments with comparable credit risk and time to maturity, the fair value of the Company's cash, cash equivalents, and short-term investments approximate the carrying amounts reported in the consolidated balance sheets.

The Company's financial instruments also include accounts receivable, short-term notes payable, and accounts payable. The carrying amounts for these financial instruments reported in the consolidated balance sheets approximate their fair values.
F-65

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 19 – Related Party Transactions

Vishay Precision Group, Inc.

On July 6, 2010, Vishay completed the spin-off of its measurements and foil resistors businesses into an independent, publicly-traded company to be named Vishay Precision Group, Inc. through a tax-free stock dividend to Vishay's stockholders.  Vishay's common stockholders received 1 share of VPG common stock for every 14 shares of Vishay common stock they held on the record date, June 25, 2010, and Vishay's Class B common stockholders received 1 share of VPG Class B common stock for every 14 shares of Vishay Class B common stock they held on the record date.

Following the spin-off, VPG is an independent company and Vishay retains no ownership interest.

Relationship with VPG after Spin-off

Following the spin-off, VPG and Vishay operate separately, each as independent public companies. Vishay Intertechnology has no ownership interest in VPG. However, Ruta Zandman, solely or on a shared basis with Marc Zandman and Ziv Shoshani, all of whom are members of Vishay's Board of Directors, control a large portion of the voting power of both Vishay and VPG. Marc Zandman, Vishay's Executive Chairman of the Board and an executive officer of Vishay, serves as the Chairman of VPG. Ziv Shoshani, CEO of VPG, serves as a director of Vishay. Additionally, Timothy V. Talbert, a member of Vishay's Board of Directors is also a member of the Board of Directors of VPG.

In connection with the completion of the spin-off, Vishay and its subsidiaries entered into several agreements with VPG and its subsidiaries that govern the relationship of the parties following the spin-off. Among the agreements entered into with VPG and its subsidiaries were a transition services agreement, several lease agreements, and supply agreements. None of the agreements have had nor are expected to have a material impact on Vishay's financial position, results of operations, or liquidity.

Vishay also entered into a trademark license agreement with VPG pursuant to which Vishay granted VPG the license to use certain trademarks, service marks, logos, trade names, entity names, and domain names which include the term "Vishay." The license granted VPG the limited, exclusive, royalty-free right and license to use certain marks and names incorporating the term "Vishay" in connection with the design, development, manufacture, marketing, provision and performance of certain VPG products that do not compete with any products within Vishay's product range as constituted immediately following the separation and certain services provided in connection with the products. The license cannot be terminated except as a result of willful misconduct or liquidation bankruptcy of VPG.

Until the spin-off, VPG was included in Vishay's consolidated federal income tax returns and with Vishay and/or certain of Vishay's subsidiaries in applicable combined or unitary state and local income tax returns. In conjunction with the spin-off, Vishay and VPG entered a tax matters agreement under which Vishay generally will be liable for all U.S. federal, state, local, and foreign income taxes attributable to VPG with respect to taxable periods ending on or before the distribution date except to the extent that VPG has a liability for such taxes on its books at the time of the spin-off. Vishay is also principally responsible for managing any income tax audits by the various tax jurisdictions for pre-spin-off periods. Vishay has fully indemnified VPG of tax exposures arising prior to the spin-off.

Due to the common board members, transition services agreement, lease and supply agreements, and trademark license agreements with VPG, which, in the aggregate, represent significant continuing involvement, Vishay did not restate prior periods to present VPG as a discontinued operation upon completion of the spin-off. VPG's results are not included in Vishay's consolidated statements of operations, statements of cash flows, or balance sheets for any periods presented in the accompanying consolidated financial statements.
F-66

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS
(dollars in thousands, except per share amounts)

Note 20 - Summary of Quarterly Financial Information (Unaudited)


 
 
2013
   
2012
 
 
 
First
   
Second
   
Third
   
Fourth
   
First
   
Second
   
Third
   
Fourth
 
 
 
   
   
   
   
   
   
   
 
Statement of Operations data:
 
   
   
   
   
   
   
   
 
Net revenues
 
$
554,254
   
$
597,665
   
$
602,890
   
$
616,170
   
$
538,547
   
$
588,199
   
$
572,781
   
$
530,570
 
Gross profit
   
136,734
     
142,857
     
143,220
     
144,449
     
136,709
     
147,619
     
133,554
     
108,791
 
Operating income
   
45,605
     
51,890
     
53,153
     
47,034
     
50,345
     
72,883
     
44,459
     
21,514
 
Net earnings
   
29,141
     
31,485
     
32,869
     
30,274
     
34,075
     
45,830
     
22,489
     
21,137
 
Net earnings attributable to
                                                               
noncontrolling interests
   
210
     
176
     
150
     
253
     
263
     
159
     
209
     
162
 
Net earnings attributable to
                                                               
Vishay stockholders
   
28,931
     
31,309
     
32,719
     
30,021
     
33,812
     
45,671
     
22,280
     
20,975
 
 
                                                               
Per Share data:
                                                               
Basic earnings per share
                                                               
attributable to Vishay stockholders (a)
 
$
0.20
   
$
0.22
   
$
0.23
   
$
0.20
   
$
0.22
   
$
0.30
   
$
0.16
   
$
0.15
 
 
                                                               
Diluted earnings per share
                                                               
attributable to Vishay stockholders (a)
 
$
0.19
   
$
0.21
   
$
0.22
   
$
0.20
   
$
0.21
   
$
0.29
   
$
0.15
   
$
0.14
 
 
                                                               
Certain Items Recorded during the Quarters:
                                                               
Operating income (loss):
                                                               
Restructuring and severance costs
 
$
-
   
$
-
   
$
-
   
$
(2,814
)
 
$
-
   
$
-
   
$
-
   
$
-
 
Gain on sale of property
 
$
-
   
$
-
   
$
-
   
$
-
   
$
-
   
$
12,153
   
$
-
   
$
-
 
Executive compensation  credit
 
$
-
   
$
1,778
   
$
-
   
$
-
   
$
-
   
$
-
   
$
-
   
$
-
 
 
                                                               
Discrete tax expense (benefit)
 
$
(1,330
)
 
$
-
   
$
(2,867
)
 
$
-
   
$
-
   
$
-
   
$
-
   
$
(4,036
)
 
                                                               
Quarter end date (b)
 
March 30
   
June 29
   
Sept. 28
   
Dec. 31
   
March 31
   
June 30
   
Sept. 29
   
Dec. 31
 

(a) May not add due to differences in weighted average share counts.
(b) The Company reports interim financial information for 13-week periods beginning on a Sunday and ending on a Saturday, except for the first fiscal quarter, which always begins on January 1, and the fourth fiscal quarter, which always ends on December 31.
F-67


 
 
EX-10.57 2 exhibit10-57.htm FORM OF EXECUTIVE OFFICER RESTRICTED STOCK UNIT AGREEMENT

Exhibit 10.57
 
Vishay Intertechnology, Inc.
Form of Executive Officer Restricted Stock Unit Agreement

THIS AGREEMENT, made as of the Grant Date, between Vishay Intertechnology, Inc. (the "Company") and the Participant.
RECITALS
The Company has adopted and maintains the Vishay Intertechnology, Inc. 2007 Stock Incentive Program, as amended and restated, (the "Program") to enhance the long-term performance of the Company and to provide selected individuals with an incentive to improve the growth and profitability of the Company by acquiring a proprietary interest in the success of the Company.
The Program provides that the Compensation Committee (the "Committee") of the Company's Board of Directors shall administer the Program, including the authority to determine the persons to whom awards will be granted and the amount and type of such awards.
The Committee has determined that the purposes of the Program would be furthered by granting the Participant Restricted Stock Units as set forth in this Agreement.
The parties therefore agree as follows:
1.            Grant Schedule.  Certain terms of the grant of Restricted Stock Units are set forth on the Grant Schedule that is attached to, and is a part of, this Agreement.
2.            Grant of Restricted Stock Units.  Pursuant to, and subject to, the terms and conditions set forth herein and in the Program, the Committee hereby grants to the Participant the number of Restricted Stock Units set forth on the Grant Schedule.
3.            Grant Date.  The Grant Date of the Restricted Stock Units is set forth on the Grant Schedule.
4.            Incorporation of Program.  All terms, conditions and restrictions of the Program are incorporated herein and made part hereof as if stated herein.   If there is any conflict between the terms and conditions of the Program and this Agreement or any applicable employment agreement, the terms and conditions of the employment agreement will govern over those of the Program or this Agreement, and the terms and conditions of this Agreement will govern over those of the Program.   Except as otherwise provided herein, including the Grant Schedule, all capitalized terms used herein will have the meaning given to such terms in the Program.
5.            Performance Target.  To the extent that the Grant Schedule includes a performance-based target, the Grant Schedule will specify the extent to which the Restricted Stock Units will be forfeited for failure to achieve the performance-based target.

6.            Vesting.  Subject to the further provisions of this Agreement, the Restricted Stock Units will vest as set forth on the Grant Schedule (each date on which Restricted Stock Units vest being referred to as a "Vesting Date").
7.            Transferability.  The Restricted Stock Units are not transferable or assignable otherwise than by will or by the laws of descent and distribution.  Any attempt to transfer Restricted Stock Units, whether by transfer, pledge, hypothecation or otherwise and whether voluntary or involuntary, by operation of law or otherwise, will not vest the transferee with any interest or right in or with respect to such Restricted Stock Units.
8.            Termination of Employment.  In the event of the Participant's Termination of Employment that is a "separation from service" within the meaning of section 409A of the Code and applicable Treasury Regulations issued under section 409A, all unvested Restricted Stock Units will vest or be forfeited according to the terms and conditions of the Participant's employment agreement.  To the extent compliance with the requirements of Treasury Regulation § 1.409A-3(i)(2) (or any successor provision) is necessary to avoid the application of an additional tax under section 409A of the Code to the issuance of Shares to the Participant, then any issuance of Shares to the Participant that would otherwise be made during the six-month period beginning on the date of such Termination of Employment will be deferred and delivered to the Participant immediately following the lapse of such six-month period.
9.            Designation of Beneficiary.  The Participant has the right to designate in writing from time to time a beneficiary or beneficiaries for any Award by filing a written notice of such designation with the Committee.  If the Participant's beneficiary predeceases the Participant and no successor beneficiary is designated, or if no valid designation has been made, the Participant's beneficiary will be the Participant's estate.  In such an event, no payment will be made unless the Committee will have been furnished with such evidence as the Committee may deem necessary to establish the validity of the payment.
10.            Issuance of Shares.
a.            On each Vesting Date (or upon or following Termination of Employment as provided in Section 8), the Company shall issue to the Participant, whether by means of stock certificates or book entry registration, a number of shares of common stock of the Company ("Common Stock") equal to the number of Restricted Stock Units granted hereunder that have vested as of such date.
b.            The Company may require as a condition of the issuance of shares of Common Stock, pursuant to Section 10(a) hereof, that the Participant remit to the Company an amount sufficient in the opinion of the Company to satisfy any federal, state and other governmental tax withholding requirements related to the issuance of such shares.  The Committee, in its sole discretion, may permit the Participant to satisfy such obligation by delivering shares of Common Stock or by directing the Company to withhold from delivery shares of Common Stock, in either case valued at their Fair Market Value on the applicable Vesting Date, with fractional shares being settled in cash.

c.            The Participant will not be deemed for any purpose to be, or have rights as, a stockholder of the Company by virtue of the grant of Restricted Stock Units, until shares of Common Stock are issued in settlement of such Restricted Stock Units pursuant to Section 10(a) hereof.  Upon the issuance of a stock certificate or the making of an appropriate book entry on the books of the transfer agent, the Participant will have all of the rights of a stockholder.
11.            Securities Matters.  The Company shall be under no obligation to effect the registration pursuant to the Securities Act of 1933, as amended (the "1933 Act") of any interests in the Program or any shares of Common Stock to be issued thereunder or to effect similar compliance under any state laws.  The Company shall not be obligated to cause to be issued any shares, whether by means of stock certificates or appropriate book entries, unless and until the Company is advised by its counsel that the issuance of such shares is in compliance with all applicable laws, regulations of governmental authority and the requirements of any securities exchange on which shares of Common Stock are traded.  The Committee may require, as a condition of the issuance of shares of Common Stock pursuant to the terms hereof, that the recipient of such shares make such covenants, agreements and representations, and that any certificates bear such legends and any book entries be subject to such electronic coding or stop order, as the Committee, in its sole discretion, deems necessary or desirable.  The Participant specifically understands and agrees that the shares of Common Stock, if and when issued, may be "restricted securities," as that term is defined in Rule 144 under the 1933 Act and, accordingly, the Participant may be required to hold the shares indefinitely unless they are registered under such Act or an exemption from such registration is available.
12.            Delays or Omissions.  No delay or omission to exercise any right, power or remedy accruing to any party hereto upon any breach or default of any party under this Agreement, will impair any such right, power or remedy of such party, nor will it be construed to be a waiver of any such breach or default, or an acquiescence therein, or of or in any similar breach or default thereafter occurring, nor will any waiver of any single breach or default be deemed a waiver of any other breach or default theretofore or thereafter occurring.  Any waiver, permit, consent or approval of any kind or character on the part of any party of any breach or default under this Agreement, or any waiver on the part of any party or any provisions or conditions of this Agreement, must be in a writing signed by such party and will be effective only to the extent specifically set forth in such writing.
13.            Right of Discharge Preserved.  Nothing in this Agreement confers upon the Participant the right to continue in the employ or other service of the Company, or affect any right which the Company may have to terminate such employment or service.
14.            Integration.  The Program, this Agreement, including the Grant Schedule, and any applicable employment agreement contain the entire understanding of the parties with respect to its subject matter.  There are no restrictions, agreements, promises, representations, warranties, covenants or undertakings with respect to the subject matter hereof other than those expressly set forth herein.  Any applicable employment agreement and this Agreement, including, without limitation, the Program, supersede all prior agreements and understandings between the parties with respect to its subject matter.
15.            Counterparts.  This Agreement may be executed in two or more counterparts, each of which is deemed an original, but all of which constitute one and the same instrument.
16.            Governing Law.  This Agreement is governed by and construed and enforced in accordance with the laws of the State of Delaware, without regard to the provisions governing conflict of laws.
17.            Participant Acknowledgment.  The Participant hereby acknowledges receipt of a copy of the Program and has carefully read and understands this Agreement and the Program.  The Participant hereby acknowledges that all decisions, determinations and interpretations of the Committee in respect of the Program, this Agreement and the Restricted Stock Units are final and conclusive.
The parties are signing this Agreement on the date stated in the introductory paragraph.
VISHAY INTERTECHNOLOGY, INC.

By:
 
Name:
Peter G. Henrici
Title:
Sr. Vice President,
Corporate Secretary
 
 
 
[Participant Name]
 
DATED:  ________________      , 2014



Grant Schedule
Participant's name:
[Participant Name]
 
Grant Date:
 
 
 
1.    Number of Restricted Stock Units  granted:
 
2.    Vesting Dates:
(a) As to [•] Restricted Stock Units:  January 1, 2016
 
(b) As to [•] Restricted Stock Units:  January 1, 2016, provided that 50% of such Restricted Stock Units shall vest if 80% of the Performance Target has been satisfied, and an additional 2.5% of such Restricted Stock Units shall vest for each additional full 1% (between 80% and 100%) of the Performance Target that has been satisfied.
 
 
With respect the Restricted Stock Units referenced in 2(b) above, such Restricted Stock Units shall vest only if [insert performance criteria].
 
In the event of a Change in Control, all of such outstanding Restricted Stock Units will immediately vest.
 
Notwithstanding the foregoing, no Restricted Stock Units subject to this Agreement shall vest unless the Participant has complied with all applicable provisions of the Hart-Scott-Rodino Antitrust Improvements Act of 1976, as amended (the "HSR Act").  If the Restricted Stock Units subject to this Agreement would have vested pursuant to this Agreement but did not vest solely because the Participant was not in compliance with all applicable provisions of the HSR Act, the Vesting Date for such Restricted Stock Units shall occur on the first date following the date on which such Restricted Stock Units would otherwise have vested pursuant to this Agreement on which the Participant has complied with all applicable provisions of the HSR Act.
 
__________________                                       __________________________
[Participant Name]                                                      Vishay Intertechnology, Inc.
 
 DATED:  _______________________, 2014
EX-10.58 3 exhibit10-58.htm FORM OF EXECUTIVE OFFICER AMENDED RESTRICTED STOCK UNIT AGREEMENT
Exhibit 10.58
 
Vishay Intertechnology, Inc.
Form of Executive Officer Restricted Stock Unit Agreement

THIS AGREEMENT, made as of the Grant Date, between Vishay Intertechnology, Inc. (the "Company") and the Participant.
RECITALS
The Company has adopted and maintains the Vishay Intertechnology, Inc. 2007 Stock Incentive Program, as amended and restated, (the "Program") to enhance the long-term performance of the Company and to provide selected individuals with an incentive to improve the growth and profitability of the Company by acquiring a proprietary interest in the success of the Company.
The Program provides that the Compensation Committee (the "Committee") of the Company's Board of Directors shall administer the Program, including the authority to determine the persons to whom awards will be granted and the amount and type of such awards.
The Committee has determined that the purposes of the Program would be furthered by granting the Participant Restricted Stock Units as set forth in this Agreement.
The parties therefore agree as follows:
1.            Grant Schedule.  Certain terms of the grant of Restricted Stock Units are set forth on the Grant Schedule that is attached to, and is a part of, this Agreement.
2.            Grant of Restricted Stock Units.  Pursuant to, and subject to, the terms and conditions set forth herein and in the Program, the Committee hereby grants to the Participant the number of Restricted Stock Units set forth on the Grant Schedule.
3.            Grant Date.  The Grant Date of the Restricted Stock Units is set forth on the Grant Schedule.
4.            Incorporation of Program.  All terms, conditions and restrictions of the Program are incorporated herein and made part hereof as if stated herein.   If there is any conflict between the terms and conditions of the Program and this Agreement or any applicable employment agreement, the terms and conditions of the employment agreement will govern over those of the Program or this Agreement, and the terms and conditions of this Agreement will govern over those of the Program.   Except as otherwise provided herein, including the Grant Schedule, all capitalized terms used herein will have the meaning given to such terms in the Program.
5.            Performance Target.  To the extent that the Grant Schedule includes a performance-based target, the Grant Schedule will specify the extent to which the Restricted Stock Units will be forfeited for failure to achieve the performance-based target.

6.            Vesting.  Subject to the further provisions of this Agreement, the Restricted Stock Units will vest as set forth on the Grant Schedule (each date on which Restricted Stock Units vest being referred to as a "Vesting Date").
7.            Transferability.  The Restricted Stock Units are not transferable or assignable otherwise than by will or by the laws of descent and distribution.  Any attempt to transfer Restricted Stock Units, whether by transfer, pledge, hypothecation or otherwise and whether voluntary or involuntary, by operation of law or otherwise, will not vest the transferee with any interest or right in or with respect to such Restricted Stock Units.
8.            Termination of Employment.  In the event of the Participant's Termination of Employment that is a "separation from service" within the meaning of section 409A of the Code and applicable Treasury Regulations issued under section 409A, all unvested Restricted Stock Units will vest or be forfeited according to the terms and conditions of the Participant's employment agreement.  To the extent compliance with the requirements of Treasury Regulation § 1.409A-3(i)(2) (or any successor provision) is necessary to avoid the application of an additional tax under section 409A of the Code to the issuance of Shares to the Participant, then any issuance of Shares to the Participant that would otherwise be made during the six-month period beginning on the date of such Termination of Employment will be deferred and delivered to the Participant immediately following the lapse of such six-month period.
9.            Designation of Beneficiary.  The Participant has the right to designate in writing from time to time a beneficiary or beneficiaries for any Award by filing a written notice of such designation with the Committee.  If the Participant's beneficiary predeceases the Participant and no successor beneficiary is designated, or if no valid designation has been made, the Participant's beneficiary will be the Participant's estate.  In such an event, no payment will be made unless the Committee will have been furnished with such evidence as the Committee may deem necessary to establish the validity of the payment.
10.            Issuance of Shares.
a.            On each Vesting Date (or upon or following Termination of Employment as provided in Section 8), the Company shall issue to the Participant, whether by means of stock certificates or book entry registration, a number of shares of common stock of the Company ("Common Stock") equal to the number of Restricted Stock Units granted hereunder that have vested as of such date.
b.            The Company may require as a condition of the issuance of shares of Common Stock, pursuant to Section 10(a) hereof, that the Participant remit to the Company an amount sufficient in the opinion of the Company to satisfy any federal, state and other governmental tax withholding requirements related to the issuance of such shares.  The Committee, in its sole discretion, may permit the Participant to satisfy such obligation by delivering shares of Common Stock or by directing the Company to withhold from delivery shares of Common Stock, in either case valued at their Fair Market Value on the applicable Vesting Date, with fractional shares being settled in cash.

c.            The Participant will not be deemed for any purpose to be, or have rights as, a stockholder of the Company by virtue of the grant of Restricted Stock Units, until shares of Common Stock are issued in settlement of such Restricted Stock Units pursuant to Section 10(a) hereof.  Upon the issuance of a stock certificate or the making of an appropriate book entry on the books of the transfer agent, the Participant will have all of the rights of a stockholder.
11.            Securities Matters.  The Company shall be under no obligation to effect the registration pursuant to the Securities Act of 1933, as amended (the "1933 Act") of any interests in the Program or any shares of Common Stock to be issued thereunder or to effect similar compliance under any state laws.  The Company shall not be obligated to cause to be issued any shares, whether by means of stock certificates or appropriate book entries, unless and until the Company is advised by its counsel that the issuance of such shares is in compliance with all applicable laws, regulations of governmental authority and the requirements of any securities exchange on which shares of Common Stock are traded.  The Committee may require, as a condition of the issuance of shares of Common Stock pursuant to the terms hereof, that the recipient of such shares make such covenants, agreements and representations, and that any certificates bear such legends and any book entries be subject to such electronic coding or stop order, as the Committee, in its sole discretion, deems necessary or desirable.  The Participant specifically understands and agrees that the shares of Common Stock, if and when issued, may be "restricted securities," as that term is defined in Rule 144 under the 1933 Act and, accordingly, the Participant may be required to hold the shares indefinitely unless they are registered under such Act or an exemption from such registration is available.
12.            Delays or Omissions.  No delay or omission to exercise any right, power or remedy accruing to any party hereto upon any breach or default of any party under this Agreement, will impair any such right, power or remedy of such party, nor will it be construed to be a waiver of any such breach or default, or an acquiescence therein, or of or in any similar breach or default thereafter occurring, nor will any waiver of any single breach or default be deemed a waiver of any other breach or default theretofore or thereafter occurring.  Any waiver, permit, consent or approval of any kind or character on the part of any party of any breach or default under this Agreement, or any waiver on the part of any party or any provisions or conditions of this Agreement, must be in a writing signed by such party and will be effective only to the extent specifically set forth in such writing.
13.            Right of Discharge Preserved.  Nothing in this Agreement confers upon the Participant the right to continue in the employ or other service of the Company, or affect any right which the Company may have to terminate such employment or service.
14.            Integration.  The Program, this Agreement, including the Grant Schedule, and any applicable employment agreement contain the entire understanding of the parties with respect to its subject matter.  There are no restrictions, agreements, promises, representations, warranties, covenants or undertakings with respect to the subject matter hereof other than those expressly set forth herein.  Any applicable employment agreement and this Agreement, including, without limitation, the Program, supersede all prior agreements and understandings between the parties with respect to its subject matter.
15.            Counterparts.  This Agreement may be executed in two or more counterparts, each of which is deemed an original, but all of which constitute one and the same instrument.
16.            Governing Law.  This Agreement is governed by and construed and enforced in accordance with the laws of the State of Delaware, without regard to the provisions governing conflict of laws.
17.            Participant Acknowledgment.  The Participant hereby acknowledges receipt of a copy of the Program and has carefully read and understands this Agreement and the Program.  The Participant hereby acknowledges that all decisions, determinations and interpretations of the Committee in respect of the Program, this Agreement and the Restricted Stock Units are final and conclusive.
The parties are signing this Agreement on the date stated in the introductory paragraph.
VISHAY INTERTECHNOLOGY, INC.

By:
 
Name:
 
Title:
 
 
 
 
[Participant Name]


Grant Schedule

Participant's name:
[Participant Name]
 
Grant Date:
 
 
 
1.    Number of Restricted Stock Units  granted:
 
 
2.    Vesting Dates:
(a) As to [•] Restricted Stock Units:  January 1, 2014
(b) As to [•] Restricted Stock Units: December 5, 2013
(c) As to [•] Restricted Stock Units:  January 1, 2014, provided that the Performance Targets have been satisfied
 
 
With respect the Restricted Stock Units referenced in 2(c) above, such Restricted Stock Units shall vest only if both [insert performance criteria]:
 
 
In the event of a Change in Control, all of such outstanding RSUs will immediately vest.
 
__________________                                                        __________________________
[Participant Name]                                                                      Vishay Intertechnology, Inc.
 

EX-10.59 4 exhibit10-59.htm FORM OF RESTRICTED STOCK UNIT AGREEMENT
Exhibit 10.59
 
Vishay Intertechnology, Inc.
Form of Restricted Stock Unit Agreement
THIS AGREEMENT, made as of the Grant Date, between Vishay Intertechnology, Inc. (the "Company") and the Participant.
RECITALS
The Company has adopted and maintains the Vishay Intertechnology, Inc. 2007 Stock Incentive Program, as amended and restated, (the "Program") to enhance the long-term performance of the Company and to provide selected individuals with an incentive to improve the growth and profitability of the Company by acquiring a proprietary interest in the success of the Company.
            The Program provides that, with respect to Awards to members of the Board of Directors (the "Board") who are not Employees of the Company, the Board shall administer the Program, including the authority to determine the persons to whom awards will be granted and the amount and type of such awards.
The Board has determined that the purposes of the Program would be furthered by granting the Participant Restricted Stock Units as set forth in this Agreement.
The parties therefore agree as follows:
1.            Grant Schedule.  Certain terms of the grant of Restricted Stock Units are set forth on the Grant Schedule that is attached to, and is a part of, this Agreement.
2.            Grant of Restricted Stock Units.  Pursuant to, and subject to, the terms and conditions set forth herein and in the Program, the Board hereby grants to the Participant the number of Restricted Stock Units set forth on the Grant Schedule.
3.            Grant Date.  The Grant Date of the Restricted Stock Units is set forth on the Grant Schedule.
4.            Incorporation of Program.  All terms, conditions and restrictions of the Program are incorporated herein and made part hereof as if stated herein.  If there is any conflict between the terms and conditions of the Program and this Agreement, the terms and conditions of this Agreement will govern.  Except as otherwise provided herein, including the Grant Schedule, all capitalized terms used herein will have the meaning given to such terms in the Program.
5.            Vesting.  Subject to the further provisions of this Agreement, the Restricted Stock Units will vest as set forth on the Grant Schedule (each date on which Restricted Stock Units vest being referred to as a "Vesting Date").
6.            Transferability.  The Restricted Stock Units are not transferable or assignable otherwise than by will or by the laws of descent and distribution.  Any attempt to transfer Restricted Stock Units, whether by transfer, pledge, hypothecation or otherwise and whether voluntary or involuntary, by operation of law or otherwise, will not vest the transferee with any interest or right in or with respect to such Restricted Stock Units.

7.            Termination of Membership on the Board.   If:
            (a) The membership of the Participant on the Board is terminated prior to the Vesting Date and such termination of membership is a "separation from service" within the meaning of section 409A of the Code and applicable Treasury Regulations issued under section 409A; and
            (b) The Participant is not removed from membership on the Board for Cause;
The Restricted Stock Units will vest upon such termination, provided that (i) the number of Restricted Stock Units that vest will be reduced pro-rata to the extent of the vesting period not served by the Participant on the Board and (ii) to the extent compliance with the requirements of Treasury Regulation § 1.409A-3(i)(2) (or any successor provision) is necessary to avoid the application of an additional tax under section 409A of the Code to the issuance of Shares to the Participant, then any issuance of Shares to the Participant that would otherwise be made during the six-month period beginning on the date of the Participant's termination of membership on the Board will be deferred and delivered to the Participant immediately following the lapse of such six-month period.
Except as set forth in this Section 7, all unvested Restricted Stock Units shall be forfeited as of termination.
8.            Designation of Beneficiary.  The Participant has the right to designate in writing from time to time a beneficiary or beneficiaries for any Award by filing a written notice of such designation with the Board.  If the Participant's beneficiary predeceases the Participant and no successor beneficiary is designated, or if no valid designation has been made, the Participant's beneficiary will be the Participant's estate.  In such an event, no payment will be made unless the Board will have been furnished with such evidence as the Board may deem necessary to establish the validity of the payment.
9.            Issuance of Shares.
(a)            On each Vesting Date, or, upon or following termination of membership on the Board as provided in Section 7, the Company shall issue to the Participant, whether by means of stock certificates or book entry registration, a number of shares of common stock of the Company ("Common Stock") equal to the number of Restricted Stock Units granted hereunder that have vested as of such date.
(b)            The Company may require as a condition of the issuance of shares of Common Stock, pursuant to Section 9(a) hereof, that the Participant remit to the Company an amount sufficient in the opinion of the Company to satisfy any federal, state and other governmental tax withholding requirements related to the issuance of such shares.  The Board, in its sole discretion, may permit the Participant to satisfy such obligation by delivering shares of Common Stock or by directing the Company to withhold from delivery shares of Common Stock, in either case valued at their Fair Market Value on the applicable Vesting Date, with fractional shares being settled in cash.

(c)            The Participant will not be deemed for any purpose to be, or have rights as, a stockholder of the Company by virtue of the grant of Restricted Stock Units, until shares of Common Stock are issued in settlement of such Restricted Stock Units pursuant to Section 9(a) hereof.  Upon the issuance of a stock certificate or the making of an appropriate book entry on the books of the transfer agent, the Participant will have all of the rights of a stockholder.
10.            Securities Matters.  The Company shall be under no obligation to effect the registration pursuant to the Securities Act of 1933, as amended (the "1933 Act") of any interests in the Program or any shares of Common Stock to be issued thereunder or to effect similar compliance under any state laws.  The Company shall not be obligated to cause to be issued any shares, whether by means of stock certificates or appropriate book entries, unless and until the Company is advised by its counsel that the issuance of such shares is in compliance with all applicable laws, regulations of governmental authority and the requirements of any securities exchange on which shares of Common Stock are traded.  The Board may require, as a condition of the issuance of shares of Common Stock pursuant to the terms hereof, that the recipient of such shares make such covenants, agreements and representations, and that any certificates bear such legends and any book entries be subject to such electronic coding or stop order, as the Board, in its sole discretion, deems necessary or desirable.  The Participant specifically understands and agrees that the shares of Common Stock, if and when issued, may be "restricted securities," as that term is defined in Rule 144 under the 1933 Act and, accordingly, the Participant may be required to hold the shares indefinitely unless they are registered under such Act or an exemption from such registration is available.
11.            Delays or Omissions.  No delay or omission to exercise any right, power or remedy accruing to any party hereto upon any breach or default of any party under this Agreement, will impair any such right, power or remedy of such party, nor will it be construed to be a waiver of any such breach or default, or an acquiescence therein, or of or in any similar breach or default thereafter occurring, nor will any waiver of any single breach or default be deemed a waiver of any other breach or default theretofore or thereafter occurring.  Any waiver, permit, consent or approval of any kind or character on the part of any party of any breach or default under this Agreement, or any waiver on the part of any party or any provisions or conditions of this Agreement, must be in a writing signed by such party and will be effective only to the extent specifically set forth in such writing.
12.            Right of Discharge Preserved.  Nothing in this Agreement confers upon the Participant the right to continue in the employ or other service of the Company, or affect any right which the Company may have to terminate such employment or service.
13.            Integration.  The Program and this Agreement, including the Grant Schedule, contains the entire understanding of the parties with respect to its subject matter.  There are no restrictions, agreements, promises, representations, warranties, covenants or undertakings with respect to the subject matter hereof other than those expressly set forth herein.  This Agreement, including, without limitation, the Program, supersedes all prior agreements and understandings between the parties with respect to its subject matter.
14.            Counterparts.  This Agreement may be executed in two or more counterparts, each of which is deemed an original, but all of which constitute one and the same instrument.
15.            Governing Law.  This Agreement is governed by and construed and enforced in accordance with the laws of the State of Delaware, without regard to the provisions governing conflict of laws.
16.            Participant Acknowledgment.  The Participant hereby acknowledges receipt of a copy of the Program and has carefully read and understands this Agreement and the Program.  The Participant hereby acknowledges that all decisions, determinations and interpretations of the Compensation Committee in respect of the Program, and the Board with respect to this Agreement and the Restricted Stock Units, are final and conclusive.
The parties are signing this Agreement on the date stated in the introductory paragraph.


VISHAY INTERTECHNOLOGY, INC.

By:
Name:
Peter G. Henrici
Title:
Sr. Vice President,
Corporate Secretary
[Participant Name]


Grant Schedule
Participant's name:
[Participant Name]
 
Grant Date:
 
1.Number of Restricted Stock Units granted:
2.Vesting Date:
1
In the event of a Change in Control, all of such outstanding RSUs will immediately vest.
 
Notwithstanding the foregoing, no Restricted Stock Units subject to this Agreement shall vest unless the Participant has complied with all applicable provisions of the Hart-Scott-Rodino Antitrust Improvements Act of 1976, as amended (the "HSR Act").  If the Restricted Stock Units subject to this Agreement would have vested pursuant to this Agreement but did not vest solely because the Participant was not in compliance with all applicable provisions of the HSR Act, the Vesting Date for such Restricted Stock Units shall occur on the first date following the date on which such Restricted Stock Units would otherwise have vested pursuant to this Agreement on which the Participant has complied with all applicable provisions of the HSR Act.
 
      3.   Issuance Date:
 
VISHAY INTERTECHNOLOGY, INC.
By:
Name:
Peter G. Henrici
Title:
Sr. Vice President,
Corporate Secretary
[Participant Name]




1 Subject to the terms of this Restricted Stock Unit Agreement.
EX-10.60 5 exhibit10-60.htm FORM OF EXECUTIVE OFFICER PHANTOM STOCK UNIT AGREEMENT
Exhibit 10.60
 
Vishay Intertechnology, Inc.
Form of Executive Officer Phantom Stock Unit Agreement
THIS AGREEMENT, made as of the Grant Date, between Vishay Intertechnology, Inc. (the "Company") and the Participant.
RECITALS
The Company has adopted and maintains the Senior Executive Phantom Stock Plan (the "Plan") to enhance the long-term performance of the Company and to provide selected individuals with an incentive to improve the growth and profitability of the Company by acquiring a proprietary interest in the success of the Company.
The Plan provides that the Compensation Committee (the "Committee") of the Company's Board of Directors shall administer the Plan, including the authority to determine the persons to whom awards will be granted and the amount and type of such awards.
The Committee has determined that the purposes of the Plan would be furthered by granting the Participant Phantom Stock Units as set forth in this Agreement.
The parties therefore agree as follows:
1.            Grant Schedule.  Certain terms of the grant of Phantom Stock Units are set forth on the Grant Schedule that is attached to, and is a part of, this Agreement.
2.            Grant of Phantom Stock Units.  Pursuant to, and subject to, the terms and conditions set forth herein and in the Plan, the Committee hereby grants to the Participant the number of Phantom Stock Units set forth on the Grant Schedule.
3.            Grant Date.  The Grant Date of the Phantom Stock Units is set forth on the Grant Schedule.
4.            Incorporation of Plan.  All terms, conditions and restrictions of the Plan are incorporated herein and made part hereof as if stated herein.   If there is any conflict between the terms and conditions of the Plan and this Agreement or any applicable employment agreement, the terms and conditions of the employment agreement will govern over those of the Plan or this Agreement, and the terms and conditions of this Agreement will govern over those of the Plan.  Except as otherwise provided herein, including the Grant Schedule, all capitalized terms used herein will have the meaning given to such terms in the Plan.
5.            Transferability.  The Phantom Stock Units are not transferable or assignable otherwise than by will or by the laws of descent and distribution.  Any attempt to transfer Phantom Stock Units, whether by transfer, pledge, hypothecation or otherwise and whether voluntary or involuntary, by operation of law or otherwise, will not vest the transferee with any interest or right in or with respect to such Phantom Stock Units.

6.            Termination of Employment.  In the event of the Participant's Termination of Employment that is a "separation from service" within the meaning of section 409A of the Code and applicable Treasury Regulations issued under section 409A, Phantom Stock Units will be issued to the Participant according to the terms and conditions of the Participant's employment agreement, subject to any applicable provisions of the Plan.  To the extent compliance with the requirements of Treasury Regulation § 1.409A-3(i)(2) (or any successor provision) is necessary to avoid the application of an additional tax under section 409A of the Code to the issuance of Shares to the Participant, then any issuance of Shares to the Participant that would otherwise be made during the six-month period beginning on the date of such Termination of Employment will be deferred and delivered to the Participant immediately following the lapse of such six-month period.
7.            Designation of Beneficiary.  The Participant has the right to designate in writing from time to time a beneficiary or beneficiaries for any Award by filing a written notice of such designation with the Committee.  If the Participant's beneficiary predeceases the Participant and no successor beneficiary is designated, or if no valid designation has been made, the Participant's beneficiary will be the Participant's estate.  In such an event, no payment will be made unless the Committee will have been furnished with such evidence as the Committee may deem necessary to establish the validity of the payment.
8.            Issuance of Shares.
(a)            Phantom Stock Units will be issued to the Participant in accordance with the terms and conditions of the Plan and the Participant's employment agreement.  On each date of issuance, the Company shall issue to the Participant, whether by means of stock certificates or book entry registration, a number of shares of common stock of the Company ("Common Stock") equal to the number of Phantom Stock Units granted hereunder that have vested as of such date.
(b)            The Company may require as a condition of the issuance of shares of Common Stock, pursuant to Section 8(a) hereof, that the Participant remit to the Company an amount sufficient in the opinion of the Company to satisfy any federal, state and other governmental tax withholding requirements related to the issuance of such shares.  The Committee, in its sole discretion, may permit the Participant to satisfy such obligation by delivering shares of Common Stock or by directing the Company to withhold from delivery shares of Common Stock, in either case valued at their Fair Market Value on the applicable Vesting Date, with fractional shares being settled in cash.
(d)            The Participant will not be deemed for any purpose to be, or have rights as, a stockholder of the Company by virtue of the grant of Phantom Stock Units, until shares of Common Stock are issued in settlement of such Phantom Stock Units pursuant to Section 8(a) hereof.  Upon the issuance of a stock certificate or the making of an appropriate book entry on the books of the transfer agent, the Participant will have all of the rights of a stockholder.
9.            Securities Matters.  The Company shall be under no obligation to effect the registration pursuant to the Securities Act of 1933, as amended (the "1933 Act") of any interests in the Plan or any shares of Common Stock to be issued thereunder or to effect similar compliance under any state laws.  The Company shall not be obligated to cause to be issued any shares, whether by means of stock certificates or appropriate book entries, unless and until the Company is advised by its counsel that the issuance of such shares is in compliance with all applicable laws, regulations of governmental authority and the requirements of any securities exchange on which shares of Common Stock are traded.  The Committee may require, as a condition of the issuance of shares of Common Stock pursuant to the terms hereof, that the recipient of such shares make such covenants, agreements and representations, and that any certificates bear such legends and any book entries be subject to such electronic coding or stop order, as the Committee, in its sole discretion, deems necessary or desirable.  The Participant specifically understands and agrees that the shares of Common Stock, if and when issued, may be "restricted securities," as that term is defined in Rule 144 under the 1933 Act and, accordingly, the Participant may be required to hold the shares indefinitely unless they are registered under such Act or an exemption from such registration is available.

10.            Delays or Omissions.  No delay or omission to exercise any right, power or remedy accruing to any party hereto upon any breach or default of any party under this Agreement, will impair any such right, power or remedy of such party, nor will it be construed to be a waiver of any such breach or default, or an acquiescence therein, or of or in any similar breach or default thereafter occurring, nor will any waiver of any single breach or default be deemed a waiver of any other breach or default theretofore or thereafter occurring.  Any waiver, permit, consent or approval of any kind or character on the part of any party of any breach or default under this Agreement, or any waiver on the part of any party or any provisions or conditions of this Agreement, must be in a writing signed by such party and will be effective only to the extent specifically set forth in such writing.
11.            Right of Discharge Preserved.  Nothing in this Agreement confers upon the Participant the right to continue in the employ or other service of the Company, or affect any right which the Company may have to terminate such employment or service.
12.            Integration.  The Plan, this Agreement, including the Grant Schedule, and any applicable employment agreement contain the entire understanding of the parties with respect to its subject matter.  There are no restrictions, agreements, promises, representations, warranties, covenants or undertakings with respect to the subject matter hereof other than those expressly set forth herein.  Any applicable employment agreement and this Agreement, including, without limitation, the Plan, supersede all prior agreements and understandings between the parties with respect to its subject matter.
13.            Counterparts.  This Agreement may be executed in two or more counterparts, each of which is deemed an original, but all of which constitute one and the same instrument.
14.            Governing Law.  This Agreement is governed by and construed and enforced in accordance with the laws of the State of Delaware, without regard to the provisions governing conflict of laws.
15.            Participant Acknowledgment.  The Participant hereby acknowledges receipt of a copy of the Plan and has carefully read and understands this Agreement and the Plan.  The Participant hereby acknowledges that all decisions, determinations and interpretations of the Committee in respect of the Plan, this Agreement and the Phantom Stock Units are final and conclusive.
The parties are signing this Agreement on the date stated in the introductory paragraph.



VISHAY INTERTECHNOLOGY, INC.

By:
Name:
Peter G. Henrici
Title:
Sr. Vice President,
Corporate Secretary
[Participant Name]


Grant Schedule


Participant's name:
[Participant Name]

 
Grant Date:
 
1. Number of Phantom Stock Units     granted:
Phantom Stock Units will be issued to the Participant in accordance with the terms and conditions of the Plan and the Participant's employment agreement.  In the event of a Change in Control, all Phantom Stock Units will be eligible for issuance.
 
Notwithstanding the foregoing, no Phantom Stock Units subject to this Agreement shall be issued to the Participant unless the Participant has complied with all applicable provisions of the Hart-Scott-Rodino Antitrust Improvements Act of 1976, as amended (the "HSR Act").  If the Phantom Stock Units subject to this Agreement would have become eligible for issuance pursuant to this Agreement but were not issued solely because the Participant was not in compliance with all applicable provisions of the HSR Act, the date of issuance for such Phantom Stock Units shall occur on the first date following the date on which such Phantom Stock Units would otherwise have become issuable pursuant to this Agreement on which the Participant has complied with all applicable provisions of the HSR Act.
 
VISHAY INTERTECHNOLOGY, INC.
__________________________
Name: Peter G. Henrici
Title:   Sr. Vice President,
            Corporate Secretary
________________________________
[Participant Name]

EX-21 6 exhibit21.htm SUBSIDIARIES OF THE REGISTRANT
Exhibit 21

SUBSIDIARIES OF THE REGISTRANT

Note: Names of Subsidiaries are indented under name of Parent. Subsidiaries are wholly owned unless otherwise noted. (Directors' or other shares required by statute in foreign jurisdictions and totaling less than 1% of equity are omitted.)
 
Vishay Americas, Inc.
Delaware
 
Vishay Americas do Brasil, LTDA
Brazil
 
Vishay Insurance, Ltd.
Ireland
 
Vishay France Holdings SAS
France
 
MCB Industrie S.A.
France
 
Vishay Dale Electronics, Inc.
Delaware
 
Electronica Dale de Mexico S.A. de C.V.
Mexico
 
Vishay HiRel Systems LLC
Delaware
 
Vishay HiRel Sytems International, LLC
Delaware
 
Vishay HiRel Systems Asia Limited
Hong Kong
 
Vishay HiRel Systems (HK) Ltd. Hong Kong
Vishay Sprague, Inc.
Delaware
 
Vitramon do Brasil Ltda.
Brazil
 
Vishay Sprague Canada Holdings Inc.
Canada
 
Sprague Electric of Canada, Ltd.
Canada
 
Siliconix incorporated
Delaware
 
Vishay Siliconix, LLC
Delaware
 
Siliconix Semiconductor, Inc.
Delaware
 
Siliconix Technology C.V.
Netherlands
(a)
Vishay Siliconix Electronic Co. Ltd.
The Republic of China (Taiwan)
 
Shanghai Simconix Electronic Company Ltd.
China
(b)
Vishay Semiconductor Italiana S.p.A.
Italy
 
Vishay Asia Logistics Pte Ltd.
Singapore
 
Vishay Semiconductor India Pvt. Ltd.
India
 
Siliconix Singapore Pte Ltd
Singapore
 
Vishay GSI, Inc.
Delaware
 
Vishay GSI Holdings, LLC
Delaware
 
Vishay General Semiconductor, L.P.
Cayman Islands
(c)
Vishay General Semiconductor, LLC
Delaware
 
Vishay General Semiconductor of Taiwan, Ltd.
The Republic of China (Taiwan)
 
Vishay Asia GS Investments Pte., Ltd.
Singapore
 
ATC Corp.
Delaware
 
General Semiconductor Hong Kong Ltd.
Hong Kong
 
Vishay General Semiconductor GmbH
Germany
 
Vishay BCcomponents Holdings Ltd.
Delaware
 
Vishay BCcomponents B.V.
Netherlands
 
Vishay Capacitors Belgium NV
Belgium
 
Vishay Resistors Belgium BVBA
Belgium
 
Valen Ltd.
Hong Kong
 
Vishay Components India Pvt. Ltd
India
(d)
Vishay BCcomponents Hong Kong Ltd.
Hong Kong
 
BCcomponents China Ltd
Hong Kong
 
Vishay Components (Huizhou) Co. Ltd.
China
 
Vishay Intertechnology Asia Pte Ltd.
Singapore
 
Vishay Hong Kong Ltd.
Hong Kong
 
Vishay Japan K.K.
Japan
 
Vishay Korea Co. Ltd.
Korea
 
Vishay (Taiwan) Ltd.
The Republic of China (Taiwan)
 
Vishay (Thailand) Limited
Thailand
 

Subsidiaries of the Registrant (continued)

Vishay Israel Limited
Israel
 
Z.T.R. Electronics Ltd.
Israel
 
ECOMAL Israel Ltd.
Israel
(e)
Vishay Europe GmbH
Germany
(f)
Vishay Europe Sales GmbH
Germany
 
Vishay BCcomponents Austria GmbH
Austria
 
Vishay BCcomponents Beyschlag GmbH
Germany
 
Vishay Electronic GmbH
Germany
 
Vishay Siliconix Itzehoe GmbH
Germany
 
Roederstein GmbH
Germany
 
Roederstein Electronica Portugal Lda.
Portugal
(g)
ECOMAL Deutschland GmbH
Germany
 
ECOMAL Sweden AB
Sweden
 
ECOMAL Schweiz A.G.
Switzerland
 
ECOMAL Austria Ges.mbH
Austria
 
Vishay Components, S.A.
Spain
 
ECOMAL Iberia S.A.U.
Spain
 
ECOMAL Nederland BV
Netherlands
 
ECOMAL Belgium N.V.
Belgium
 
ECOMAL S.r.O.
Czech Republic
 
ECOMAL Denmark A/S
Denmark
 
ECOMAL Finland OY
Finland
 
ECOMAL France S.A.
France
 
ECOMAL UK Ltd.
United Kingdom
 
ECOMAL Italy SRL
Italy
 
Vishay Electronic SPOL SRO
Czech Republic
 
Vishay S.A.
France
(h)
Ultronix, Inc.
Delaware
 
E-Sil Components Ltd.
United Kingdom
 
Vishay Ltd.
United Kingdom
 
Grued Corporation
Delaware
 
Con-Gro Corp.
Delaware
 
Gro-Con, Inc.
Delaware
 
Angstrohm Precision Inc.
Delaware
 
Angstrohm Holdings Inc.
Delaware
 
Vishay Semiconductor GmbH
Germany
 
Vishay (Phils.) Inc.
Philippines
 
Vishay Semiconductor Ges.mbH
Austria
(i)
Vishay Asia Semiconductor Investments Pte. Ltd.
Singapore
 
Vishay Asia Investments Pte. Ltd.
Singapore
(j)
Shanghai Vishay Semiconductors Ltd.
China
 
General Semiconductor (China) Co., Ltd.
China
 
Vishay Xi'an Micro-Electronics Co. Ltd.
China
 
Vishay China Co. Ltd.
China
 
Vishay HiRel Systems Zhuhai Electronics Co Ltd
China
 
Vishay Trading (Shanghai) Co. Ltd
China
(k)
Vishay Hungary Elektronikai KFT
Hungary
 
Vishay Semiconductor Malaysia Sdn Bhd
Malaysia
 
Vishay Phoenix do Brasil Ltda
Brazil
 
Vishay Automotive Systems GmbH
Germany
 


Subsidiaries of the Registrant (continued)

(a) - Registrant's indirect ownership percentage in Siliconix Technology C.V. is 100%; 89% is owned by its wholly owned subsidiary Siliconix Incorporated, 10% is owned by its indirectly wholly owned subsidiary Siliconix Semiconductor, Inc., and 1% is owned by its indirect wholly owned subsidiary Vishay Siliconix LLC.
(b) - Registrant's indirect ownership percentage in Shanghai Simconix Electronic Company Ltd. is 96%.
(c) - Registrant's indirect ownership percentage in Vishay General Semiconductor, L.P. is 100%; 1% is owned by its indirectly wholly owned subsidiary Vishay GSI Holdings, LLC, and 99% is owned by its wholly owned subsidiary Vishay GSI, Inc.
(d) - Registrant's indirect ownership percentage in Vishay Components India Pvt Ltd. is 100%; 69% is owned directly and 31% is owned by its indirectly wholly owned subsidiary Vishay BCcomponents B.V.
(e) - Registrant's indirect ownership percentage in Ecomal Israel Ltd. is 66.7%.
(f) - Registrant's indirect ownership percentage in Vishay Europe GmbH is 100%; over 99.9% is owned directly or indirectly by its wholly owned subsidiary Vishay Israel Limited and its affiliates; and less than 0.1% is owned directly.
(g) - Registrant's indirect ownership percentage in Roederstein Electronics Portugal Lda.is 100%; 95% is owned by its wholly owned subsidiary Roederstein GmbH and 5% is owned by its wholly owned subsidiary Vishay Europe GmbH.
(h) - Registrant's indirect ownership percentage in Vishay S.A. is 99.9%; 2.3% is owned directly and 97.6% is owned by its indirectly wholly owned subsidiary Vishay Europe GmbH.
(i) - Registrant's indirect ownership percentage in Vishay Semiconductor Ges.mbH is 100%, 54% is owned by its indirectly wholly owned subsidiary Sprague Electric of Canada and 46% is owned by its indirectly wholly owned subsidiary Vishay Semiconductor GmbH.
(j) - Registrant's indirect ownership percentage in Vishay Asia Investments Pte. Ltd. is 100%, 48% is owned by its indirectly wholly owned subsidiary Vishay Asia Semiconductor Investments Pte. Ltd., 26% is owned by its indirectly wholly owned subsidiary Vishay Asia Semiconductor GS Investments Pte. Ltd., and 26% is owned by its indirectly wholly owned subsidiary Siliconix Technology C.V.
(k) - Registrant's indirect ownership percentage in Vishay Trading (Shanghai) is 100%, 84% is owned by its indirectly wholly owned subsidiary Vishay China Co. Ltd. and 16% is owned by its indirectly wholly owned subsidiary Vishay BCcomponents Hong Kong Ltd.
EX-23.1 7 exhibit23-1.htm CONSENT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
CONSENT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
We consent to the incorporation by reference in the following Registration Statements and in the related Prospectuses of Vishay Intertechnology, Inc. of our reports dated February 19, 2014, with respect to the consolidated financial statements of Vishay Intertechnology, Inc. and the effectiveness of internal control over financial reporting of Vishay Intertechnology, Inc., included in this Annual Report (Form 10-K) for the year ended December 31, 2013.

Registration
Statement Number
Form
Description
 
 
 
333-78045
S-8
1997 Stock Option Program and 1998 Employee Stock Option Program of Vishay Intertechnology, Inc.
333-102507
S-3/A
Class A Warrants to Purchase 7,000,000 Shares of Common Stock; Class B Warrants to Purchase 1,823,529 Shares of Common Stock; 6,176,467 Shares of Common Stock Issuable Upon Exchange of $105,000,000 Floating Rate Unsecured Notes due 2102; and 8,823,529 Shares of Common Stock Issuable Upon Exercise of Class A Warrants and Class B Warrants
333-144466
S-8
2007 Stock Incentive Program of Vishay Intertechnology, Inc.
333-178895
S-8
Vishay Intertechnology, Inc. Deferred Compensation Plan

/s/ Ernst & Young LLP
 
 
 
Philadelphia, Pennsylvania
 
February 19, 2014
EX-31.1 8 exhibit31-1.htm CERTIFICATION PURSUANT TO RULES 13A-15(E) OR 15D-15(E)
Exhibit 31.1
CERTIFICATIONS
I, Dr. Gerald Paul, certify that:

1. I have reviewed this Annual Report on Form 10-K of Vishay Intertechnology, Inc.;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4. The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

(d) Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal quarter (the registrant's fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

5. The registrant's other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

Date: February 19, 2014

/s/ Gerald Paul
Dr. Gerald Paul
Chief Executive Officer
EX-31.2 9 exhibit31-2.htm CERTIFICATION PURSUANT TO RULES 13A-15(E) OR 15D-15(E)
Exhibit 31.2
CERTIFICATIONS
I, Lori Lipcaman, certify that:

1. I have reviewed this Annual Report on Form 10-K of Vishay Intertechnology, Inc.;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4. The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

(d) Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal quarter (the registrant's fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

5. The registrant's other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

Date: February 19, 2014

/s/ Lori Lipcaman
Lori Lipcaman
Chief Financial Officer
EX-32.1 10 exhibit32-1.htm CERTIFICATION PURSUANT TO 18 U.S.C. SECTION 1350
Exhibit 32.1

CERTIFICATION PURSUANT TO
18 U.S.C. SECTION 1350,
AS ADOPTED PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

In connection with the Annual Report of Vishay Intertechnology, Inc. (the "Company") on Form 10-K for the year ended December 31, 2013 as filed with the Securities and Exchange Commission on the date hereof (the "Report"), I, Dr. Gerald Paul, Chief Executive Officer of the Company, certify, pursuant to 18 U.S.C. section 1350, as adopted pursuant to section 906 of the Sarbanes-Oxley Act of 2002, that:

(1) The Report fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

(2) The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

/s/ Gerald Paul
Dr. Gerald Paul
Chief Executive Officer
February 19, 2014
EX-32.2 11 exhibit32-2.htm CERTIFICATION PURSUANT TO 18 U.S.C. SECTION 1350
Exhibit 32.2

CERTIFICATION PURSUANT TO
18 U.S.C. SECTION 1350,
AS ADOPTED PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

In connection with the Annual Report of Vishay Intertechnology, Inc. (the "Company") on Form 10-K for the year ended December 31, 2013 as filed with the Securities and Exchange Commission on the date hereof (the "Report"), I, Lori Lipcaman, Chief Financial Officer of the Company, certify, pursuant to 18 U.S.C. section 1350, as adopted pursuant to section 906 of the Sarbanes-Oxley Act of 2002, that:

(1) The Report fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

(2) The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

/s/ Lori Lipcaman
Lori Lipcaman
Chief Financial Officer
February 19, 2014
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Schedule of Business Acquisitions by Acquisition, Equity Interest Issued or Issuable [Table] Business Combinations, Schedule of Business Acquisitions by Acquisition, Equity Interest Issued or Issuable [Table] Key terms of the convertible debentures Schedule of Debt [Table Text Block] Aggregate annual maturities of long-term debt Phantom stock units activity under the 2007 Program Other Intangible Assets Schedule of Intangible Assets and Goodwill [Table Text Block] Federal statutory income tax rate reconciliation Components of income (loss) from continuing operations before taxes and noncontrolling interest Deferred tax assets and liabilities Summary of other accrued expenses Schedule of Finite-Lived Intangible Assets by Major Class [Table] Amounts recognized in consolidated balance sheet Future minimum lease payments for operating leases Quarterly Financial Information Schedule of Earnings Per Share, Basic and Diluted Summary of recognized stock-based compensation expense Schedule of Compensation Cost for Share-based Payment Arrangements, Allocation of Share-based Compensation Costs by Plan [Table Text Block] Weighted average assumptions used Schedule of Assumptions Used [Table Text Block] Summary of components of other comprehensive income Schedule of Operating Leased Assets [Table] Estimated future benefit payments Schedule of long-term debt instruments Reconciliation of benefit obligation, plan assets, and funded status Schedule of Defined Benefit Plans Disclosures [Table Text Block] Schedule of Deferred Compensation Arrangement with Individual, Postretirement Benefits [Table] Compensation Related Costs, General, Schedule of Deferred Compensation Arrangement with Individual, Excluding Share-based Payments and Postretirement Benefits, by Title of Individual and by Type of Deferred Compensation [Table] Schedule of Defined Benefit Plans Disclosures [Table] Goodwill rollforward Segment reporting information Schedule of Restructuring and Related Costs [Table] Schedule of Property, Plant and Equipment [Table] Restructuring and Related Expenses Schedule of Restructuring Reserve by Type of Cost [Table Text Block] Schedule of Share-based Compensation Arrangements by Share-based Payment Award [Table] Schedule of Segment Reporting Information, by Segment [Table] Schedule of Share-based Compensation, Shares Authorized under Stock Option Plans, by Exercise Price Range [Table] Schedule of Stock by Class [Table] Shares of common stock reserved for future issuance Schedule of Stock by Class [Table Text Block] Stock options outstanding and exercisable summarized by ranges of exercise prices Current Vulnerability Due to Certain Concentrations Schedules of Concentration of Risk, by Risk Factor [Table Text Block] Segment Reporting, Reconciling Item for Operating Profit (Loss) from Segment to Consolidated [Line Items] Segment Reporting Information [Line Items] Segment [Domain] Segment and Geographic Data [Abstract] Segment and Geographic Data Segment Reporting Disclosure [Text Block] Segment, Geographical [Domain] Self-Insurance Programs Self Insurance Reserve [Policy Text Block] Selling, general, and administrative expenses Outstanding: Exercisable (in shares) Granted (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Grants in Period Granted, Weighted average grant-date fair value (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Grants in Period, Weighted Average Grant Date Fair Value Granted, weighted average exercise price (in dollars per share) Share-based Compensation Arrangements by Share-based Payment Award, Options, Grants in Period, Weighted Average Exercise Price Balance (in shares) Balance (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Nonvested, Number Vested (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Vested in Period Share-based Compensation Arrangement by Share-based Payment Award [Line Items] Ending balance, Weighted average grant-date fair value (in dollars per share) Beginning balance, Weighted average grant-date fair value (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Nonvested, Weighted Average Grant Date Fair Value Cancelled or forfeited (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Forfeited in Period Stock price per share (in dollars per share) Share Price Exercised, weighted average exercise price (in dollars per share) Granted (in shares) Vested, Weighted average grant-date fair value (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Vested in Period, Weighted Average Grant Date Fair Value Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercisable, Number Available for future grants (in shares) Available for future grants (in shares) Intrinsic value under share based compensation scheme Maximum number of shares authorized under restricted stock, unrestricted stock, RSU's and stock options to officers, employees and non-employee directors (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Authorized Granted, weighted average Grant-date fair value (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Weighted Average Grant Date Fair Value Cancelled or forfeited, weighted average exercise price (in dollars per share) Cancelled or forfeited (in shares) Ending balance, weighted average exercise price (in dollars per share) Beginning Balance, weighted average exercise price (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Weighted Average Exercise Price Stock-Based Compensation Balance (in shares) Balance (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Number Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range [Line Items] Vested and expected to vest (in shares) Share-based Compensation, Shares Authorized under Stock Option Plans, by Exercise Price Range [Axis] Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range [Domain] Outstanding: Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding [Roll Forward] Share-based Compensation Arrangements by Share-based Payment Award, Award Type [Domain] Exercise price range, lower range limit (in dollars per share) Options outstanding, number of options (in shares) Options exercisable, number of options (in shares) Exercise price range, upper range limit (in dollars per share) Shipping and Handling Costs Notes payable to banks Significant Change in Unrecognized Tax Benefits is Reasonably Possible, Estimated Range of Change, Lower Bound Summary of Significant Accounting Policies Significant Accounting Policies [Text Block] Significant Change in Unrecognized Tax Benefits is Reasonably Possible, Estimated Range of Change, Upper Bound Site Contingency [Table] Site Contingency [Line Items] Scenario [Axis] Statement [Table] Statement [Line Items] Consolidated Statements of Stockholders' Equity [Abstract] Statement, Geographical [Axis] Consolidated Statements of Cash Flows [Abstract] Equity Components [Axis] Statement, Equity Components [Axis] Consolidated Statements of Comprehensive Income [Abstract] Consolidated Condensed Balance Sheets [Abstract] Statement, Business Segments [Axis] Class of Stock [Axis] Company authorized the repurchase of common stock Share repurchase Stock Repurchased and Retired During Period, Value Phantom and restricted stock issuances Stock Issued During Period, Value, Restricted Stock Award, Net of Forfeitures Phantom and restricted stock issuances (in shares) Stock options exercised Stock Issued During Period, Value, Stock Options Exercised Conversions from Class B to common stock Stock Issued During Period, Value, Conversion of Convertible Securities Share repurchase (in shares) Common stock shares repurchased (in shares) Issuance of common stock for exchangeable unsecured notes (3,664,729 shares) Weighted average stock options [Member] Stock Options [Member] Stock options exercised (in shares) Exercised (in shares) Common stock issued upon exchange of convertible securities (in shares) Stock Issued During Period, Shares, Conversion of Convertible Securities Stockholders' equity: Vishay stockholders' equity Total Vishay stockholders' equity Stockholders' Equity Attributable to Parent Total equity Balance Balance Stockholders' Equity, Including Portion Attributable to Noncontrolling Interest Stockholders' Equity [Abstract] Spin-off of Vishay Precision Group, Inc. Stockholders' Equity Note, Spinoff Transaction Stockholders' Equity Stockholders' Equity Note Disclosure [Text Block] Subsequent Events Net operating loss carryforwards Summary of Operating Loss Carryforwards [Table Text Block] Summary of significant tax credit carryforwards available Unrecognized tax benefits Summary of Income Tax Contingencies [Table Text Block] Tax Credit Carryforward Tax Credit Carryforward, Amount Tax Credit Carryforward, Name [Domain] Tax Credit Carryforward [Line Items] Tax Credit Carryforward [Table] Tax Credit Carryforward [Axis] Deferred Compensation Arrangement with Individual, Postretirement Benefits, by Title of Individual [Axis] Deferred Compensation Arrangement with Individual, Share-based Payments, by Title of Individual [Axis] Deferred Compensation Arrangement with Individual, Excluding Share-based Payments and Postretirement Benefits, by Title of Individual [Axis] Title of Individual with Relationship to Entity [Domain] Tradenames [Member] Trade Names [Member] Cancellation of shares Aggregate cost of common stock repurchased Cancellation of shares (in shares) Treasury stock, shares (in shares) Type of Deferred Compensation [Domain] Foreign earnings without provision for US Tax U.S. Postretirement Plans [Member] United States Postretirement Benefit Plan of US Entity, Defined Benefit [Member] U.S. Plans [Member] U.S. Pension Plans [Member] Company recognized interest and penalties. Addition based on tax positions related to the current year Reduction for settlements Reduction based on tax positions related to prior years Reduction for lapses of statute of limitation Balance at end of year Balance at beginning of year Unrecognized Tax Benefits Addition based on tax positions related to prior years Company accrued interest and penalties related to the unrecognized tax benefits Increase in liabilities for unrecognized tax benefits Estimated purchase commitments [Abstract] 2017 2016 2014 Estimated purchase commitments under foundry agreements 2015 Actual purchases from subcontractors Unrecorded Unconditional Purchase Obligation, Purchases 2018 Use of Estimates Vesting [Axis] Vesting [Domain] Valuation Allowance [Table] Valuation Allowance by Deferred Tax Asset [Axis] Valuation and Qualifying Accounts Disclosure [Table] Valuation and Qualifying Accounts Disclosure [Table] Valuation Allowances and Reserves [Domain] Valuation Allowance [Line Items] Valuation and Qualifying Accounts Disclosure [Line Items] Valuation Allowances and Reserves Type [Axis] Weighted average warrants [Member] Warrant [Member] Dilutive potential common shares (in shares) Weighted Average Number Diluted Shares Outstanding Adjustment Effect of dilutive securities: Weighted average shares outstanding - basic (in shares) Weighted average shares outstanding - diluted Adjusted weighted average shares (in shares) Belguim [Member] BELGIUM Canada [Member] People's Republic of China [Member] Peoples Republic Of China [Member] Czech Republic [Member] CZECH REPUBLIC Germany [Member] Germany [Member] Israel [Member] Israel [Member] Republic of China (Taiwan) [Member] The Republic of China (Taiwan) United States [Member] United States [Member] A classification of common stock that has different rights than Common Class A and may be converted to another form of security. Class B Convertible Common Stock [Member] Gain on the sale of land and a building located in Belgium. Gain On Sale Of Property Belgium Gain on Sale of Property Gain on Sale of Property Compensation expense recorded to recognize changes in executive employees contract or status with the company. Executive Compensation Charge Executive compensation credit Executive compensation charges (credit) Executive Compensation Credit (Charges) Number of weeks in an interim reporting period beginning on a Sunday and ending on a Saturday, except for the first fiscal quarter, which always begins on January 1, and the fourth fiscal quarter, which always ends on December 31. Number of weeks in an interim reporting period Statement of Operations data: [Abstract] Statement of Operations data: Certain Items Recorded during the Quarters: [Abstract] Certain Items Recorded during the Quarters: The amount of pension and other (such as medical, dental and life insurance) postretirement benefit costs recognized during the period for (1) defined benefit plans and for (2) defined contribution plans net of the amount of cash or cash equivalents contributed during the reporting period by the entity to fund its pension plans and its non-pension postretirement benefit plans. Pensions and other postretirement benefits Pensions and other postretirement benefits, net of contributions Represents the Power Control Systems (PCS) business purchased from International Rectifier Corporation. PCS Business [Member] Huntington Electric Inc. Huntington Electric Inc [Member] Huntington Electric Inc [Member] HiRel Systems, acquired January 13, 2012 HiRel Systems [Member] Represents the unsolicited tender offer made to the board of directors of International Rectifier Corporation. International Rectifier Corporation Tender Offer [Member] Ownership interest retained in spun-off entity. Ownership interest retained in VPG Sale of Automotive Modules and Subsystems Business [Abstract] Sale of Automotive Modules and Subsystems Business This element represent additional after-tax loss recorded. Additional after tax loss recorded subsequent to resolution of net working capital adjustment Number of independent directors intended to be nominated to the board. Number of independent directors intended to be nominated to the board Amount of original offer, in dollars per share, related to the proposal to acquire shares of common stock in a tender offer. Original Tender offer for outstanding shares of common stock per share Original tender offer (in dollars per share) Duration of a debt instrument which may be expressed in a variety of ways (for example, years, months). Duration of debt instrument Duration of term loan (in years) Amount of term loan issued in connection with business acquisition for the period. Term loan issued in connection with business acquisitions Term loan issued in connection with business acquisitions This element represent total amount of incentive compensation awarded to executive officers and directors. Bonuses received by certain executive officers Exchange ratio of common shares. Exchange Ratio Under Spin Off Exchange Ratio Under Spin-Off Amount of revised offer, in dollars per share, related to the proposal to acquire shares of common stock in a tender offer. Revised Tender offer for outstanding shares of common stock per share Revised tender offer (in dollars per share) Vishay Precision Group, Inc., formed July 6. 2010 as a spinoff of the Company's measurements and foil resistors businesses. VPG [Member] Settlement with Previous Owner [Abstract] Business Acquisitions Amount of purchase price associated with acquisition refunded due to settlement. Refund of purchase price associated with acquisition of PCS business The automotive modules and subsystems business unit (ASBU) originally acquired as part of the acquisition of International Rectifier's Power Control Systems business. ASBU [Member] The entity acquired as part of an acquisition. MCB Industrie [Member] Tabular disclosure of the amounts recorded on the consolidated balance sheets associated with various retirement benefit plans. Amounts Recorded On Consolidated Balance Sheets Associated With Various Retirement Benefit Plans [Table Text Block] Retirement Plan amounts recorded on consolidated balance sheets Resistors And Inductors Segment [Member] Optoelectronic Components Segment [Member] Capacitors Segment [Member] MOSFETS Segment [Member] Diodes Segment [Member] Vishay Precision Group segment for which there is an accounting requirement to report separate financial information on that component in the entity's financial statements. Vishay Precision Group Segment [Member] VPG [Member] Optoelectronic Components segment for which there is an accounting requirement to report separate financial information on that component in the entity's financial statements. Optoelectronic Components Segments [Member] Operating income exclusive of costs of global operations, sales and marketing, information systems, finance and administration groups. Segment Operating Income Operating Income The restructuring plan for cost control purposes. MOSFETs Enhanced Competitiveness Program [Member] The restructuring plan that entails the voluntary separation or retirement of employees. Voluntary Separation/Retirement Program [Member] The restructuring plan under which production is transferred to another facility. Modules Product Transfer [Member] Bank of Tokyo Mitsubishi [Member] Represents the counterparty which the concentration risk applies to. Concentration Risk by Counterparty [Axis] Market Concentrations [Abstract] Concentration Risks [Abstract] Concentration risk customer Concentration Risk Customer Line Concentration Risk, Customer The number of years that the business operation in Israel has existed. Duration of Business Operations in Israel Duration of business operations in Israel (in years) Represents the counterparty which the concentration risk applies to. Concentration Risk by Counterparty [Domain] Percent of cash and cash equivalents and short-term investments concentrated in the geographic location. Other Asia [Member] Percent of cash and cash equivalents and short-term investments concentrated in the geographic location. Other Europe [Member] Outside Of United States [Member] Unicredit Bank Two [Member] Unicredit [Member] Bank Hapoalim, a participant in the Credit Facility. Bank Four [Member] Bank Hapoalim Bank Leumi, a participant in the Credit Facility Bank One [Member] Bank Leumi [Member] Percent of cash and cash equivalents and short-term investments concentrated in the geographic location. Singapore [Member] KBC, a participant in the Credit Facility Bank Three [Member] KBC [Member] Percent of cash and cash equivalents and short-term investments concentrated in the geographic location. Other Geographic Area [Member] Other [Member] Cash And Cash Equivalents And Short Term Investments Cash and cash equivalents and short-term investments JP Morgan Chase, a participant in the Credit Facility. Bank Five [Member] HSBC [Member] Cash and Cash Equivalents and Short-term Investments, when it serves as a benchmark in a concentration of risk calculation, representing the sum of all reported cash and cash equivalents and short-term investments, as of the balance sheet date. Cash and Cash Equivalents and Short-term Investments [Member] Convertible Senior Debentures, Due 2040 Convertible Senior Debentures, Due 2040 [Member] Convertible Senior Debentures, Due 2041 Convertible Senior Debentures, Due 2041 [Member] Convertible Senior Debentures, Due 2042 Convertible Senior Debentures, Due 2042 [Member] Convertible Senior Debentures 2042 [Member] Common stock warrants Common stock warrants [Member] Restricted stock units outstanding Restricted stock units outstanding [Member] Conversion of Class B common stock Conversion of Class B common stock [Member] Common stock options outstanding Common stock options outstanding [Member] Phantom stock units outstanding Phantom stock units outstanding [Member] Phantom stock units available to grant Phantom stock units available to grant [Member] The exercise price of the warrants was reduced to reflect the loss of value to the warrant holder due to the decrease in the trading price of the companies common stock as a result of the spin-off. Warrant exercise price decrease Warrant exercise price decrease (in hundredths) Convertible Senior Debentures 2042 [Member] Convertible Senior Debentures 2042 [Member] Available to grant 2007 Stock Incentive Program Available to grant 2007 Stock Incentive Program - [Member] The permitted stock repurchase or cash dividend capacity under the terms of the Credit Facility. Permitted stock repurchase or cash dividend capacity under credit facility Permitted stock repurchase or cash dividend payment capacity under credit facility Borrowings that are exchangeable for equity instruments. Exchangeable Unsecured Notes, Due 2102 [Member] Common stock warrants issued with exercise price of $18.10 per share. Exercise Price 1810 [Member] Exercise Price $18.10 [Member] Common stock warrants issued with exercise price of $27.43 per share. Exercise Price 2743 [Member] Exercise Price $27.43 [Member] The number of years over which the proceeds from the sale of land will be collected. Period of Collection of Proceeds From Sale of Land Period of collection of proceeds from the sale of land Sales price of long lived assets held for sale Sales Price Of Long Lived Assets Held For Sale Sale price of long lived assets held for sale The term of the restructuring program. Term of restructuring program Disclosure of accounting policy for calculating and separately accounting for convertible debt instruments that may be settled in cash. Includes accounting for the costs incurred to issue convertible debt and the method of amortizing the discount. Convertible Debt [Policy Text Block] Convertible Debentures Disclosure of accounting policy for grants as revenue. This disclosure may address grant classification as revenue or a reduction of cost of products sold. If the entity has different policies for different types of grants, the policy for each material type of grant is generally disclosed. The disclosure may encompass important judgment as to appropriateness of principles related to recognition of grants as revenue or cost reductions. Grant Recognition [Policy Text Block] Grants Numerator For Basic Earnings Per Share. Numerator For Basic Earnings Per Share [Abstract] Numerator for basic earnings (loss) per share: Adjustment To Numerator For Continuing Operations and Net Earnings. Adjustment To Numerator For Continuing Operations and Net Earnings [Abstract] Adjustment to the numerator for continuing operations and net earnings (loss): Denominator For Basic Earnings Per Share. Denominator For Basic Earnings Per Share [Abstract] Denominator for basic earnings (loss) per share: Denominator For Diluted Earnings Per Share. Denominator For Diluted Earnings Per Share [Abstract] Denominator for diluted earnings (loss) per share: Additional shares included in the calculation of diluted EPS as a result of other adjustments. Incremental Common Shares Other Adjustments Other (in shares) Additional shares included in the calculation of diluted EPS as a result of the potentially dilutive effect of convertible debt securities using the treasury stock method. Incremental Common Shares Attributable To Conversion Of Debt Securities Treasury Stock Method Convertible and exchangeable debt instruments (in shares) Additional shares included in the calculation of diluted EPS as a result of the potentially dilutive effect of restricted stock units. Incremental Common Shares Attributable To Restricted Stock Units Restricted stock units (in shares) Weighted average other [Member] Numerator For Diluted Earnings Per Share. Numerator For Diluted Earnings Per Share [Abstract] Numerator for diluted earnings (loss) per share: Percentage of outstanding convertible subordinated notes repurchased to the option of the holders. Percentage Of Outstanding Convertible Subordinated Notes Repurchased To Option Of Holders Discussion on convertible debt not included in computation of Earnings per share diluted. Discussion On Convertible Debt Not Included In Computation Of Earnings Per Share Diluted [Policy Text Block] Discussion on convertible debt not included in computation of earnings per share diluted Discussion on convertible debt included in computation of Earnings per share diluted. Discussion On Convertible Debt Included In Computation Of Earnings Per Share Diluted [Policy Text Block] Discussion on convertible debt included in computation of earnings per share diluted Sum of the carrying values as of the balance sheet date of all long-term debt, which is debt initially having maturities due after one year from the balance sheet date or beyond the operating cycle, if longer, but excluding the portions thereof scheduled to be repaid within one year (current maturities) or the normal operating cycle, if longer, and after deducting unamortized discount or premiums and derivative liability, if any. Long-term Debt Excluding Derivative Liability Long-term Debt Fair value as of the balance sheet date of assets held in rabbi trusts to fund payments under deferred compensation and non-qualified pension plans. Rabbi Trust Assets Fair Value Disclosure Assets held in rabbi trusts Fair value as of the balance sheet date of the embedded derivative or group of embedded derivatives classified as a liability. Embedded derivative - convertible debentures due 2040 Fair value as of the balance sheet date of the embedded derivative or group of embedded derivatives classified as a liability. Embedded derivative - convertible debentures due 2041 Fair value as of the balance sheet date of the embedded derivative or group of embedded derivatives classified as a liability. Embedded derivative - convertible debentures due 2042 Other Retirement Obligations [Abstract] Other retirement obligations [Abstract] Pension plans which provide defined benefits primarily to U.S. employees whose benefits under the qualified pension plan would be limited by ERISA and the Internal Revenue Code. Non-qualified Pension Plans [Member] Defined Benefit Pension Plans [Abstract] Defined benefit pension plans [Abstract] Defined Benefit Plan, Projected And Accumulated Benefit Obligations [Abstract] Projected and accumulated benefit obligations [Abstract] The employer's best estimate, as soon as it can be reasonably determined, of maximum contributions expected to be paid to the plan during the next fiscal year beginning after the date of the latest statement of financial position. Estimated contributions may be presented in the aggregate combining (1) contributions required by funding regulations or laws, (2) discretionary contributions, and (3) noncash contributions. Defined Benefit Plan Estimated Future Employer Contributions In Next Fiscal Year Maximum Estimated future employer contributions to U.S. defined benefit pension plans in next fiscal year, maximum The employer's best estimate, as soon as it can be reasonably determined, of minimum contributions expected to be paid to the plan during the next fiscal year beginning after the date of the latest statement of financial position. Estimated contributions may be presented in the aggregate combining (1) contributions required by funding regulations or laws, (2) discretionary contributions, and (3) noncash contributions. Defined Benefit Plan Estimated Future Employer Contributions In Next Fiscal Year Minimum Estimated future employer contributions to U.S. defined benefit pension plans in next fiscal year, minimum Other Postretirement Benefits [Abstract] Other postretirement benefits [Abstract] Number of European subsidiaries with unfunded non-pension postretirement plans. Defined Benefit Plan, Number Of European Subsidiaries With Unfunded Non-Pension Postretirement Plans Number of European subsidiaries with unfunded non-pension postretirement plans Number of unfunded non-pension postretirement plans maintained by the Company. Defined Benefit Plan, Number Of Unfunded Non-Pension Postretirement Plans Number of unfunded non-pension postretirement plans Number of executives with formal employment agreements which provide medical benefits. Defined Benefit Plan, Number Of Executives With Formal Employment Agreements Which Provide Medical Benefits Number of executives with formal employment agreements Actual plan asset allocations [Abstract] The amount accrued as of the balance sheet date by the entity's captive insurance entity for claims outstanding. Outstanding claim accrual Minimum ownership percentage of consolidated entities that do not have a non-controlling interest. Minimum ownership of fully controlled entities Minimum ownership of entities that do not have a non-controlling interest (in hundredths) Period of time required to maintain specified level of employment in order to be in compliance with the grant stipulations. Grants condition requirements Number of years maintaining employment levels per grants conditions Minimum number of months for a highly liquid investment to be considered a short-term investment. Highly liquid investments maturity term Minimum number of months until maturity from original purchase date for a highly liquid investment to be considered a short-term investment (in months) The estimated gross amount, at the balance sheet date, of costs to be incurred to complete long-lived assets under construction. Estimated cost to complete construction in progress Accrued expenses that are immaterial for separate disclosure. OtherAccruedExpenses Other Total number of shares of the acquirer common stock that can be issued upon the exercise of the options of the acquiree. Aggregate number of exercisable shares as a result of acquisition Number of shares of Vishay common stock that could have been issued upon the exercise of former General Semiconductor options (in shares) Stock options outstanding and exercisable with exercise price range of $12.90 per share. Range Three [Member] $16.29 [Member] Stock options outstanding and exercisable with exercise price range of $7.89 per share. Range One [Member] $11.54 - $12.90 [Member] A stock option plan of General Semiconductor, Inc., which became a wholly owned subsidiary of the Company. As a result of the acquisition, each outstanding option to acquire General Semiconductor common stock became exercisable for shares of Vishay common stock. General Semiconductor plan [Member] Stock option programs approved by stockholders to grant options to certain executive officers and key employees. On March 16, 2008, the stockholder approval for the 1998 Stock Option Program expired. Stock Option Program of 1998 [Member] 1998 Stock Option Program [Member] Stock Incentive Plan Of 2007 [Member] 2007 Stock Incentive Plan [Member] Restricted stock units (RSUs) that contain performance-based vesting criteria. Performance Vested Restricted Stock Units [Member] The number of stock options held by VPG employees that expired during the period. Share Based Compensation Arrangement By Share Based Payment Award Options Held by VPG Employees, Expired In Period, Number Number of stock options held by VPG employees that expired (in shares) Represents the number of restricted stock units with performance-based vesting criteria which will vest immediately upon the company's achievement of the performance-based criteria due to the occurrence of an accelerating event. Shares To Be Vested Immediately Upon Companys Achievement Of Performance Based Criteria Shares to be vested immediately upon the Company's achievement of performance-based criteria Percentage of decrease in the exercise price of all stock options as a consequence of the spin-off of VPG. Share Based Payment Award Options Decrease In Exercise Price Percentage of decrease in exercise price of all stock options as a consequence of spin-off of VPG (in hundredths) Expiration date of the 2007 Stock Incentive Plan. Share Based Compensation Arrangement Expiration Of Authority To Grant Equity Based Compensation Expiration date of 2007 Stock Incentive Plan Number of equity instruments other than options held by the VPG employees that expired during the period. Share Based Compensation Arrangement By Share Based Payment Award Equity Instruments Other Than Options Expired In Period, Number Number of RSUs held by VPG employees that expired (in units) The weighted average fair value as of the grant date of nonvested stock (unit) options associated with number of make-up shares granted to reflect loss of value to the holders of equity instruments due to the decrease in trading price of Vishay's common stock as a result of the spin-off of VPG. Share Based Compensation Arrangement By Share Based Payment Award Options Adjustment Due To VPG Spin-Off Weitghted Average Grant Date Fair Value Adjustment due to VPG spin-off, weighted average Grant-date fair value (in dollars per share) Represents the remaining exercise period in years for options whose vesting was accelerated. Remaining exercise period for options vested upon accelerating event Remaining exercise period for options vested upon accelerating event (in years) As of the balance sheet date, the number of equity-based payment instruments, excluding stock (or unit) options into which fully vested and expected to vest equity-based payment instruments other than stock (or unit) options outstanding can be converted under the plan. Share Based Compensation Arrangement By Share Based Payment Award Equityinstruments Other Than Options Expected To Vest Outstanding Number Part Three RSUs vesting January 1, 2016 (in shares) The conversion ratio in the acquisition of an acquirer share for each acquiree share, which became exercisable as a result of acquisition. Share Based Compensation Arrangement By Share Based Payment Award Options To Acquire Acquirer Common Stock Vested Outstanding And Exercisable Conversion Ratio Conversion ratio (in hundredths) The weighted average grant date fair value of shares as of the grant date on options that were either forfeited or lapsed. Share based Compensation Arrangement by Share based Payment Award, Options, Forfeitures and Expirations in Period, Weighted Average Grant Date Fair Value Cancelled or forfeited, Weighted average grant-date fair value (in dollars per share) The number of phantom stock units redeemed for common stock. Share Based Compensation Arrangement Phantom Stock Units Redeemed For Common Stock Redeemed for common stock (in shares) The weighted average exercise price associated with the make-up shares of equity instruments other than options granted to reflect loss of value to the holders of equity instruments due to the decrease in trading price of Vishay's common stock as a result of the spin-off of VPG. Share Based Compensation Arrangement By Share Based Payment Award Equity Instruments Other Than Options Adjustment Due To VPG Spin-Off Weitghted Average Exercise Price Adjustment due to VPG spin-off, Weighted average grant-date fair value (in dollars per share) Represents the number of options and/or restricted stock units which vested immediately upon the occurrence of an accelerating event such as death or resignation of the holder. Shares Immediately Vested Upon Accelerating Event Shares immediately vested upon occurrence of accelerating event Adjustment made in performance vesting criteria for equity instruments other than options to reflect the absence of VPG within consolidated results. Share Based Compensation Arrangement By Share Based Payment Award Equity Instruments Other Than Options Adjustment In Performance Vesting Criteria Percentage Adjustment of performance vesting criteria of performance-based RSUs to reflect the absence of VPG within consolidated results (in hundredths) Number of make-up shares non-vested stock options granted to reflect loss of value to the holders of equity instruments due to the decrease in trading price of Vishay's common stock as a result of the spin-off of VPG. Share Based Compensation Arrangement By Share Based Payment Award Options Nonvested Adjustment Due To VPG Spin-Off Number Adjustment due to VPG spin-off (in shares) The weighted average exercise price associated with the make-up shares of stock options granted to reflect loss of value to the holders of equity instruments due to the decrease in trading price of Vishay's common stock as a result of the spin-off of VPG. Share Based Compensation Arrangement By Share Based Payment Award Options Adjustment Due To VPG Spin-Off Weitghted Average Exercise Price Adjustment due to VPG spin-off, weighted average exercise price (in dollars per share) As of the balance sheet date, the number of equity-based payment instruments, excluding stock (or unit) options into which fully vested and expected to vest equity-based payment instruments other than stock (or unit) options outstanding can be converted under the plan. 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vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(5,152</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: 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color: #000000;">(4,321</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; 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color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">7,860</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt; font-weight: bold;">Net comprehensive income</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(29,207</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; 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color: #000000;">(1,065</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(56,713</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; 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font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(149,197</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">152,894</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">3,778</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 14.4pt;">Other comprehensive income before reclassifications</div></td><td valign="bottom" style="background-color: #ffffff; 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vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">14,567</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">1,834</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; 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background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">15,984</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 14.4pt;">Other comprehensive income before reclassifications, net of tax</div></td><td valign="bottom" style="background-color: #ffffff; 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vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">14,567</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">1,192</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(24,687</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 14.4pt;">Amounts reclassified out of AOCI</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">16,059</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; 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color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">10,687</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt; font-weight: bold;">Net comprehensive income</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; 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vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">23,537</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">913</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="background-color: #ffffff; 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(See Note 11 for further information). The amount of unrealized gains (losses) on available-for-sale securities reclassified out of AOCI as a result of sales of securities held by the Company's rabbi trust used to fund a deferred compensation plan was $1,966, $0, and $17 for the years ended December 31, 2013, 2012, and 2011, respectively.&#160; These reclassifications are recorded as a component of compensation expense within Selling, General, and Administrative expenses on our consolidated condensed statements of operations. 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These markets have historically experienced wide variations in demand for end products. If demand for these end products should decrease, the producers thereof could reduce their purchases of the Company's products, which could have a material adverse effect on the Company's results of operations and financial position.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Credit Risk Concentrations</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Financial instruments with potential credit risk consist principally of cash and cash equivalents, short-term investments, accounts receivable, and notes receivable. Concentrations of credit risk with respect to receivables are generally limited due to the Company's large number of customers and their dispersion across many countries and industries. As of December 31, 2013, one customer comprised 13.9% of the Company's accounts receivable balance.&#160; This customer comprised <font style="font-family: ''Times New Roman'', Times, serif;">14.7%</font> of the Company's accounts receivable balance as of December 31, 2012.&#160; No other customer comprised greater than 10% of the Company's accounts receivable balance as of December 31, 2013 or December 31, 2012. The Company continually monitors the credit risks associated with its accounts receivable and adjusts the allowance for uncollectible accounts accordingly. 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background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-weight: bold;">349</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-weight: bold;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-weight: bold;">52,264</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; 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background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; 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width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">54</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(85</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">4,264</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="text-align: right; padding-bottom: 4px; background-color: #ffffff; width: 40%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">Total</div></td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; 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color: #000000;">189</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(266</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; 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font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 40%; font-size: 12pt; vertical-align: bottom;"><div>&#160;</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 40%; font-size: 12pt; vertical-align: bottom;"><div style="text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;"><u>2012</u></div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 40%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">Due 2040</div></td><td valign="bottom" style="background-color: #cceeff; 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vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">1,675</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">88</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">28</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">7,979</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">843</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">45</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">7</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; 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vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">510</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">32</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">46</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">2,566</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="text-align: right; padding-bottom: 4px; background-color: #ffffff; width: 40%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">Total</div></td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">11,541</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">3,028</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">165</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">81</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">14,815</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 40%; font-size: 12pt; vertical-align: bottom;"><div>&#160;</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 40%; font-size: 12pt; vertical-align: bottom;"><div style="text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;"><u>2011</u></div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">2,836</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="text-align: right; padding-bottom: 4px; background-color: #cceeff; width: 40%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">Total</div></td><td valign="bottom" style="padding-bottom: 4px; 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width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">2,046</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; 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font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;"><u>Note 6 &#8211; Long-Term Debt (continued)</u></div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Prior to three months before the maturity date, the holders may only convert their debentures under the following circumstances: (1) during any fiscal quarter&#160; after the first full quarter subsequent to issuance, if the sale price of Vishay common stock reaches <font style="font-family: ''Times New Roman'', Times, serif;">130%</font> of the conversion price for a specified period; (2) the trading price of the debentures falls below <font style="font-family: ''Times New Roman'', Times, serif;">98%</font> of the product of the sale price of Vishay's common stock and the conversion rate for a specified period; (3) Vishay calls any or all of the debentures for redemption, at any time prior to the close of business on the third scheduled trading day immediately preceding the redemption date; 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width: 88%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; color: #000000;">2015</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 88%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; color: #000000;">2016</div></td><td valign="bottom" style="background-color: #cceeff; 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color: #000000;">7,356</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">7,356</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">U.S. Defined Benefit Pension Plan Assets:</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 14.4pt;">Equity securities</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; 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vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 14.4pt;">Fixed income securities</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">241,827</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">194,777</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">47,050</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 14.4pt;">Cash</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">171</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 14.4pt;">Equity securities</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">9,911</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">9,911</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; 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background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">59,978</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Embedded derivative - convertible debentures due 2040</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; 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color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; 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color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(197</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="background-color: #cceeff; 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vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">14,437</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 14.4pt;">Cash</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; 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vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">23,255</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; 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width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">353,777</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; 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color: #000000;">(1,303</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; 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Rabbi trust assets consist primarily of marketable securities, classified as available-for-sale, and company-owned life insurance assets. The marketable securities held in the rabbi trusts are valued using quoted market prices on the last business day of the year. The company-owned life insurance assets are valued in consultation with the Company's insurance brokers using the value of underlying assets of the insurance contracts.&#160; The fair value measurement of the marketable securities held in the rabbi trust is considered a Level 1 measurement and the measurement of the company-owned life insurance assets is considered a Level 2 measurement within the fair value hierarchy.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company maintains defined benefit retirement plans in certain of its U.S. and non-U.S. subsidiaries. The assets of the plans are measured at fair value.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Equity securities held by the U.S. defined benefit retirement plans consist of various mutual funds and exchange traded funds that are valued based on quoted market prices on the last business day of the year. The fair value measurement of the mutual funds and exchange traded funds securities is considered a Level 1 measurement within the fair value hierarchy.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Fixed income securities held by the U.S. defined benefit retirement plans consist of exchange traded funds, investments in a group annuity contract, and a short-term investment fund. The exchange traded funds are valued based on quoted market prices on the last business day of the year. The fair value measurement of the exchange traded funds securities is considered a Level 1 measurement within the fair value hierarchy. The group annuity contract consists of a general asset account and a pooled separate account. Units of the general asset account are valued based on a discounted cash flow model using the current yields of similar instruments with comparable durations and similar credit risk. The pooled separate accounts are valued based on the value of the underlying bond funds, which are valued at quoted market prices on the last business day of the year, with adjustments made to reflect the nature of how the investment is held. The fair value measurement of the group annuity contract is considered a Level 2 measurement within the fair value hierarchy. The short-term investment fund strictly invests in short-term investments, including commercial paper, certificates of deposit, U.S. government agency and instrumentality obligations, U.S. government obligations, corporate notes, and funding agreements. The maturity date of all investments held by the short-term investment fund is within one year from the financial statement date. There are no redemption restrictions on the plan's investment. The fair value of the short-term investment fund has been estimated using the net asset value per share of the investment. The fair value measurement of the short-term investment fund is considered a Level 2 measurement within the fair value hierarchy.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Real estate investments held by the U.S. defined benefit retirement plans consist of real estate investment trust securities that are valued at quoted market prices on the last business day of the year. The fair value measurement of the real estate investments is considered a Level 1 measurement within the fair value hierarchy.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Equity securities held by the non-U.S. defined benefit retirement plans consist of equity securities that are valued based on quoted market prices on the last business day of the year.&#160;&#160; The fair value measurement of the equity securities is considered a Level 1 measurement within the fair value hierarchy.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Fixed income securities held by the non-U.S. defined benefit retirement plans consist of government bonds in the Philippines and India and corporate notes that are valued based on quoted market prices on the last business day of the year. The fair value measurement of the fixed income securities is considered a Level 1 measurement within the fair value hierarchy.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Cash held by the U.S. and non-U.S. defined benefit retirement plans consists of demand deposits on account in various financial institutions to fund current benefit payments. The carrying amount of the cash approximates its fair value.</div><div style="text-align: justify; font-size: 12pt;"><br /></div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;"><u>Note 18 &#8211; Fair Value Measurements (continued)</u></div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company holds available for sale investments in debt securities that are intended to fund a portion of its pension and other postretirement benefit obligations outside of the U.S. The investments are valued based on quoted market prices on the last business day of the year. The fair value measurement of the investments is considered a Level 1 measurement within the fair value hierarchy.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The convertible senior debentures, due 2040, due 2041, and due 2042, issued by the Company on November 9, 2010, May 13, 2011, and May 31, 2012, respectively, contain embedded derivative features that GAAP requires to be bifurcated and remeasured each reporting period.&#160; Each quarter, the change in the fair value of the embedded derivative features, if any, is recorded in the consolidated statements of operations. The Company uses a derivative valuation model to derive the value of the embedded derivative features. Key inputs into this valuation model are the Company's current stock price, risk-free interest rates, the stock dividend yield, the stock volatility, and the debentures' credit spread over London Interbank Offered Rate (LIBOR). The first three aforementioned inputs are based on observable market data and are considered Level 2 inputs while the last two aforementioned inputs are unobservable and thus require management's judgment and are considered Level 3 inputs. The fair value measurement is considered a Level 3 measurement within the fair value hierarchy.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The fair value of the long-term debt, excluding the derivative liability, at December 31, 2013 and 2012 is approximately $750,700 and $686,800, respectively, compared to its carrying value, excluding the derivative liability, of $363,874 and $391,628, respectively. The Company estimates the fair value of its long-term debt using a combination of quoted market prices for similar financing arrangements and expected future payments discounted at risk-adjusted rates, which are considered level 2 inputs.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">At December 31, 2013 and 2012, the Company's short-term investments were comprised of time deposits with financial institutions that have maturities that exceed 90 days from the date of acquisition; however they all mature within one year from the respective balance sheet dates. The short-term investments are accounted for as held-to-maturity debt instruments, at amortized cost, which approximates their fair value. The investments are funded with excess cash not expected to be needed for operations prior to maturity; therefore, the Company believes it has the intent and ability to hold the short-term investments until maturity. At each reporting date, the Company performs an evaluation to determine if any unrealized losses are other-than-temporary. No other-than-temporary impairments have been recognized on these securities, and there are no unrecognized holding gains or losses for these securities during the periods presented. There have been no transfers to or from the held-to-maturity classification. All decreases in the account balance are due to returns of principal at the securities' maturity dates. Interest on the securities is recognized as interest income when earned.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">At December 31, 2013 and 2012, the Company's cash and cash equivalents were comprised of demand deposits, time deposits with maturities of three months or less when purchased, and money market funds. The Company estimates the fair value of its cash, cash equivalents, and short-term investments using level 2 inputs. Based on the current interest rates for similar investments with comparable credit risk and time to maturity, the fair value of the Company's cash, cash equivalents, and short-term investments approximate the carrying amounts reported in the consolidated balance sheets.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company's financial instruments also include accounts receivable, short-term notes payable, and accounts payable. 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The Company finances its operations in Europe and certain locations in Asia in local currencies, and accordingly, these subsidiaries utilize the local currency as their functional currency. The Company's operations in Israel and most significant locations in Asia are largely financed in U.S. dollars, and accordingly, these subsidiaries utilize the U.S. dollar as their functional currency.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">For those subsidiaries where the local currency is the functional currency, assets and liabilities in the consolidated balance sheets have been translated at the rate of exchange as of the balance sheet date. Translation adjustments do not impact the consolidated results of operations and are reported as a separate component of stockholders' equity. Revenues and expenses are translated at the average exchange rate for the year. While the translation of revenues and expenses into U.S. dollars does not directly impact the statement of operations, the translation effectively increases or decreases the U.S. dollar equivalent of revenues generated and expenses incurred in those foreign currencies.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">For those foreign subsidiaries where the U.S. dollar is the functional currency, all foreign currency financial statement amounts are remeasured into U.S. dollars. 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font-size: 12pt;">The Company maintains various retirement benefit plans. 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vertical-align: top;"><div></div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; font-size: 12pt; vertical-align: top;">&#160;</td></tr><tr><td valign="bottom" style="font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt; font-weight: bold;">Included in "Other Assets":</div></td><td valign="bottom" style="font-size: 12pt; vertical-align: bottom;">&#160;</td><td colspan="2" valign="bottom" style="font-size: 12pt; vertical-align: bottom;"><div></div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="font-size: 12pt; vertical-align: bottom;">&#160;</td><td colspan="2" valign="bottom" style="font-size: 12pt; vertical-align: bottom;"><div></div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; 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vertical-align: top;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">U.S. pension plans</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; 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background-color: #ffffff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Total included in accrued payroll</div></td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(8,333</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(7,717</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt; font-weight: bold;">Accrued pension and other postretirement costs:</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">U.S. pension plans</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(35,397</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(89,116</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Non-U.S. pension plans</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(224,280</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(229,014</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">U.S. other postretirement plans</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(6,703</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(7,520</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Non-U.S. other postretirement plans</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(7,504</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(6,964</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Other retirement obligations</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(14,017</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(12,347</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Total accrued pension and other postretirement costs</div></td><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(287,901</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(344,961</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt; font-weight: bold;">Accumulated other comprehensive loss:</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 76%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">U.S. pension plans</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">84,384</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">146,525</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 76%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Non-U.S. pension plans</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">61,652</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">71,459</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">U.S. other postretirement plans</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(5,782</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(5,937</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Non-U.S. other postretirement plans</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">1,246</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">805</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 76%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Total accumulated other comprehensive loss*</div></td><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">141,500</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">212,852</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr></table><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">* - Amounts included in accumulated other comprehensive loss are presented in this table pre-tax.</div><div style="font-size: 12pt;"><br /></div><div style="font-size: 12pt;"><br /></div><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;"><u>Note 11 &#8211; Pensions and Other Postretirement Benefits (continued)</u></div><div style="font-size: 12pt;"><br /></div><div style="text-align: left; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Defined Benefit Pension Plans</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; 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width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 52%; font-size: 12pt; vertical-align: top;"><div>&#160;</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; 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vertical-align: bottom;"><div></div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="font-size: 12pt; vertical-align: bottom;">&#160;</td><td colspan="2" valign="bottom" style="font-size: 12pt; vertical-align: bottom;"><div></div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="font-size: 12pt; vertical-align: bottom;">&#160;</td><td colspan="2" valign="bottom" style="font-size: 12pt; vertical-align: bottom;"><div></div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="font-size: 12pt; vertical-align: bottom;">&#160;</td><td colspan="2" valign="bottom" style="font-size: 12pt; vertical-align: bottom;"><div></div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; 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vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; 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vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; 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background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; 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color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 20%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; 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color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 20%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; color: #000000;">&#160;</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="background-color: #cceeff; 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font-size: 10pt;"><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;"><u>Note 19 &#8211; Related Party Transactions</u></div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Vishay Precision Group, Inc.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">On July 6, 2010, Vishay completed the spin-off of its measurements and foil resistors businesses into an independent, publicly-traded company to be named Vishay Precision Group, Inc. through a tax-free stock dividend to Vishay's stockholders.&#160; Vishay's common stockholders received <font style="font-family: ''Times New Roman'', Times, serif;">1 share of VPG common stock for every 14 shares of Vishay common stock</font> they held on the record date, June 25, 2010, and Vishay's Class B common stockholders received <font style="font-family: ''Times New Roman'', Times, serif;">1 share of VPG Class B common stock for every 14 shares of Vishay Class B common stock</font> they held on the record date.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; 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color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; 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vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 14.4pt;">Equity securities</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 14.4pt;">Fixed income securities</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">99,669</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 14.4pt;">Cash</div></td><td valign="bottom" style="background-color: #cceeff; 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vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 14.4pt;">Equity securities</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">8,888</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; 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vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">14,437</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 14.4pt;">Cash</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; 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vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">23,255</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; 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width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">353,777</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">284,317</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">69,460</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; 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background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Embedded derivative - convertible debentures due 2040</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(622</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(622</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(399</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(282</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; color: #000000;">&#160;</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; 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background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">538,547</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; 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color: #000000;">572,781</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">530,570</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 20%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; 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color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 20%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; 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color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 7%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 20%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; color: #000000;">&#160;</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 7%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">238,821</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 64%; font-size: 12pt; vertical-align: bottom;"><div>&#160;</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; 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vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="padding-bottom: 4px; 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vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">239,010</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 64%; font-size: 12pt; vertical-align: bottom;"><div>&#160;</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 64%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt; font-weight: bold;">Denominator:</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; 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vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 64%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Denominator for basic earnings per share:</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; 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background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(11</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">7,860</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; 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color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">10,687</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 52%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt; font-weight: bold;">Net comprehensive income</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; 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vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">23,537</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">913</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="background-color: #ffffff; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-weight: bold;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-weight: bold;">280,526</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; 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width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">228,245</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; 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vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; 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background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">212,531</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">3,237,139</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; 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vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; 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color: #000000;">209,141</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">635,488</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; 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text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">7,131</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 16%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -9pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 18pt;">Total revenue</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">433,682</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">496,744</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">209,194</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">642,320</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">448,157</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">2,230,097</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 16%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; color: #000000;">&#160;</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">670,811</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">199,385</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">760,257</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; 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background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">74,772</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">213,997</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">161,843</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; 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vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; 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width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">28,751</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">19,676</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">3,808</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 16%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -9pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 9pt;">Total Assets as of December 31, 2011:</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">646,660</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; 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background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">163,486</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">609,556</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">672,049</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; 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vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">12.73</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">32</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">12.73</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: center; font-family: ''Times New Roman'', Times, serif; color: #000000;">16.29</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">77</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; 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color: #000000;">15.24</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">109</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; 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color: #000000;">%</div></td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 88%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Bank Leumi*</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">10.1</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">%</div></td></tr></table><div style="font-size: 12pt;"><br /></div><div style="text-align: left; 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color: #000000;">44.4</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">%</div></td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 88%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Israel</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">22.5</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">%</div></td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 88%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Singapore</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">8.6</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; 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font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; 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font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 16%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -9pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 9pt;">Gross Margin</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; 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background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">212,531</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">3,237,139</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; 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width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">7,131</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 16%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -9pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 18pt;">Total revenue</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">433,682</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">496,744</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">209,194</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">2,230,097</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 16%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; color: #000000;">&#160;</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">67,943</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">204,137</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">526,673</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 16%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; font-family: ''Times New Roman'', Times, serif; color: #000000;">&#160;</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; 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vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">36,335</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 16%; font-size: 12pt; vertical-align: bottom;"><div style="text-align: left; text-indent: -9pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 9pt;">Total Assets as of December 31, 2012:</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">625,597</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">670,811</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">199,385</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">760,257</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">587,586</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">172,641</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">3,016,277</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; 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background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">163,486</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">609,556</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; 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background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">219,962</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">2,993,730</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr></table><div style="font-size: 12pt;"><br /></div><div style="font-size: 12pt;"><br /></div><div style="font-size: 12pt;"><br /></div><div style="text-align: left; 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Under this approach, deferred taxes represent the future tax consequences expected to occur when the reported amounts of assets and liabilities are recovered or paid. The provision for income taxes represents income taxes paid or payable for the current year plus the change in deferred taxes during the year. Deferred taxes result from differences between the financial and tax bases of the Company's assets and liabilities and are adjusted for changes in tax rates and tax laws when changes are enacted. Valuation allowances have been established for deferred tax assets which the Company believes do not meet GAAP criteria of "more likely than not" to be realilzed.&#160; This criterion requires a level of judgment regarding future taxable income, which may be revised due to changes in market conditions, tax laws, or other factors. If the Company's assumptions and estimates change in the future, valuation allowances established may be increased, resulting in increased tax expense. Conversely, if the Company is ultimately able to utilize all or a portion of the deferred tax assets for which a valuation allowance has been established, then the related portion of the valuation allowance can be released, resulting in decreased tax expense.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">At the present time, substantially all earnings generated by foreign subsidiaries are expected to be reinvested outside of the United States indefinitely. Accordingly, no provision has been made for U.S. federal and state income taxes on these foreign earnings. Upon distribution of those earnings in the form of dividends or otherwise, the Company would be subject to U.S. income taxes (subject to an adjustment for foreign tax credits), state income taxes, incremental foreign income taxes, and withholding taxes payable to the various foreign countries.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company and its subsidiaries are subject to income taxes in the U.S. and numerous foreign jurisdictions.&#160; Significant judgment is required in evaluating the Company's tax positions and determining its provision for income taxes. During the ordinary course of business, there are many transactions and calculations for which the ultimate tax determination is uncertain. The Company establishes reserves for tax-related uncertainties based on estimates of whether, and the extent to which, additional taxes will be due. These reserves are established when the Company believes that certain positions might be challenged despite the Company's belief that its tax return positions are fully supportable.&#160; The Company adjusts these reserves in light of changing facts and circumstances and the provision for income taxes includes the impact of reserve provisions and changes to reserves that are considered appropriate.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">These accruals for tax-related uncertainties are based on management's best estimate of potential tax exposures. When particular matters arise, a number of years may elapse before such matters are audited by tax authorities and finally resolved.&#160; Favorable resolution of such matters could be recognized as a reduction to the Company's effective tax rate in the year of resolution.&#160; Unfavorable resolution of any particular issue could increase the effective tax rate and may require the use of cash in the year of resolution.&#160; The amount included in current liabilities on the accompanying consolidated balance sheets reflect only amounts expected to be settled in cash within one year.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Cash, Cash Equivalents, and Short-Term Investments</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Cash and cash equivalents includes demand deposits and highly liquid investments with maturities of <font style="font-family: ''Times New Roman'', Times, serif;">three</font> months or less when purchased.&#160; Highly liquid investments with original maturities greater than three months, but less than one year are classified as short-term investments.&#160; At December 31, 2013 and 2012, the Company's short-term investments were comprised of time deposits with financial institutions whose original maturity exceeds three months, but less than one year.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Allowance for Doubtful Accounts</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company maintains an allowance for doubtful accounts for estimated losses resulting from the inability of its customers to make required payments. The allowance is determined through an analysis of the aging of accounts receivable and assessments of risk that are based on historical trends and an evaluation of the impact of current and projected economic conditions. The Company evaluates the past-due status of its trade receivables based on contractual terms of sale. If the financial condition of the Company's customers were to deteriorate, resulting in an impairment of their ability to make payments, additional allowances may be required. Bad debt expense (income realized upon subsequent collection) was $<font style="font-family: ''Times New Roman'', Times, serif;">62</font>, $<font style="font-family: ''Times New Roman'', Times, serif;">(24)</font>, and $<font style="font-family: ''Times New Roman'', Times, serif;">(93)</font> for the years ended December 31, 2013, 2012, and 2011, respectively.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Inventories</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Inventories are stated at the lower of cost, determined by the first-in, first-out method, or market. Inventories are adjusted for estimated obsolescence and written down to net realizable value based upon estimates of future demand, technology developments, and market conditions.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;"><u>Note 1 &#8211; Summary of Significant Accounting (continued)</u></div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Property and Equipment</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Property and equipment is carried at cost and is depreciated principally by the straight-line method based upon the estimated useful lives of the assets. Machinery and equipment are being depreciated over useful lives of <font style="font-family: ''Times New Roman'', Times, serif;">seven</font> to <font style="font-family: ''Times New Roman'', Times, serif;">ten</font> years. Buildings and building improvements are being depreciated over useful lives of <font style="font-family: ''Times New Roman'', Times, serif;">twenty</font> to <font style="font-family: ''Times New Roman'', Times, serif;">forty</font> years. Construction in progress is not depreciated until the assets are placed in service. The estimated cost to complete construction in progress at December 31, 2013 was approximately $<font style="font-family: ''Times New Roman'', Times, serif;">35,541</font>. Depreciation of capital lease assets is included in total depreciation expense. Depreciation expense was $<font style="font-family: ''Times New Roman'', Times, serif;">155,064</font>, $<font style="font-family: ''Times New Roman'', Times, serif;">153,801</font>, and $<font style="font-family: ''Times New Roman'', Times, serif;">165,022</font> for the years ended December 31, 2013, 2012, and 2011, respectively.&#160; Gains and losses on the disposal of assets which do not qualify for presentation as discontinued operations are included in the determination of operating margin (within selling, general, and administrative expenses).&#160; Individually material gains and losses on disposal are separately disclosed in the notes to the consolidated financial statements.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Goodwill and Other Intangible Assets</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Goodwill and indefinite-lived intangible assets are not amortized but rather are tested for impairment at least annually. The required annual impairment tests of goodwill and indefinite-lived intangible assets are completed as of the first day of the fourth fiscal quarter of each year.&#160; These tests are performed more frequently whenever events or changes in circumstances indicate that the assets might be impaired.&#160; Certain of the Company's tradenames have been assigned indefinite useful lives.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Definite-lived intangible assets are amortized over their estimated useful lives.&#160; Patents and acquired technology are being amortized over useful lives of <font style="font-family: ''Times New Roman'', Times, serif;">seven</font> to <font style="font-family: ''Times New Roman'', Times, serif;">twenty-five</font> years.&#160; Capitalized software is amortized over periods of <font style="font-family: ''Times New Roman'', Times, serif;">three</font> to <font style="font-family: ''Times New Roman'', Times, serif;">ten</font> years, primarily included in costs of products sold on the consolidated statements of operations.&#160; Customer relationships are amortized over useful lives of <font style="font-family: ''Times New Roman'', Times, serif;">five</font> to <font style="font-family: ''Times New Roman'', Times, serif;">twenty</font> years.&#160; Noncompete agreements are amortized over periods of <font style="font-family: ''Times New Roman'', Times, serif;">four</font> to <font style="font-family: ''Times New Roman'', Times, serif;">ten</font> years. The Company continually evaluates the reasonableness of the useful lives of these assets.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">GAAP prescribes a two-step quantitative method for determining goodwill impairment. The Company has the option of performing a qualitative assessment before performing the two-step quantitative impairment test. If it is determined, on the basis of qualitative factors, that the fair value of the reporting unit is not more likely than not less than the carrying amount, the two-step quantitative impairment test is not required. If it is determined that the fair value of the reporting unit is more likely than not less than the carrying amount, the two-step quantitative impairment test is required. In the first step, the Company determines the fair value of the reporting unit and compares that fair value to the net book value of the reporting unit. The fair value of the reporting unit is determined using various valuation techniques, including a comparable companies market multiple approach and a discounted cash flow analysis (an income approach).</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">If the net book value of the reporting unit were to exceed the fair value, the Company would then perform the second step of the quantitative impairment test, which requires allocation of the reporting unit's fair value to all of its assets and liabilities in a manner similar to a purchase price allocation, with any residual fair value being allocated to goodwill. An impairment charge will be recognized only when the implied fair value of a reporting unit's goodwill is less than its carrying amount.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company has the option of performing a qualitative assessment of the indefinite-lived intangible assets before performing a quantitative impairment test. The fair value of the tradenames is measured as the discounted cash flow savings realized from owning such tradenames and not having to pay a royalty for their use.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">There was no impairment identified through the annual impairment tests completed in 2013, 2012, or 2011.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Upon determining that an intangible asset classified as indefinite-lived is impaired, the Company reassesses the useful life of the impaired assets and begins to amortize the remaining carrying value over that useful life if it is determined that the asset no longer has an indefinite useful life.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;"><u>Note 1 &#8211; Summary of Significant Accounting (continued)</u></div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Impairment of Long-Lived Assets</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The carrying value of long-lived assets held-and-used, other than goodwill and indefinite-lived intangible assets, is evaluated when events or changes in circumstances indicate the carrying value may not be recoverable or the useful life has changed. The carrying value of a long-lived asset group is considered impaired when the total projected undiscounted cash flows from such asset group are separately identifiable and are less than the carrying value. In that event, a loss is recognized based on the amount by which the carrying value exceeds the fair market value of the long-lived asset group.&#160; Fair market value is determined primarily using present value techniques based on projected cash flows from the asset group.&#160; Losses on long-lived assets held-for-sale, other than goodwill and indefinite-lived intangible assets, are determined in a similar manner, except that fair market values are reduced for anticipated disposal costs.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Available-for-Sale Securities</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Other assets reported on the consolidated balance sheets include investments in marketable securities which are classified as available-for-sale. These assets include assets that are held in trust related to the Company's non-qualified pension and deferred compensation plans (see Note 11) and assets that are intended to fund a portion of the Company's other postretirement benefit obligations outside of the U.S. These assets are reported at fair value, based on quoted market prices as of the end of the reporting period. Unrealized gains and losses are reported, net of their related tax consequences, as a component of accumulated other comprehensive income in stockholders' equity until sold. At the time of sale the assets that are held in trust related to the Company's non-qualified pension and deferred compensation plans, any gains (losses) calculated by the specific identification method are recognized as a reduction (increase) to benefits expense, within selling, general, and administrative expenses.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Financial Instruments</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company uses financial instruments in the normal course of its business, including from time to time, derivative financial instruments. Additionally, from time to time, the Company enters into contracts that are not considered derivative financial instruments in their entirety, but that include embedded derivative features. The convertible senior debentures due 2040, due 2041, and due 2042 contain embedded derivatives that are recorded at fair value on a recurring basis. At December 31, 2013 and 2012, outstanding derivative instruments were not material.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company reports derivative instruments on the consolidated balance sheet at their fair values.&#160; The accounting for changes in fair value depends upon the purpose of the derivative instrument and whether it is designated and qualifies for hedge accounting. For instruments designated as hedges, the effective portion of gains or losses is reported in other comprehensive income (loss) and the ineffective portion, if any, is reported in current period net earnings (loss).&#160; Changes in the fair values of derivative instruments that are not designated as hedges, including embedded derivatives, are recorded in current period net earnings (loss).</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company has in the past used interest rate swap agreements to modify variable rate obligations to fixed rate obligations, thereby reducing exposure to market rate fluctuations. The Company has also in the past used financial instruments such as forward exchange contracts to hedge a portion, but not all, of its firm commitments denominated in foreign currencies.&#160; The purpose of the Company's foreign currency management is to minimize the effect of exchange rate changes on actual cash flows from foreign currency denominated transactions.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Other financial instruments include cash and cash equivalents, short-term investments, accounts receivable, and notes payable. The carrying amounts of these financial instruments reported in the consolidated balance sheets approximate their fair values due to the short-term nature of these assets and liabilities.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;"><u>Note 1 &#8211; Summary of Significant Accounting (continued)</u></div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Foreign Currency Translation</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company has significant operations outside of the United States. The Company finances its operations in Europe and certain locations in Asia in local currencies, and accordingly, these subsidiaries utilize the local currency as their functional currency. The Company's operations in Israel and most significant locations in Asia are largely financed in U.S. dollars, and accordingly, these subsidiaries utilize the U.S. dollar as their functional currency.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">For those subsidiaries where the local currency is the functional currency, assets and liabilities in the consolidated balance sheets have been translated at the rate of exchange as of the balance sheet date. Translation adjustments do not impact the consolidated results of operations and are reported as a separate component of stockholders' equity. Revenues and expenses are translated at the average exchange rate for the year. While the translation of revenues and expenses into U.S. dollars does not directly impact the statement of operations, the translation effectively increases or decreases the U.S. dollar equivalent of revenues generated and expenses incurred in those foreign currencies.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">For those foreign subsidiaries where the U.S. dollar is the functional currency, all foreign currency financial statement amounts are remeasured into U.S. dollars. Exchange gains and losses arising from remeasurement of foreign currency-denominated monetary assets and liabilities are included in the consolidated results of operations.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Stock-Based Compensation</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Compensation costs related to stock-based payment transactions are recognized in the consolidated financial statements. The amount of compensation cost is measured based on the grant-date fair value of the equity (or liability) instruments issued. Compensation cost is recognized over the period that an officer, employee, or non-employee director provides service in exchange for the award. For options and restricted stock units subject to graded vesting, the Company recognizes expense over the service period for each separately vesting portion of the award as if the award was, in-substance, multiple awards.&#160; The Company recognizes compensation cost for restricted stock units ("RSUs") that are expected to vest and records cumulative adjustments in the period that the expectation changes.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Commitments and Contingencies</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Liabilities for loss contingencies, including environmental remediation costs, arising from claims, assessments, litigation, fines, penalties, and other sources are recorded when it is probable that a liability has been incurred and the amount of the assessment and/or remediation can be reasonably estimated. The costs for a specific environmental remediation site are discounted if the aggregate amount of the obligation and the amount and timing of the cash payments for that site are fixed or reliably determinable based upon information derived from the remediation plan for that site. Accrued liabilities for environmental matters recorded at December 31, 2013 and 2012 do not include claims against third parties.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Restructuring and Severance Costs</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Restructuring and severance costs reflect charges resulting from cost reduction programs implemented by the Company.&#160; Restructuring and severance costs include exit costs, severance benefits pursuant to an on-going arrangement, voluntary termination compensation under a defined program, and any related pension curtailment and settlement charges.</div><div style="text-align: justify; font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company recognizes expense for one-time benefits only after management has committed to a plan, the plan is sufficiently detailed to provide the number, classification, and location of employees to be terminated as well as the expected completion date, the plan has been sufficiently communicated to employees such that they are able to determine the type and amount of benefits they will receive if terminated, and it is unlikely that the plan will be significantly changed or withdrawn. If an employee is not required to render service beyond a minimum retention period, the Company recognizes expense once the aforementioned criteria have been met. If an employee is required to render service beyond a minimum retention period, the Company recognizes expense over the period that the employee is required to render future service.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;"><u>Note 1 &#8211; Summary of Significant Accounting (continued)</u></div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company recognizes expense for on-going benefit arrangements when the liability is reasonably estimable and considered probable.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company recognizes expense for voluntary separation / early retirement when the employee delivers an irrevocable voluntary termination notice pursuant to a defined company program.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company recognizes other exit costs as incurred.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Self-Insurance Programs</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company uses a combination of insurance and self-insurance mechanisms to provide for the potential liabilities for workers' compensation, general liability, property damage, director and officers' liability, and vehicle liability.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">As part of its self-insurance program for certain risks, the Company created a wholly-owned captive insurance entity in 2007. At December 31, 2013, the captive insurance entity provides only property and general liability insurance, although it is licensed to also provide casualty and directors' and officers' insurance. The captive insurance entity had no amounts accrued for outstanding claims at December 31, 2013 and 2012.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">Certain cash and investments held by the captive insurance entity are restricted primarily for the purpose of potential insurance claims. Restricted cash of $<font style="font-family: ''Times New Roman'', Times, serif;">7,927</font> and $<font style="font-family: ''Times New Roman'', Times, serif;">7,752</font> is included in other noncurrent assets at December 31, 2013 and 2012, respectively, representing required statutory reserves of the captive insurance entity.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Convertible Debentures</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">The Company separately accounts for the liability and equity components of convertible debt instruments that may be settled in cash in a manner that reflects the Company's nonconvertible debt borrowing rate. The liability component at issuance is recognized at fair value, based on the fair value of a similar instrument that does not have a conversion feature. A discount is recorded if debentures are issued at a coupon rate which is below the rate of a similar instrument that did not have a conversion feature at issuance.&#160; The equity component is based on the excess of the principal amount of the debentures over the fair value of the liability component, after adjusting for an allocation of debt issuance costs and the deferred tax impact, and is recorded as capital in excess of par. Debt discounts are amortized as additional non-cash interest expense over the expected life of the debt.</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-style: italic; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt; font-weight: bold;">Recently Adopted Accounting Guidance</div><div style="font-size: 12pt;"><br /></div><div style="text-align: justify; font-family: ''Times New Roman'', Times, serif; color: #000000; font-size: 12pt;">In February 2013, the FASB issued Accounting Standards Update ("ASU") No. 2013-02, <font style="font-style: italic; font-family: ''Times New Roman'', Times, serif;">Comprehensive Income (Topic 220), Reporting of Amounts Reclassified Out of Accumulated Other Comprehensive Income</font>. The ASU adds new disclosure requirements for items reclassified out of accumulated other comprehensive income. The ASU does not amend any existing requirements for reporting net income or other comprehensive income in the financial statements. The ASU is effective for the Company for interim and annual periods beginning after January 1, 2013. Vishay adopted the ASU on January 1, 2013. 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font-size: 12pt; vertical-align: top;">&#160;</td></tr><tr><td valign="bottom" style="font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt; font-weight: bold;">Included in "Other Assets":</div></td><td valign="bottom" style="font-size: 12pt; vertical-align: bottom;">&#160;</td><td colspan="2" valign="bottom" style="font-size: 12pt; vertical-align: bottom;"><div></div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="font-size: 12pt; vertical-align: bottom;">&#160;</td><td colspan="2" valign="bottom" style="font-size: 12pt; vertical-align: bottom;"><div></div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">U.S. pension plans</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-weight: bold;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000; font-weight: bold;">15,708</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">-</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td></tr><tr><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Non-U.S. pension plans</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">257</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">143</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td></tr><tr><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Total included in other assets</div></td><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">15,965</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">143</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt; font-weight: bold;">Included in "Accrued Payroll":</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">U.S. pension plans</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(51</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(83</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Non-U.S. pension plans</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(7,644</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(6,997</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">U.S. other postretirement plans</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(638</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(637</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Total included in accrued payroll</div></td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(8,333</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(7,717</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt; font-weight: bold;">Accrued pension and other postretirement costs:</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">U.S. pension plans</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(35,397</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(89,116</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="background-color: #cceeff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">Non-U.S. pension plans</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(224,280</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(229,014</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td></tr><tr><td valign="bottom" style="background-color: #ffffff; width: 76%; font-size: 12pt; vertical-align: top;"><div style="text-align: left; text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;">U.S. other postretirement plans</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">(6,703</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">)</div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: top;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: top;"><div style="font-family: ''Times New Roman'', Times, serif; 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font-size: 12pt; vertical-align: bottom; font-weight: bold;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">4,264</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="text-align: right; padding-bottom: 4px; background-color: #ffffff; width: 40%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">Total</div></td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; 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background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 40%; font-size: 12pt; vertical-align: bottom;"><div style="text-indent: -7.2pt; font-family: ''Times New Roman'', Times, serif; color: #000000; margin-left: 7.2pt;"><u>2012</u></div></td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td></tr><tr><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 40%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">Due 2040</div></td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; 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width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">88</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; 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background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">843</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">45</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">7</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; 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color: #000000;">1,978</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">510</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">32</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">46</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 2px; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: left; background-color: #cceeff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 2px solid; text-align: right; background-color: #cceeff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">2,566</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; 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padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">3,028</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">165</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; background-color: #ffffff; width: 9%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">81</div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="padding-bottom: 4px; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;">&#160;</td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: left; background-color: #ffffff; width: 1%; font-size: 12pt; vertical-align: bottom;"><div style="font-family: ''Times New Roman'', Times, serif; color: #000000;">$</div></td><td valign="bottom" style="border-bottom: #000000 4px double; text-align: right; 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Accumulated Other Comprehensive Income (Loss) (Tables)
12 Months Ended
Dec. 31, 2013
Accumulated Other Comprehensive Income (Loss) [Abstract]  
Summary of components of other comprehensive income
The cumulative balance of each component of other comprehensive income (loss) and the income tax effects allocated to each component are as follows:

 
 
Pension and
other post-retirement
actuarial items
  
Currency translation adjustment
  
Unrealized gain (loss) on
available-for-sale securities
  
Total
 
 
 
  
  
  
 
Balance at January 1, 2011
 
$
(119,990
)
 
$
179,335
  
$
1,146
  
$
60,491
 
Other comprehensive income before reclassifications
  
(54,053
)
  
(26,441
)
  
(1,622
)
 
$
(82,116
)
Tax effect
  
16,975
   
-
   
568
  
$
17,543
 
Other comprehensive income before reclassifications, net of tax
  
(37,078
)
  
(26,441
)
  
(1,054
)
 
$
(64,573
)
Amounts reclassified out of AOCI
  
12,192
   
-
   
(17
)
 
$
12,175
 
Tax effect
  
(4,321
)
  
-
   
6
  
$
(4,315
)
Amounts reclassified out of AOCI, net of tax
  
7,871
   
-
   
(11
)
 
$
7,860
 
Net comprehensive income
 
$
(29,207
)
 
$
(26,441
)
 
$
(1,065
)
 
$
(56,713
)
Balance at December 31, 2011
 
$
(149,197
)
 
$
152,894
  
$
81
  
$
3,778
 
Other comprehensive income before reclassifications
  
(57,072
)
  
14,567
   
1,834
  
$
(40,671
)
   Tax effect
  
16,626
   
-
   
(642
)
 
$
15,984
 
Other comprehensive income before reclassifications, net of tax
  
(40,446
)
  
14,567
   
1,192
  
$
(24,687
)
Amounts reclassified out of AOCI
  
16,059
   
-
   
-
  
$
16,059
 
Tax effect
  
(5,372
)
  
-
   
-
  
$
(5,372
)
Amounts reclassified out of AOCI, net of tax
  
10,687
   
-
   
-
  
$
10,687
 
Net comprehensive income
 
$
(29,759
)
 
$
14,567
  
$
1,192
  
$
(14,000
)
Balance at December 31, 2012
 
$
(178,956
)
 
$
167,461
  
$
1,273
  
$
(10,222
)
Other comprehensive income before reclassifications
  
52,545
   
23,537
   
913
  
$
76,995
 
Tax effect
  
(16,334
)
  
-
   
(299
)
 
$
(16,633
)
Other comprehensive income before reclassifications, net of tax
  
36,211
   
23,537
   
614
  
$
60,362
 
Amounts reclassified out of AOCI
  
19,112
   
-
   
(2,019
)
 
$
17,093
 
Tax effect
  
(6,285
)
  
-
   
686
  
$
(5,599
)
Amounts reclassified out of AOCI, net of tax
  
12,827
   
-
   
(1,333
)
 
$
11,494
 
Net comprehensive income
 
$
49,038
  
$
23,537
  
$
(719
)
 
$
71,856
 
Balance at December 31, 2013
 
$
(129,918
)
 
$
190,998
  
$
554
  
$
61,634
 



XML 20 R54.htm IDEA: XBRL DOCUMENT v2.4.0.8
Long-Term Debt (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
12 Months Ended 12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2013
Exchangeable Unsecured Notes, Due 2102 [Member]
Dec. 31, 2012
Exchangeable Unsecured Notes, Due 2102 [Member]
Jul. 05, 2010
Exchangeable Unsecured Notes, Due 2102 [Member]
Dec. 31, 2013
Convertible Senior Debentures, Due 2040 [Member]
Dec. 31, 2012
Convertible Senior Debentures, Due 2040 [Member]
Dec. 31, 2011
Convertible Senior Debentures, Due 2040 [Member]
Dec. 31, 2013
Convertible Senior Debentures, Due 2041 [Member]
Dec. 31, 2012
Convertible Senior Debentures, Due 2041 [Member]
Dec. 31, 2011
Convertible Senior Debentures, Due 2041 [Member]
Dec. 31, 2013
Convertible Senior Debentures 2042 [Member]
Dec. 31, 2012
Convertible Senior Debentures 2042 [Member]
Dec. 31, 2013
Maximum [Member]
Dec. 31, 2013
Minimum [Member]
Line of Credit Facility [Line Items]                                
Maximum borrowing capacity $ 640,000                              
Line of Credit Facility, Initiation Date Aug. 08, 2013                              
Expiration date Aug. 08, 2018                              
Maximum incremental revolving commitments 50,000                              
Interest rate description Borrowings under the Credit Facility bear interest at the London Interbank Offered Rate (“LIBOR”) plus an interest margin. The applicable interest margin is based on the Company's leverage ratio. Based on the Company's current leverage ratio, borrowings bear interest at LIBOR plus 1.75%. The interest rate on the Company’s borrowings will increase to LIBOR plus 2.00% if the Company’s leverage ratio equals or exceeds 2.50 to 1 and will decrease to LIBOR plus 1.50% if the Company’s leverage ratio decreases below 1.50 to 1. Vishay is also required to pay facility fees on the entire commitment amount based on the Company's leverage ratio. Based on the Company's current leverage ratio, the facility fee is 0.35% per annum. Such facility fee will increase to 0.50% per annum if the Company’s leverage ratio equals or exceeds 2.50 to 1 and will decrease to 0.30% per annum if the leverage ratio decreases below 1.50 to 1.                              
Basis spread on variable rate (in hundredths) 1.75%                           2.00% 1.50%
Commitment fees (in hundredths) 0.35%                           0.50% 0.30%
Basis increase upon leverage ratio decrease (in hundredths)                             2.50 1.50
Covenant terms The Credit Facility permits the Company to repurchase shares of its common stock or pay cash dividends up to a permitted capacity, conditioned upon Vishay maintaining (i) a pro forma leverage ratio of 2.75 to 1.00, (ii) a pro forma interest expense coverage ratio of 2.00 to 1.00, and (iii) $300,000 of available liquidity, as defined in the Credit Facility. The permitted capacity to repurchase shares of the Company's outstanding common stock or pay cash dividends under the Credit Facility increases each quarter by an amount equal to 20% of net income. At December 31, 2013, the Credit Facility allows the Company to repurchase its common stock or pay cash dividends up to $204,596 (See Note 7). The amount and timing of any future stock repurchases or cash dividends remains subject to authorization of the Company's Board of Directors.                              
Available liquidity 300,000                              
Line of Credit Facility, Covenant Compliance The Credit Facility also contains customary events of default, including, but not limited to, failure to pay principal or interest, failure to pay or default under other material debt, material misrepresentation or breach of warranty, violation of certain covenants, a change of control, the commencement of bankruptcy proceedings, the insolvency of Vishay or certain of its significant subsidiaries, and the rendering of a judgment in excess of $25,000 against Vishay or certain of its significant subsidiaries. Upon the occurrence of an event of default under the Credit Facility, the Company's obligations under the credit facility may be accelerated and the lending commitments under the credit facility terminated.                              
Permitted stock repurchase or cash dividend payment capacity under credit facility 204,596                              
Available borrowing capacity 518,345 431,295                            
Letters of credit outstanding 7,655 7,705                            
Committed and uncommitted short-term credit lines 27,400 18,200                            
Credit facility accelerated repayment minimum judgement 25,000                              
Debt Instrument [Line Items]                                
Long-term debt 364,911 392,931                            
Convertible Debt, Noncurrent             101,846 100,166   52,264 51,399   58,159 57,324    
Exchangeable unsecured notes, due 2102       38,642 95,042                      
Credit facility 114,000 89,000                            
Less current portion 0 0                            
Long-term debt, less current portion 364,911 392,931                            
Debt Instruments [Abstract]                                
Convertible senior debentures issuance date             Nov. 09, 2010     May 13, 2011     May 31, 2012      
Debt maturity date             Nov. 15, 2040     May 15, 2041     Jun. 01, 2042      
Stated rate of interest on debt (in hundredths)             2.25%     2.25%     2.25%      
Effective rate of interest on convertible senior debentures (in hundredths)             8.00%     8.375%     7.50%      
Debt instrument percentage of conversion price (in hundredths)             130.00%     130.00%     130.00%      
Debt Instrument Effective Conversion Price Amount       $ 15.39     $ 18.04     $ 24.73     $ 15.35      
Debt instrument, Percentage of sale price of common stock (in hundredths)             98.00%     98.00%       98.00%    
Debt instrument, initial conversion shares of common stock (shares per $1000 principal)             72.0331     52.5659     84.6937      
Convertible senior debentures call date             Nov. 20, 2020     May 20, 2021     Jun. 07, 2022      
Principal amount of notes exchanged       56,400                        
Common shares issued for conversion of exchangeable notes       3,664,729                        
Debt instrument, initial conversion price (in dollars per share)             $ 13.88     $ 19.02     $ 11.81      
Liability and equity components of convertible debentures [Abstract]                                
Principal amount of the debentures 575,000 575,000   38,642   105,000 275,000 275,000   150,000 150,000   150,000 150,000    
Unamortized discount (363,768) (367,414)         (173,645) (175,456)   (98,085) (99,000)   (92,038) (92,958)    
Embedded derivative 1,037 1,303         491 622   349 399   197 282    
Carrying value of liability component 212,269 208,889         101,846 100,166   52,264 51,399   58,159 57,324    
Equity component - net carrying value 230,214 230,214         110,094 110,094   62,246 62,246   57,874 57,874    
Interest expense related to debentures [Abstract]                                
Contractual coupon interest 12,938 11,541 8,316       6,188 6,188 6,188 3,375 3,375 2,128 3,375 1,978    
Non-cash amortization of debt discount 3,646 3,028 2,046       1,811 1,675 1,548 915 843 498 920 510    
Non-cash amortization of deferred financing costs 189 165 117       88 88 88 47 45 29 54 32    
Non-cash change in value of derivative liability (266) 81 456       (131) 28 275 (50) 7 181 (85) 46    
Total interest expense related to the debentures 16,507 14,815 10,935       7,956 7,979 8,099 4,287 4,270 2,836 4,264 2,566    
Number of shares of common stock the Notes are exchangeable into (in shares)       2,511,742                        
Debt instrument percentage of conversion price (in hundredths)             130.00%     130.00%     130.00%      
Aggregate annual maturities of long-term debt [Abstract]                                
2014 0                              
2015 0                              
2016 0                              
2017 0                              
2018 114,000                              
Thereafter 613,642                              
Interest paid $ 17,647 $ 16,578 $ 14,084                          
XML 21 R48.htm IDEA: XBRL DOCUMENT v2.4.0.8
Summary of Quarterly Financial Information (Unaudited) (Tables)
12 Months Ended
Dec. 31, 2013
Summary of Quarterly Financial Information (Unaudited) [Abstract]  
Quarterly Financial Information

 
 
2013
  
2012
 
 
 
First
  
Second
  
Third
  
Fourth
  
First
  
Second
  
Third
  
Fourth
 
 
 
  
  
  
  
  
  
  
 
Statement of Operations data:
 
  
  
  
  
  
  
  
 
Net revenues
 
$
554,254
  
$
597,665
  
$
602,890
  
$
616,170
  
$
538,547
  
$
588,199
  
$
572,781
  
$
530,570
 
Gross profit
  
136,734
   
142,857
   
143,220
   
144,449
   
136,709
   
147,619
   
133,554
   
108,791
 
Operating income
  
45,605
   
51,890
   
53,153
   
47,034
   
50,345
   
72,883
   
44,459
   
21,514
 
Net earnings
  
29,141
   
31,485
   
32,869
   
30,274
   
34,075
   
45,830
   
22,489
   
21,137
 
Net earnings attributable to
                                
noncontrolling interests
  
210
   
176
   
150
   
253
   
263
   
159
   
209
   
162
 
Net earnings attributable to
                                
Vishay stockholders
  
28,931
   
31,309
   
32,719
   
30,021
   
33,812
   
45,671
   
22,280
   
20,975
 
 
                                
Per Share data:
                                
Basic earnings per share
                                
attributable to Vishay stockholders (a)
 
$
0.20
  
$
0.22
  
$
0.23
  
$
0.20
  
$
0.22
  
$
0.30
  
$
0.16
  
$
0.15
 
 
                                
Diluted earnings per share
                                
attributable to Vishay stockholders (a)
 
$
0.19
  
$
0.21
  
$
0.22
  
$
0.20
  
$
0.21
  
$
0.29
  
$
0.15
  
$
0.14
 
 
                                
Certain Items Recorded during the Quarters:
                                
Operating income (loss):
                                
Restructuring and severance costs
 
$
-
  
$
-
  
$
-
  
$
(2,814
)
 
$
-
  
$
-
  
$
-
  
$
-
 
Gain on sale of property
 
$
-
  
$
-
  
$
-
  
$
-
  
$
-
  
$
12,153
  
$
-
  
$
-
 
Executive compensation  credit
 
$
-
  
$
1,778
  
$
-
  
$
-
  
$
-
  
$
-
  
$
-
  
$
-
 
 
                                
Discrete tax expense (benefit)
 
$
(1,330
)
 
$
-
  
$
(2,867
)
 
$
-
  
$
-
  
$
-
  
$
-
  
$
(4,036
)
 
                                
Quarter end date (b)
 
March 30
  
June 29
  
Sept. 28
  
Dec. 31
  
March 31
  
June 30
  
Sept. 29
  
Dec. 31
 

(a) May not add due to differences in weighted average share counts.
(b) The Company reports interim financial information for 13-week periods beginning on a Sunday and ending on a Saturday, except for the first fiscal quarter, which always begins on January 1, and the fourth fiscal quarter, which always ends on December 31.

 
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Summary of Quarterly Financial Information (Unaudited) (Details) (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2013
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 31, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Statement of Operations data:                      
Net revenues $ 616,170 $ 602,890 $ 597,665 $ 554,254 $ 530,570 $ 572,781 $ 588,199 $ 538,547 $ 2,370,979 $ 2,230,097 $ 2,594,029
Gross profit 144,449 143,220 142,857 136,734 108,791 133,554 147,619 136,709 567,260 526,673 719,986
Operating Income 47,034 53,153 51,890 45,605 21,514 44,459 72,883 50,345 197,682 189,201 346,601
Net earnings 30,274 32,869 31,485 29,141 21,137 22,489 45,830 34,075 123,769 123,531 239,997
Net earnings (loss) attributable to noncontrolling interests 253 150 176 210 162 209 159 263 789 793 1,176
Net earnings (loss) attributable to Vishay stockholders 30,021 32,719 31,309 28,931 20,975 22,280 45,671 33,812 122,980 122,738 238,821
Per Share data:                      
Basic earnings per share attributable to Vishay stockholders: $ 0.20 [1] $ 0.23 [1] $ 0.22 [1] $ 0.20 [1] $ 0.15 [1] $ 0.16 [1] $ 0.30 [1] $ 0.22 [1] $ 0.85 $ 0.82 $ 1.49
Diluted earnings per share attributable to Vishay stockholders: $ 0.20 [1] $ 0.22 [1] $ 0.21 [1] $ 0.19 [1] $ 0.14 [1] $ 0.15 [1] $ 0.29 [1] $ 0.21 [1] $ 0.81 $ 0.79 $ 1.42
Operating income (loss):                      
Restructuring and severance costs (2,814) 0 0 0 0 0 0 0 (2,814)    
Gain on Sale of Property 0 0 0 0 0 0 12,153 0 0 12,153 0
Executive compensation credit 0 0 1,778 0 0 0 0 0 (1,778) 0 5,762
Discrete tax expense (benefit) $ 0 $ (2,867) $ 0 $ (1,330) $ (4,036) $ 0 $ 0 $ 0 $ (573) $ 1,969 $ 10,206
Quarter end date Dec. 31, 2013 [2] Sep. 28, 2013 [2] Jun. 29, 2013 [2] Mar. 30, 2013 [2] Dec. 31, 2012 [2] Sep. 29, 2012 [2] Jun. 30, 2012 [2] Mar. 31, 2012 [2] Dec. 31, 2013    
Number of weeks in an interim reporting period                 P91D    
[1] May not add due to differences in weighted average share counts.
[2] The Company reports interim financial information for 13-week periods beginning on a Sunday and ending on a Saturday, except for the first fiscal quarter, which always begins on January 1, and the fourth fiscal quarter, which always ends on December 31.

XML 24 R55.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stockholders' Equity (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
12 Months Ended 12 Months Ended 12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2002
Feb. 03, 2014
Dec. 31, 2013
Dec. 31, 2013
Class B Convertible Common Stock [Member]
Dec. 31, 2013
Common Stock [Member]
Dec. 31, 2013
Common stock options outstanding [Member]
Dec. 31, 2013
Restricted stock units outstanding [Member]
Dec. 31, 2013
Available to grant 2007 Stock Incentive Program - [Member]
Dec. 31, 2013
Phantom stock units outstanding [Member]
Dec. 31, 2013
Phantom stock units available to grant [Member]
Dec. 31, 2013
Exchangeable Unsecured Notes, Due 2102 [Member]
Dec. 31, 2013
Convertible Senior Debentures, Due 2040 [Member]
Dec. 31, 2013
Convertible Senior Debentures, Due 2041 [Member]
Dec. 31, 2013
Convertible Senior Debentures 2042 [Member]
Dec. 31, 2013
Conversion of Class B common stock [Member]
Class of Stock [Line Items]                                    
Dividends Payable         $ 0.06                          
Voting rights per share             10 1                    
Conversion feature             one-for-one                      
Common stock shares repurchased (in shares) 13,948,687 8,620,689 21,721,959                              
Aggregate cost of common stock repurchased $ 150,000 $ 150,000 $ 275,000                              
Warrants issued       8,823,529                            
Permitted stock repurchase or cash dividend payment capacity under credit facility           $ 204,596                        
Shares reserved (in shares)           62,363,582     109,000 1,059,000 766,000 107,000 75,000 2,511,742 22,285,258 [1] 8,870,490 [1] 14,450,865 [1] 12,129,227
Number of shares debentures are convertible into (in shares)                             19,809,103 7,884,885 12,704,055  
[1] The convertible senior debentures due 2040, due 2041, and due 2042 are convertible into 19,809,103, 7,884,885, and 12,704,055 shares, respectively, of Vishay common stock. The Company has reserved the maximum amount of shares to be delivered upon a make-whole fundamental change as defined in the indentures governing the debentures.
XML 25 R46.htm IDEA: XBRL DOCUMENT v2.4.0.8
Additional Cash Flow Information (Tables)
12 Months Ended
Dec. 31, 2013
Additional Cash Flow Information [Abstract]  
Changes in operating assets and liabilities
Changes in operating assets and liabilities, net of effects of businesses acquired consists of the following:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Accounts receivable
 
$
(16,870
)
 
$
33,004
  
$
61,918
 
Inventories
  
(31,246
)
  
(186
)
  
(13,829
)
Prepaid expenses and other current assets
  
19,160
   
2,977
   
(14,273
)
Accounts payable
  
11,087
   
(9,408
)
  
(11,468
)
Other current liabilities
  
7,860
   
(31,539
)
  
(74,851
)
Net change in operating assets and liabilities
 
$
(10,009
)
 
$
(5,152
)
 
$
(52,503
)


XML 26 R33.htm IDEA: XBRL DOCUMENT v2.4.0.8
Restructuring and Related Activities (Tables)
12 Months Ended
Dec. 31, 2013
Restructuring and Related Activities [Abstract]  
Restructuring and Related Expenses
The following table summarizes restructuring and related expenses which were recognized during the year ended December 31, 2013 and reported on a separate line in the accompanying consolidated statement of operations:

MOSFETs Enhanced Competitiveness Program
 
$
2,328
 
Voluntary Separation / Retirement Program
  
486
 
Total
  
2,814
 


See Note 4 for restructuring and severance costs segment information.


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Other Accrued Expenses (Details) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2013
Dec. 31, 2012
Other Accrued Expenses (Tables) [Abstract]    
Sales returns and allowances $ 34,465 $ 32,703
Goods received, not yet invoiced 36,692 29,690
Other 75,513 86,267
Total other accrued expenses $ 146,670 $ 148,660
XML 29 R25.htm IDEA: XBRL DOCUMENT v2.4.0.8
Additional Cash Flow Information
12 Months Ended
Dec. 31, 2013
Additional Cash Flow Information [Abstract]  
Additional Cash Flow Information
Note 17 – Additional Cash Flow Information

Changes in operating assets and liabilities, net of effects of businesses acquired consists of the following:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Accounts receivable
 
$
(16,870
)
 
$
33,004
  
$
61,918
 
Inventories
  
(31,246
)
  
(186
)
  
(13,829
)
Prepaid expenses and other current assets
  
19,160
   
2,977
   
(14,273
)
Accounts payable
  
11,087
   
(9,408
)
  
(11,468
)
Other current liabilities
  
7,860
   
(31,539
)
  
(74,851
)
Net change in operating assets and liabilities
 
$
(10,009
)
 
$
(5,152
)
 
$
(52,503
)


XML 30 R50.htm IDEA: XBRL DOCUMENT v2.4.0.8
Acquisition and Divestiture Activities (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Business Acquisitions      
Acquisition of business, net of cash acquired $ 23,034 $ 85,493 $ 19,335
MCB Industrie [Member]
     
Business Acquisitions      
Acquisition of business, net of cash acquired 23,034    
Finite-lived Intangible Assets Acquired 5,433    
Goodwill related to acquisitions 7,985    
HiRel Systems [Member]
     
Business Acquisitions      
Acquisition of business, net of cash acquired   85,493  
Finite-lived Intangible Assets Acquired   43,950  
Goodwill related to acquisitions   25,815  
Huntington Electric Inc [Member]
     
Business Acquisitions      
Acquisition of business, net of cash acquired     19,335
Goodwill related to acquisitions     $ 9,051
XML 31 R42.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies (Tables)
12 Months Ended
Dec. 31, 2013
Commitments and Contingencies [Abstract]  
Future minimum lease payments for operating leases
Future minimum lease payments for operating leases with initial or remaining noncancelable lease terms in excess of one year are as follows:

2014
 
$
26,943
 
2015
  
21,776
 
2016
  
16,399
 
2017
  
12,336
 
2018
  
1,837
 
Thereafter
  
2,798
 

Estimated purchase commitments under foundry agreements
The Company estimates its total purchase commitments under all long-term foundry agreements as follows:

2014
 
$
40,319
 
2015
  
45,030
 
2016
  
46,303
 
2017
  
35,461
 
2018
  
-
 

XML 32 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Income (Expense) (Tables)
12 Months Ended
Dec. 31, 2013
Other Income (Expense) [Abstract]  
Summary of other Income (expense)
The caption "Other" on the consolidated statements of operations consists of the following:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Foreign exchange gain (loss)
 
$
(993
)
 
$
(3,654
)
 
$
(8,249
)
Interest income
  
4,566
   
7,626
   
10,386
 
Sale of investments
  
-
   
-
   
1,396
 
Other
  
(1,720
)
  
(532
)
  
259
 
 
 
$
1,853
  
$
3,440
  
$
3,792
 

XML 33 R52.htm IDEA: XBRL DOCUMENT v2.4.0.8
Restructuring and Related Activities (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended 12 Months Ended
Dec. 31, 2013
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 31, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2012
Belguim [Member]
Dec. 31, 2013
Belguim [Member]
Apr. 03, 2012
Belguim [Member]
Dec. 31, 2013
MOSFETs Enhanced Competitiveness Program [Member]
Dec. 31, 2013
Voluntary Separation/Retirement Program [Member]
Restructuring Cost and Reserve [Line Items]                                
Restructuring and related expense $ 2,814 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 2,814           $ 2,328 $ 486
Restructuring Reserve [Roll Forward]                                
Restructuring and severance costs                 2,814 0 0          
Term of restructuring program                             2 years  
Expected Restructuring Costs                 32,000           16,000  
Long-Lived Assets [Line Items]                                
Accounts receivable, net 274,083       247,035       274,083 247,035     3,586      
Gain on Sale of Property 0 0 0 0 0 0 (12,153) 0 0 (12,153) 0 12,153        
Proceeds from sale of long lived assets held for sale                 4,681 10,241 2,162 3,406        
Sale price of long lived assets held for sale                           $ 14,200    
XML 34 R67.htm IDEA: XBRL DOCUMENT v2.4.0.8
Additional Cash Flow Information (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Changes in operating assets and liabilities, net of effect of businesses acquired [Abstract]      
Accounts receivable $ (16,870) $ 33,004 $ 61,918
Inventories (31,246) (186) (13,829)
Prepaid expenses and other current assets 19,160 2,977 (14,273)
Accounts payable 11,087 (9,408) (11,468)
Other current liabilities 7,860 (31,539) (74,851)
Net change in operating assets and liabilities $ (10,009) $ (5,152) $ (52,503)
XML 35 R61.htm IDEA: XBRL DOCUMENT v2.4.0.8
Share-Based Compensation (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Nov. 02, 2001
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]        
Stock-based compensation expense recognized $ 636 $ 3,544 $ 6,832  
Unrecognized Compensation Cost 9,636      
Expiration date of 2007 Stock Incentive Plan May 22, 2017      
Outstanding:        
Balance (in shares) 109,000 384,000 1,254,000  
Beginning Balance, weighted average exercise price (in dollars per share) $ 15.24 $ 15.40 $ 15.04  
Granted (in shares) 0 0 0  
Granted, weighted average exercise price (in dollars per share) $ 0 $ 0 $ 0  
Exercised (in shares) 0 (22,095) (650,621)  
Exercised, weighted average exercise price (in dollars per share) $ 0 $ 7.89 $ 14.87  
Cancelled or forfeited (in shares) 0 (253,000) (219,000)  
Cancelled or forfeited, weighted average exercise price (in dollars per share) $ 0 $ 16.12 $ 14.92  
Balance (in shares) 109,000 109,000 384,000  
Ending balance, weighted average exercise price (in dollars per share) $ 15.24 $ 15.24 $ 15.40  
Vested and expected to vest (in shares) 109,000 109,000 384,000  
Exercisable (in shares)        
Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercisable, Number 109,000 79,000 323,000  
Number of shares of Vishay common stock that could have been issued upon the exercise of former General Semiconductor options (in shares)       4,282,000
Weighted-average remaining contractual life of all exercisable options (in years) 3 years 2 months 23 days      
Stock price per share (in dollars per share) $ 13.26      
Share-based compensation arrangement by share-based payment award, options, exercisable, intrinsic value 17      
Intrinsic value under share based compensation scheme 0 110 1,693  
Unvested:        
Balance (in shares) 30,000 61,000 253,000  
Granted (in shares) 0 0 0  
Vested (in shares) (30,000) (31,000) (192,000)  
Balance (in shares) 0 30,000 61,000  
Beginning balance, weighted average exercise price of unvested options (in dollars) $ 10.14 $ 9.96 $ 9.33  
Granted, weighted average Grant-date fair value (in dollars per share) $ 0 $ 0 $ 0  
Vested, weighted average Grant-date fair value (in dollars per share) $ 10.14 $ 9.79 $ 9.13  
Ending balance, weighted average exercise price of unvested options (in dollars per share) $ 0 $ 10.14 $ 9.96  
Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range [Line Items]        
Options outstanding, number of options (in shares) 109,000      
Options outstanding, weighted average remaining contractual life (in years) 3 years 2 months 23 days      
Options outstanding, weighted average exercise price (in dollars per share) $ 15.24      
Options exercisable, number of options (in shares) 109,000      
Options exercisable, weighted average exercise price (in dollars per share) $ 15.24      
$11.54 - $12.90 [Member]
       
Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range [Line Items]        
Exercise price range, lower range limit (in dollars per share) $ 11.54      
Exercise price range, upper range limit (in dollars per share) $ 12.90      
Options outstanding, number of options (in shares) 32,000      
Options outstanding, weighted average remaining contractual life (in years) 2 years 10 months 6 days      
Options outstanding, weighted average exercise price (in dollars per share) $ 12.73      
Options exercisable, number of options (in shares) 32,000      
Options exercisable, weighted average exercise price (in dollars per share) $ 12.73      
$16.29 [Member]
       
Share-based Compensation, Shares Authorized under Stock Option Plans, Exercise Price Range [Line Items]        
Options outstanding, number of options (in shares) 77,000      
Options outstanding, weighted average remaining contractual life (in years) 3 years 4 months 20 days      
Options outstanding, weighted average exercise price (in dollars per share) $ 16.29      
Options exercisable, number of options (in shares) 77,000      
Options exercisable, weighted average exercise price (in dollars per share) $ 16.29      
Stock Options [Member]
       
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]        
Stock-based compensation expense recognized 18 73 (83)  
Unrecognized Compensation Cost 0      
Weighted Average Remaining Amortization Periods (in years) 0 years      
Restricted Stock Units (RSUs) [Member]
       
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]        
Stock-based compensation expense recognized 510 3,378 6,693  
Unrecognized Compensation Cost 9,636      
Weighted Average Remaining Amortization Periods (in years) 1 year 2 months 12 days      
Exercisable (in shares)        
Share Based Compensation Arrangement By Share Based Payment Award Equity Instruments Other Than Options Expected To Vest Outstanding Number Part One 570,000 1,040,000 891,000  
Outstanding:        
Balance (in shares) 1,316,000 891,000 634,000  
Granted (in shares) 374,000 437,000 423,000  
Vested (in shares) (598,000) (12,000) (154,000)  
Cancelled or forfeited (in shares) (33,000) 0 (12,000)  
Balance (in shares) 1,059,000 1,316,000 891,000  
Beginning balance, Weighted average grant-date fair value (in dollars per share) $ 12.53 $ 12.58 $ 9.61  
Granted, Weighted average grant-date fair value (in dollars per share) $ 12.76 $ 12.31 $ 16.57  
Vested, Weighted average grant-date fair value (in dollars per share) $ 10.92 $ 8.29 $ 11.25  
Cancelled or forfeited, Weighted average grant-date fair value (in dollars per share) $ 16.54 $ 0 $ 13.26  
Ending balance, Weighted average grant-date fair value (in dollars per share) $ 13.40 $ 12.53 $ 12.58  
Phantom Stock Units [Member]
       
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]        
Stock-based compensation expense recognized 108 93 222  
Unrecognized Compensation Cost 0      
Weighted Average Remaining Amortization Periods (in years) 0 years      
Maximum number of shares authorized under restricted stock, unrestricted stock, RSU's and stock options to officers, employees and non-employee directors (in shares) 300,000      
Exercisable (in shares)        
Available for future grants (in shares) 75,000 85,000 95,000  
Outstanding:        
Balance (in shares) 97,000 87,000 116,000  
Granted (in shares) 10,000 10,000 15,000  
Redeemed for common stock (in shares) 0 0 (44,000)  
Balance (in shares) 107,000 97,000 87,000  
Granted, Weighted average grant-date fair value (in dollars per share) $ 10.75 $ 9.33 $ 14.78  
Available for future grants (in shares) 75,000 85,000 95,000  
Performance Vested Restricted Stock Units [Member] | Not Expected to Vest [Member]
       
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]        
Unrecognized Compensation Cost $ 1,778      
Outstanding:        
Share-based Compensation Arrangement by Share-based Payment Award, Award Vesting Rights, Percentage 75.00%      
Performance Vested Restricted Stock Units [Member] | Scheduled to Vest January 1, 2014 [Member]
       
Exercisable (in shares)        
Share Based Compensation Arrangement By Share Based Payment Award Equity Instruments Other Than Options Not Expected To Vest Outstanding Number 102,000      
Share Based Compensation Arrangement By Share Based Payment Award Equity Instruments Other Than Options Expected To Vest Outstanding Number Part One 0      
Outstanding:        
Balance (in shares) 102,000      
Performance Vested Restricted Stock Units [Member] | Scheduled to Vest January 1, 2015 [Member]
       
Exercisable (in shares)        
Share Based Compensation Arrangement By Share Based Payment Award Equity Instruments Other Than Options Not Expected To Vest Outstanding Number 276,000      
Share Based Compensation Arrangement By Share Based Payment Award Equity Instruments Other Than Options Expected To Vest Outstanding Number Part One 0      
Outstanding:        
Balance (in shares) 276,000      
Performance Vested Restricted Stock Units [Member] | Scheduled to Vest January 1, 2016 [Member]
       
Exercisable (in shares)        
Share Based Compensation Arrangement By Share Based Payment Award Equity Instruments Other Than Options Not Expected To Vest Outstanding Number 111,000      
Share Based Compensation Arrangement By Share Based Payment Award Equity Instruments Other Than Options Expected To Vest Outstanding Number Part One 111,000      
Outstanding:        
Balance (in shares) 222,000      
1998 Stock Option Program [Member]
       
Outstanding:        
Balance (in shares) 99,000      
2007 Stock Incentive Plan [Member]
       
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]        
Maximum number of shares authorized under restricted stock, unrestricted stock, RSU's and stock options to officers, employees and non-employee directors (in shares) 3,000,000      
Exercisable (in shares)        
Available for future grants (in shares) 766,000      
Outstanding:        
Available for future grants (in shares) 766,000      
General Semiconductor plan [Member]
       
Exercisable (in shares)        
Conversion ratio (in hundredths)       0.563
XML 36 R47.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2013
Fair Value Measurements [Abstract]  
Schedule of fair Value, Assets and Liabilities Measured on Recurring basis
The following table provides the financial assets and liabilities carried at fair value measured on a recurring basis as of December 31, 2013 and 2012:

 
 
Total Fair Value
  
Level 1
  
Level 2
  
Level 3
 
 
 
  
  
  
 
December 31, 2013
 
  
  
  
 
Assets:
 
  
  
  
 
Assets held in rabbi trusts
 
$
36,992
  
$
24,064
  
$
12,928
  
$
-
 
Available for sale securities
 
$
7,356
   
7,356
   
-
   
-
 
U.S. Defined Benefit Pension Plan Assets:
                
Equity securities
 
$
51,666
   
51,666
   
-
   
-
 
Fixed income securities
 
$
241,827
   
194,777
   
47,050
   
-
 
Real Estate Investment Trust securities
 
$
1,969
   
1,969
   
-
   
-
 
Cash
 
$
171
   
171
   
-
   
-
 
Non - U.S. Defined Benefit Pension Plan Assets:
                
Equity securities
 
$
9,911
   
9,911
   
-
   
-
 
Fixed income securities
 
$
16,117
   
16,117
   
-
   
-
 
Cash
 
$
22,831
   
22,831
   
-
   
-
 
 
 
$
388,840
  
$
328,862
  
$
59,978
  
$
-
 
Liabilities:
                
Embedded derivative - convertible debentures due 2040
 
$
(491
)
  
-
   
-
   
(491
)
Embedded derivative - convertible debentures due 2041
 
$
(349
)
  
-
   
-
   
(349
)
Embedded derivative - convertible debentures due 2042
 
$
(197
)
  
-
   
-
   
(197
)
 
 
$
(1,037
)
 
$
-
  
$
-
  
$
(1,037
)
 
                
December 31, 2012
                
Assets:
                
Assets held in rabbi trusts
 
$
33,751
  
$
21,954
  
$
11,797
  
$
-
 
Available for sale securities
 
$
7,580
   
7,580
   
-
   
-
 
U.S. Defined Benefit Pension Plan Assets:
                
Equity securities
 
$
153,829
   
153,829
   
-
   
-
 
Fixed income securities
 
$
99,669
   
42,006
   
57,663
   
-
 
Real Estate Investment Trust securities
  
6,518
   
6,518
   
-
   
-
 
Cash
 
$
5,850
   
5,850
   
-
   
-
 
Non - U.S. Defined Benefit Pension Plan Assets:
                
Equity securities
 
$
8,888
   
8,888
   
-
   
-
 
Fixed income securities
 
$
14,437
   
14,437
   
-
   
-
 
Cash
 
$
23,255
   
23,255
   
-
   
-
 
 
 
$
353,777
  
$
284,317
  
$
69,460
  
$
-
 
Liabilities:
                
Embedded derivative - convertible debentures due 2040
 
$
(622
)
  
-
   
-
   
(622
)
Embedded derivative - convertible debentures due 2041
 
$
(399
)
  
-
   
-
   
(399
)
Embedded derivative - convertible debentures due 2042
 
$
(282
)
  
-
   
-
   
(282
)
 
 
$
(1,303
)
 
$
-
  
$
-
  
$
(1,303
)

XML 37 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
Summary of Significant Accounting Policies
12 Months Ended
Dec. 31, 2013
Summary of Significant Accounting Policies [Abstract]  
Summary of Significant Accounting Policies

Note 1 – Summary of Significant Accounting Policies

Use of Estimates

The preparation of financial statements in conformity with accounting principles generally accepted in the United States ("GAAP") requires management to make estimates and assumptions that affect the amounts reported in the consolidated financial statements and accompanying notes. Actual results could differ significantly from those estimates.

Principles of Consolidation

The consolidated financial statements include the accounts of Vishay and all of its subsidiaries in which a controlling financial interest is maintained.  For those consolidated subsidiaries in which the Company's ownership is less than 100 percent, the outside stockholders' interests are shown as noncontrolling interest in the accompanying consolidated balance sheets.  Investments in affiliates over which the Company has significant influence but not a controlling interest are carried on the equity basis. Investments in affiliates over which the Company does not have significant influence are accounted for by the cost method. All intercompany transactions, accounts, and profits are eliminated.

Subsequent Events

In connection with the preparation of the consolidated financial statements and in accordance with GAAP, the Company evaluated subsequent events after the balance sheet date of December 31, 2013 through the date these financial statements were issued through the filing of this annual report on Form 10-K with the U.S. Securities and Exchange Commission.

Revenue Recognition

The Company recognizes revenue on product sales during the period when the sales process is complete. This generally occurs when products are shipped to the customer in accordance with terms of an agreement of sale, title and risk of loss have been transferred, collectibility is reasonably assured, and pricing is fixed or determinable. For a small percentage of sales where title and risk of loss passes at point of delivery, the Company recognizes revenue upon delivery to the customer, assuming all other criteria for revenue recognition are met. The Company historically has had agreements with distributors that provided limited rights of product return. The Company has modified these arrangements to allow distributors a limited credit for unsaleable products, which it terms a "scrap allowance." Consistent with industry practice, the Company also has a "stock, ship and debit" program whereby it considers requests by distributors for credits on previously purchased products that remain in distributors' inventory, to enable the distributors to offer more competitive pricing. In addition, the Company has contractual arrangements whereby it provides distributors with protection against price reductions initiated by the Company after product is sold by the Company to the distributor and prior to resale by the distributor.

Note 1 – Summary of Significant Accounting (continued)

The Company records a reduction of revenue during each period, and records a related accrued expense for the period, based upon its estimate of product returns, scrap allowances, "stock, ship and debit" credits, and price protection credits that will be attributable to sales recorded through the end of the period. The Company makes these estimates based upon sales levels to its distributors during the period, inventory levels at the distributors, current and projected market conditions, and historical experience under the programs. While the Company utilizes a number of different methodologies to estimate the accruals, all of the methodologies take into account sales levels to distributors during the relevant period, inventory levels at the distributors, current and projected market trends and conditions, recent and historical activity under the relevant programs, changes in program policies, and open requests for credits. These procedures require the exercise of significant judgments. The Company believes that it has a reasonable basis to estimate future credits under the programs.

Royalty revenues, included in net revenues on the consolidated statements of operations, were $6,362, $7,131, and $6,633 for the years ended December 31, 2013, 2012, and 2011, respectively.  The Company records royalty revenue in accordance with agreed upon terms when performance obligations are satisfied, the amount is fixed or determinable, and collectibility is reasonably assured. Vishay earns royalties at the point of sale of products which incorporate licensed intellectual property. Accordingly, the amount of royalties recognized is determined based on periodic reporting to Vishay by its licensees, and based on judgments and estimates by Vishay management, which management considers reasonable.

Shipping and Handling Costs

Shipping and handling costs are included in costs of products sold.

Research and Development Expenses

Research and development costs are expensed as incurred. The amount charged to expense for research and development (exclusive of purchased in-process research and development) aggregated $62,090, $57,164, and $55,809, for the years ended December 31, 2013, 2012, and 2011, respectively. The Company spends additional amounts for the development of machinery and equipment for new processes and for cost reduction measures.

Grants

Government grants received by certain subsidiaries, primarily in Israel, are recognized as income in accordance with the purpose of the specific contract and in the period in which the related expense is incurred. Grants recognized as a reduction of costs of products sold were $406, $351, and $483 for the years ended December 31, 2013, 2012, and 2011, respectively. Deferred grant income included in other liabilities on the consolidated balance sheets was $1,882 and $1,548 at December 31, 2013 and 2012, respectively. The grants are subject to certain conditions, including maintaining specified levels of employment for periods up to ten years. Noncompliance with such conditions could result in the repayment of grants. However, management expects that the Company will comply with all terms and conditions of the grants.

Note 1 – Summary of Significant Accounting (continued)

Income Taxes

The provision for income taxes is determined using the asset and liability approach of accounting for income taxes. Under this approach, deferred taxes represent the future tax consequences expected to occur when the reported amounts of assets and liabilities are recovered or paid. The provision for income taxes represents income taxes paid or payable for the current year plus the change in deferred taxes during the year. Deferred taxes result from differences between the financial and tax bases of the Company's assets and liabilities and are adjusted for changes in tax rates and tax laws when changes are enacted. Valuation allowances have been established for deferred tax assets which the Company believes do not meet GAAP criteria of "more likely than not" to be realilzed.  This criterion requires a level of judgment regarding future taxable income, which may be revised due to changes in market conditions, tax laws, or other factors. If the Company's assumptions and estimates change in the future, valuation allowances established may be increased, resulting in increased tax expense. Conversely, if the Company is ultimately able to utilize all or a portion of the deferred tax assets for which a valuation allowance has been established, then the related portion of the valuation allowance can be released, resulting in decreased tax expense.

At the present time, substantially all earnings generated by foreign subsidiaries are expected to be reinvested outside of the United States indefinitely. Accordingly, no provision has been made for U.S. federal and state income taxes on these foreign earnings. Upon distribution of those earnings in the form of dividends or otherwise, the Company would be subject to U.S. income taxes (subject to an adjustment for foreign tax credits), state income taxes, incremental foreign income taxes, and withholding taxes payable to the various foreign countries.

The Company and its subsidiaries are subject to income taxes in the U.S. and numerous foreign jurisdictions.  Significant judgment is required in evaluating the Company's tax positions and determining its provision for income taxes. During the ordinary course of business, there are many transactions and calculations for which the ultimate tax determination is uncertain. The Company establishes reserves for tax-related uncertainties based on estimates of whether, and the extent to which, additional taxes will be due. These reserves are established when the Company believes that certain positions might be challenged despite the Company's belief that its tax return positions are fully supportable.  The Company adjusts these reserves in light of changing facts and circumstances and the provision for income taxes includes the impact of reserve provisions and changes to reserves that are considered appropriate.

These accruals for tax-related uncertainties are based on management's best estimate of potential tax exposures. When particular matters arise, a number of years may elapse before such matters are audited by tax authorities and finally resolved.  Favorable resolution of such matters could be recognized as a reduction to the Company's effective tax rate in the year of resolution.  Unfavorable resolution of any particular issue could increase the effective tax rate and may require the use of cash in the year of resolution.  The amount included in current liabilities on the accompanying consolidated balance sheets reflect only amounts expected to be settled in cash within one year.

Cash, Cash Equivalents, and Short-Term Investments

Cash and cash equivalents includes demand deposits and highly liquid investments with maturities of three months or less when purchased.  Highly liquid investments with original maturities greater than three months, but less than one year are classified as short-term investments.  At December 31, 2013 and 2012, the Company's short-term investments were comprised of time deposits with financial institutions whose original maturity exceeds three months, but less than one year.

Allowance for Doubtful Accounts

The Company maintains an allowance for doubtful accounts for estimated losses resulting from the inability of its customers to make required payments. The allowance is determined through an analysis of the aging of accounts receivable and assessments of risk that are based on historical trends and an evaluation of the impact of current and projected economic conditions. The Company evaluates the past-due status of its trade receivables based on contractual terms of sale. If the financial condition of the Company's customers were to deteriorate, resulting in an impairment of their ability to make payments, additional allowances may be required. Bad debt expense (income realized upon subsequent collection) was $62, $(24), and $(93) for the years ended December 31, 2013, 2012, and 2011, respectively.

Inventories

Inventories are stated at the lower of cost, determined by the first-in, first-out method, or market. Inventories are adjusted for estimated obsolescence and written down to net realizable value based upon estimates of future demand, technology developments, and market conditions.

Note 1 – Summary of Significant Accounting (continued)

Property and Equipment

Property and equipment is carried at cost and is depreciated principally by the straight-line method based upon the estimated useful lives of the assets. Machinery and equipment are being depreciated over useful lives of seven to ten years. Buildings and building improvements are being depreciated over useful lives of twenty to forty years. Construction in progress is not depreciated until the assets are placed in service. The estimated cost to complete construction in progress at December 31, 2013 was approximately $35,541. Depreciation of capital lease assets is included in total depreciation expense. Depreciation expense was $155,064, $153,801, and $165,022 for the years ended December 31, 2013, 2012, and 2011, respectively.  Gains and losses on the disposal of assets which do not qualify for presentation as discontinued operations are included in the determination of operating margin (within selling, general, and administrative expenses).  Individually material gains and losses on disposal are separately disclosed in the notes to the consolidated financial statements.

Goodwill and Other Intangible Assets

Goodwill and indefinite-lived intangible assets are not amortized but rather are tested for impairment at least annually. The required annual impairment tests of goodwill and indefinite-lived intangible assets are completed as of the first day of the fourth fiscal quarter of each year.  These tests are performed more frequently whenever events or changes in circumstances indicate that the assets might be impaired.  Certain of the Company's tradenames have been assigned indefinite useful lives.

Definite-lived intangible assets are amortized over their estimated useful lives.  Patents and acquired technology are being amortized over useful lives of seven to twenty-five years.  Capitalized software is amortized over periods of three to ten years, primarily included in costs of products sold on the consolidated statements of operations.  Customer relationships are amortized over useful lives of five to twenty years.  Noncompete agreements are amortized over periods of four to ten years. The Company continually evaluates the reasonableness of the useful lives of these assets.

GAAP prescribes a two-step quantitative method for determining goodwill impairment. The Company has the option of performing a qualitative assessment before performing the two-step quantitative impairment test. If it is determined, on the basis of qualitative factors, that the fair value of the reporting unit is not more likely than not less than the carrying amount, the two-step quantitative impairment test is not required. If it is determined that the fair value of the reporting unit is more likely than not less than the carrying amount, the two-step quantitative impairment test is required. In the first step, the Company determines the fair value of the reporting unit and compares that fair value to the net book value of the reporting unit. The fair value of the reporting unit is determined using various valuation techniques, including a comparable companies market multiple approach and a discounted cash flow analysis (an income approach).

If the net book value of the reporting unit were to exceed the fair value, the Company would then perform the second step of the quantitative impairment test, which requires allocation of the reporting unit's fair value to all of its assets and liabilities in a manner similar to a purchase price allocation, with any residual fair value being allocated to goodwill. An impairment charge will be recognized only when the implied fair value of a reporting unit's goodwill is less than its carrying amount.

The Company has the option of performing a qualitative assessment of the indefinite-lived intangible assets before performing a quantitative impairment test. The fair value of the tradenames is measured as the discounted cash flow savings realized from owning such tradenames and not having to pay a royalty for their use.

There was no impairment identified through the annual impairment tests completed in 2013, 2012, or 2011.

Upon determining that an intangible asset classified as indefinite-lived is impaired, the Company reassesses the useful life of the impaired assets and begins to amortize the remaining carrying value over that useful life if it is determined that the asset no longer has an indefinite useful life.

Note 1 – Summary of Significant Accounting (continued)

Impairment of Long-Lived Assets

The carrying value of long-lived assets held-and-used, other than goodwill and indefinite-lived intangible assets, is evaluated when events or changes in circumstances indicate the carrying value may not be recoverable or the useful life has changed. The carrying value of a long-lived asset group is considered impaired when the total projected undiscounted cash flows from such asset group are separately identifiable and are less than the carrying value. In that event, a loss is recognized based on the amount by which the carrying value exceeds the fair market value of the long-lived asset group.  Fair market value is determined primarily using present value techniques based on projected cash flows from the asset group.  Losses on long-lived assets held-for-sale, other than goodwill and indefinite-lived intangible assets, are determined in a similar manner, except that fair market values are reduced for anticipated disposal costs.

Available-for-Sale Securities

Other assets reported on the consolidated balance sheets include investments in marketable securities which are classified as available-for-sale. These assets include assets that are held in trust related to the Company's non-qualified pension and deferred compensation plans (see Note 11) and assets that are intended to fund a portion of the Company's other postretirement benefit obligations outside of the U.S. These assets are reported at fair value, based on quoted market prices as of the end of the reporting period. Unrealized gains and losses are reported, net of their related tax consequences, as a component of accumulated other comprehensive income in stockholders' equity until sold. At the time of sale the assets that are held in trust related to the Company's non-qualified pension and deferred compensation plans, any gains (losses) calculated by the specific identification method are recognized as a reduction (increase) to benefits expense, within selling, general, and administrative expenses.

Financial Instruments

The Company uses financial instruments in the normal course of its business, including from time to time, derivative financial instruments. Additionally, from time to time, the Company enters into contracts that are not considered derivative financial instruments in their entirety, but that include embedded derivative features. The convertible senior debentures due 2040, due 2041, and due 2042 contain embedded derivatives that are recorded at fair value on a recurring basis. At December 31, 2013 and 2012, outstanding derivative instruments were not material.

The Company reports derivative instruments on the consolidated balance sheet at their fair values.  The accounting for changes in fair value depends upon the purpose of the derivative instrument and whether it is designated and qualifies for hedge accounting. For instruments designated as hedges, the effective portion of gains or losses is reported in other comprehensive income (loss) and the ineffective portion, if any, is reported in current period net earnings (loss).  Changes in the fair values of derivative instruments that are not designated as hedges, including embedded derivatives, are recorded in current period net earnings (loss).

The Company has in the past used interest rate swap agreements to modify variable rate obligations to fixed rate obligations, thereby reducing exposure to market rate fluctuations. The Company has also in the past used financial instruments such as forward exchange contracts to hedge a portion, but not all, of its firm commitments denominated in foreign currencies.  The purpose of the Company's foreign currency management is to minimize the effect of exchange rate changes on actual cash flows from foreign currency denominated transactions.

Other financial instruments include cash and cash equivalents, short-term investments, accounts receivable, and notes payable. The carrying amounts of these financial instruments reported in the consolidated balance sheets approximate their fair values due to the short-term nature of these assets and liabilities.

Note 1 – Summary of Significant Accounting (continued)

Foreign Currency Translation

The Company has significant operations outside of the United States. The Company finances its operations in Europe and certain locations in Asia in local currencies, and accordingly, these subsidiaries utilize the local currency as their functional currency. The Company's operations in Israel and most significant locations in Asia are largely financed in U.S. dollars, and accordingly, these subsidiaries utilize the U.S. dollar as their functional currency.

For those subsidiaries where the local currency is the functional currency, assets and liabilities in the consolidated balance sheets have been translated at the rate of exchange as of the balance sheet date. Translation adjustments do not impact the consolidated results of operations and are reported as a separate component of stockholders' equity. Revenues and expenses are translated at the average exchange rate for the year. While the translation of revenues and expenses into U.S. dollars does not directly impact the statement of operations, the translation effectively increases or decreases the U.S. dollar equivalent of revenues generated and expenses incurred in those foreign currencies.

For those foreign subsidiaries where the U.S. dollar is the functional currency, all foreign currency financial statement amounts are remeasured into U.S. dollars. Exchange gains and losses arising from remeasurement of foreign currency-denominated monetary assets and liabilities are included in the consolidated results of operations.

Stock-Based Compensation

Compensation costs related to stock-based payment transactions are recognized in the consolidated financial statements. The amount of compensation cost is measured based on the grant-date fair value of the equity (or liability) instruments issued. Compensation cost is recognized over the period that an officer, employee, or non-employee director provides service in exchange for the award. For options and restricted stock units subject to graded vesting, the Company recognizes expense over the service period for each separately vesting portion of the award as if the award was, in-substance, multiple awards.  The Company recognizes compensation cost for restricted stock units ("RSUs") that are expected to vest and records cumulative adjustments in the period that the expectation changes.

Commitments and Contingencies

Liabilities for loss contingencies, including environmental remediation costs, arising from claims, assessments, litigation, fines, penalties, and other sources are recorded when it is probable that a liability has been incurred and the amount of the assessment and/or remediation can be reasonably estimated. The costs for a specific environmental remediation site are discounted if the aggregate amount of the obligation and the amount and timing of the cash payments for that site are fixed or reliably determinable based upon information derived from the remediation plan for that site. Accrued liabilities for environmental matters recorded at December 31, 2013 and 2012 do not include claims against third parties.

Restructuring and Severance Costs

Restructuring and severance costs reflect charges resulting from cost reduction programs implemented by the Company.  Restructuring and severance costs include exit costs, severance benefits pursuant to an on-going arrangement, voluntary termination compensation under a defined program, and any related pension curtailment and settlement charges.

The Company recognizes expense for one-time benefits only after management has committed to a plan, the plan is sufficiently detailed to provide the number, classification, and location of employees to be terminated as well as the expected completion date, the plan has been sufficiently communicated to employees such that they are able to determine the type and amount of benefits they will receive if terminated, and it is unlikely that the plan will be significantly changed or withdrawn. If an employee is not required to render service beyond a minimum retention period, the Company recognizes expense once the aforementioned criteria have been met. If an employee is required to render service beyond a minimum retention period, the Company recognizes expense over the period that the employee is required to render future service.

Note 1 – Summary of Significant Accounting (continued)

The Company recognizes expense for on-going benefit arrangements when the liability is reasonably estimable and considered probable.

The Company recognizes expense for voluntary separation / early retirement when the employee delivers an irrevocable voluntary termination notice pursuant to a defined company program.

The Company recognizes other exit costs as incurred.

Self-Insurance Programs

The Company uses a combination of insurance and self-insurance mechanisms to provide for the potential liabilities for workers' compensation, general liability, property damage, director and officers' liability, and vehicle liability.

As part of its self-insurance program for certain risks, the Company created a wholly-owned captive insurance entity in 2007. At December 31, 2013, the captive insurance entity provides only property and general liability insurance, although it is licensed to also provide casualty and directors' and officers' insurance. The captive insurance entity had no amounts accrued for outstanding claims at December 31, 2013 and 2012.

Certain cash and investments held by the captive insurance entity are restricted primarily for the purpose of potential insurance claims. Restricted cash of $7,927 and $7,752 is included in other noncurrent assets at December 31, 2013 and 2012, respectively, representing required statutory reserves of the captive insurance entity.

Convertible Debentures

The Company separately accounts for the liability and equity components of convertible debt instruments that may be settled in cash in a manner that reflects the Company's nonconvertible debt borrowing rate. The liability component at issuance is recognized at fair value, based on the fair value of a similar instrument that does not have a conversion feature. A discount is recorded if debentures are issued at a coupon rate which is below the rate of a similar instrument that did not have a conversion feature at issuance.  The equity component is based on the excess of the principal amount of the debentures over the fair value of the liability component, after adjusting for an allocation of debt issuance costs and the deferred tax impact, and is recorded as capital in excess of par. Debt discounts are amortized as additional non-cash interest expense over the expected life of the debt.

Recently Adopted Accounting Guidance

In February 2013, the FASB issued Accounting Standards Update ("ASU") No. 2013-02, Comprehensive Income (Topic 220), Reporting of Amounts Reclassified Out of Accumulated Other Comprehensive Income. The ASU adds new disclosure requirements for items reclassified out of accumulated other comprehensive income. The ASU does not amend any existing requirements for reporting net income or other comprehensive income in the financial statements. The ASU is effective for the Company for interim and annual periods beginning after January 1, 2013. Vishay adopted the ASU on January 1, 2013. The adoption of the ASU had no effect on the Company's financial position, results of operations, or liquidity.

Reclassifications

Certain prior year amounts have been reclassified to conform to the current financial statement presentation.

XML 38 R62.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2013
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 31, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2009
Dec. 31, 2008
Leases                          
Total rental expense under operating leases                 $ 29,327 $ 29,667 $ 26,351    
Future minimum lease payments for operating leases [Abstract]                          
2014 26,943               26,943        
2015 21,776               21,776        
2016 16,399               16,399        
2017 12,336               12,336        
2018 1,837               1,837        
Thereafter 2,798               2,798        
Capital lease obligations 11               11        
Environmental Matters                          
Accrued environmental liabilities 21,994               21,994        
Accrued environmental liabilities, current 11,121               11,121        
Accrued environmental liabilities, noncurrent 10,873               10,873        
Estimated purchase commitments [Abstract]                          
2014 40,319               40,319        
2015 45,030               45,030        
2016 46,303               46,303        
2017 35,461               35,461        
2018 0               0        
Actual purchases from subcontractors                 47,878        
Executive Employment Agreements                          
Period of royalty payment following termination of employment (in years)                 10 years        
Royalty Payment Percentage (in hundredths)                 5.00%        
Present value of royalties, minimum                         370,000
Present value of royalties, maximum                         445,000
Executive payment made upon amended and restated agreement                       10,000  
Annual Executive Payment                 10,000        
Executive compensation credit 0 0 1,778 0 0 0 0 0 (1,778) 0 5,762    
Executive employment agreement liability, current 10,000               10,000        
Dr. Felix Zandman [Member]
                         
Executive Employment Agreements                          
Executive compensation credit                     3,889    
Dr. Lior Yahalomi [Member]
                         
Executive Employment Agreements                          
Executive compensation credit                     1,873    
General Semiconductor [Member]
                         
Environmental Matters                          
Accrued environmental liabilities 11,855               11,855        
Other Sites [Member]
                         
Environmental Matters                          
Accrued environmental liabilities $ 10,139               $ 10,139        
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Current Vulnerability Due to Certain Concentrations (Tables)
12 Months Ended
Dec. 31, 2013
Geographic Concentration [Member]
 
Concentration Risk [Line Items]  
Current Vulnerability Due to Certain Concentrations
The Company has operations outside the United States, and approximately 75% of revenues earned during 2013 were derived from sales to customers outside the United States. Additionally, as of December 31, 2013, $1,132,079 of the Company's cash and cash equivalents and short-term investments were held in countries outside of the United States. Some of the Company's products are produced and cash and cash equivalents and short-term investments are held in countries which are subject to risks of political, economic, and military instability. This instability could result in wars, riots, nationalization of industry, currency fluctuations, and labor unrest. These conditions could have an adverse impact on the Company's ability to operate in these regions and, depending on the extent and severity of these conditions, could materially and adversely affect the Company's overall financial condition, operating results, and ability to access its liquidity when needed. As of December 31, 2013 the Company's cash and cash equivalents and short-term investments were concentrated in the following countries:

Germany
  
44.4
%
Israel
  
22.5
%
Singapore
  
8.6
%
People's Republic of China
  
7.6
%
The Republic of China (Taiwan)
  
6.4
%
Canada
  
3.2
%
United States
  
1.7
%
Other Asia
  
3.2
%
Other Europe
  
1.6
%
Other
  
0.8
%

Credit Concentration Risk [Member]
 
Concentration Risk [Line Items]  
Current Vulnerability Due to Certain Concentrations
The Company maintains cash and cash equivalents and short-term investments with various major financial institutions. The Company is exposed to credit risk related to the potential inability to access liquidity in financial institutions where its cash and cash equivalents and short-term investments are concentrated. As of December 31, 2013, the following financial institutions held over 10% of the Company's combined cash and cash equivalents and short-term investments balance:

UniCredit*
  
14.3
%
Bank of Tokyo Mitsubishi*
  
13.2
%
HSBC*
  
12.3
%
KBC*
  
10.6
%
Bank Leumi*
  
10.1
%

___________________________________________________
*Participant in Credit Facility

XML 41 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
Summary of Significant Accounting Policies (Policies)
12 Months Ended
Dec. 31, 2013
Summary of Significant Accounting Policies [Abstract]  
Use of Estimates
Use of Estimates

The preparation of financial statements in conformity with accounting principles generally accepted in the United States ("GAAP") requires management to make estimates and assumptions that affect the amounts reported in the consolidated financial statements and accompanying notes. Actual results could differ significantly from those estimates.

Principles of Consolidation
Principles of Consolidation

The consolidated financial statements include the accounts of Vishay and all of its subsidiaries in which a controlling financial interest is maintained.  For those consolidated subsidiaries in which the Company's ownership is less than 100 percent, the outside stockholders' interests are shown as noncontrolling interest in the accompanying consolidated balance sheets.  Investments in affiliates over which the Company has significant influence but not a controlling interest are carried on the equity basis. Investments in affiliates over which the Company does not have significant influence are accounted for by the cost method. All intercompany transactions, accounts, and profits are eliminated.

Subsequent Events
Subsequent Events

In connection with the preparation of the consolidated financial statements and in accordance with GAAP, the Company evaluated subsequent events after the balance sheet date of December 31, 2013 through the date these financial statements were issued through the filing of this annual report on Form 10-K with the U.S. Securities and Exchange Commission.

Revenue Recognition
Revenue Recognition

The Company recognizes revenue on product sales during the period when the sales process is complete. This generally occurs when products are shipped to the customer in accordance with terms of an agreement of sale, title and risk of loss have been transferred, collectibility is reasonably assured, and pricing is fixed or determinable. For a small percentage of sales where title and risk of loss passes at point of delivery, the Company recognizes revenue upon delivery to the customer, assuming all other criteria for revenue recognition are met. The Company historically has had agreements with distributors that provided limited rights of product return. The Company has modified these arrangements to allow distributors a limited credit for unsaleable products, which it terms a "scrap allowance." Consistent with industry practice, the Company also has a "stock, ship and debit" program whereby it considers requests by distributors for credits on previously purchased products that remain in distributors' inventory, to enable the distributors to offer more competitive pricing. In addition, the Company has contractual arrangements whereby it provides distributors with protection against price reductions initiated by the Company after product is sold by the Company to the distributor and prior to resale by the distributor.

Note 1 – Summary of Significant Accounting (continued)

The Company records a reduction of revenue during each period, and records a related accrued expense for the period, based upon its estimate of product returns, scrap allowances, "stock, ship and debit" credits, and price protection credits that will be attributable to sales recorded through the end of the period. The Company makes these estimates based upon sales levels to its distributors during the period, inventory levels at the distributors, current and projected market conditions, and historical experience under the programs. While the Company utilizes a number of different methodologies to estimate the accruals, all of the methodologies take into account sales levels to distributors during the relevant period, inventory levels at the distributors, current and projected market trends and conditions, recent and historical activity under the relevant programs, changes in program policies, and open requests for credits. These procedures require the exercise of significant judgments. The Company believes that it has a reasonable basis to estimate future credits under the programs.

Royalty revenues, included in net revenues on the consolidated statements of operations, were $6,362, $7,131, and $6,633 for the years ended December 31, 2013, 2012, and 2011, respectively.  The Company records royalty revenue in accordance with agreed upon terms when performance obligations are satisfied, the amount is fixed or determinable, and collectibility is reasonably assured. Vishay earns royalties at the point of sale of products which incorporate licensed intellectual property. Accordingly, the amount of royalties recognized is determined based on periodic reporting to Vishay by its licensees, and based on judgments and estimates by Vishay management, which management considers reasonable.

Shipping and Handling Costs
Shipping and Handling Costs

Shipping and handling costs are included in costs of products sold.

Research and Development Expenses
Research and Development Expenses

Research and development costs are expensed as incurred. The amount charged to expense for research and development (exclusive of purchased in-process research and development) aggregated $62,090, $57,164, and $55,809, for the years ended December 31, 2013, 2012, and 2011, respectively. The Company spends additional amounts for the development of machinery and equipment for new processes and for cost reduction measures.

Grants
Grants

Government grants received by certain subsidiaries, primarily in Israel, are recognized as income in accordance with the purpose of the specific contract and in the period in which the related expense is incurred. Grants recognized as a reduction of costs of products sold were $406, $351, and $483 for the years ended December 31, 2013, 2012, and 2011, respectively. Deferred grant income included in other liabilities on the consolidated balance sheets was $1,882 and $1,548 at December 31, 2013 and 2012, respectively. The grants are subject to certain conditions, including maintaining specified levels of employment for periods up to ten years. Noncompliance with such conditions could result in the repayment of grants. However, management expects that the Company will comply with all terms and conditions of the grants.

Income Taxes
Note 1 – Summary of Significant Accounting (continued)

Income Taxes

The provision for income taxes is determined using the asset and liability approach of accounting for income taxes. Under this approach, deferred taxes represent the future tax consequences expected to occur when the reported amounts of assets and liabilities are recovered or paid. The provision for income taxes represents income taxes paid or payable for the current year plus the change in deferred taxes during the year. Deferred taxes result from differences between the financial and tax bases of the Company's assets and liabilities and are adjusted for changes in tax rates and tax laws when changes are enacted. Valuation allowances have been established for deferred tax assets which the Company believes do not meet GAAP criteria of "more likely than not" to be realilzed.  This criterion requires a level of judgment regarding future taxable income, which may be revised due to changes in market conditions, tax laws, or other factors. If the Company's assumptions and estimates change in the future, valuation allowances established may be increased, resulting in increased tax expense. Conversely, if the Company is ultimately able to utilize all or a portion of the deferred tax assets for which a valuation allowance has been established, then the related portion of the valuation allowance can be released, resulting in decreased tax expense.

At the present time, substantially all earnings generated by foreign subsidiaries are expected to be reinvested outside of the United States indefinitely. Accordingly, no provision has been made for U.S. federal and state income taxes on these foreign earnings. Upon distribution of those earnings in the form of dividends or otherwise, the Company would be subject to U.S. income taxes (subject to an adjustment for foreign tax credits), state income taxes, incremental foreign income taxes, and withholding taxes payable to the various foreign countries.

The Company and its subsidiaries are subject to income taxes in the U.S. and numerous foreign jurisdictions.  Significant judgment is required in evaluating the Company's tax positions and determining its provision for income taxes. During the ordinary course of business, there are many transactions and calculations for which the ultimate tax determination is uncertain. The Company establishes reserves for tax-related uncertainties based on estimates of whether, and the extent to which, additional taxes will be due. These reserves are established when the Company believes that certain positions might be challenged despite the Company's belief that its tax return positions are fully supportable.  The Company adjusts these reserves in light of changing facts and circumstances and the provision for income taxes includes the impact of reserve provisions and changes to reserves that are considered appropriate.

These accruals for tax-related uncertainties are based on management's best estimate of potential tax exposures. When particular matters arise, a number of years may elapse before such matters are audited by tax authorities and finally resolved.  Favorable resolution of such matters could be recognized as a reduction to the Company's effective tax rate in the year of resolution.  Unfavorable resolution of any particular issue could increase the effective tax rate and may require the use of cash in the year of resolution.  The amount included in current liabilities on the accompanying consolidated balance sheets reflect only amounts expected to be settled in cash within one year.

Cash, Cash Equivalents, and Short-Term Investments
Cash, Cash Equivalents, and Short-Term Investments

Cash and cash equivalents includes demand deposits and highly liquid investments with maturities of three months or less when purchased.  Highly liquid investments with original maturities greater than three months, but less than one year are classified as short-term investments.  At December 31, 2013 and 2012, the Company's short-term investments were comprised of time deposits with financial institutions whose original maturity exceeds three months, but less than one year.

Allowance for Doubtful Accounts
Allowance for Doubtful Accounts

The Company maintains an allowance for doubtful accounts for estimated losses resulting from the inability of its customers to make required payments. The allowance is determined through an analysis of the aging of accounts receivable and assessments of risk that are based on historical trends and an evaluation of the impact of current and projected economic conditions. The Company evaluates the past-due status of its trade receivables based on contractual terms of sale. If the financial condition of the Company's customers were to deteriorate, resulting in an impairment of their ability to make payments, additional allowances may be required. Bad debt expense (income realized upon subsequent collection) was $62, $(24), and $(93) for the years ended December 31, 2013, 2012, and 2011, respectively.

Inventories
Inventories

Inventories are stated at the lower of cost, determined by the first-in, first-out method, or market. Inventories are adjusted for estimated obsolescence and written down to net realizable value based upon estimates of future demand, technology developments, and market conditions.

Property and Equipment
Note 1 – Summary of Significant Accounting (continued)

Property and Equipment

Property and equipment is carried at cost and is depreciated principally by the straight-line method based upon the estimated useful lives of the assets. Machinery and equipment are being depreciated over useful lives of seven to ten years. Buildings and building improvements are being depreciated over useful lives of twenty to forty years. Construction in progress is not depreciated until the assets are placed in service. The estimated cost to complete construction in progress at December 31, 2013 was approximately $35,541. Depreciation of capital lease assets is included in total depreciation expense. Depreciation expense was $155,064, $153,801, and $165,022 for the years ended December 31, 2013, 2012, and 2011, respectively.  Gains and losses on the disposal of assets which do not qualify for presentation as discontinued operations are included in the determination of operating margin (within selling, general, and administrative expenses).  Individually material gains and losses on disposal are separately disclosed in the notes to the consolidated financial statements.

Goodwill and Other Intangible Assets
Goodwill and Other Intangible Assets

Goodwill and indefinite-lived intangible assets are not amortized but rather are tested for impairment at least annually. The required annual impairment tests of goodwill and indefinite-lived intangible assets are completed as of the first day of the fourth fiscal quarter of each year.  These tests are performed more frequently whenever events or changes in circumstances indicate that the assets might be impaired.  Certain of the Company's tradenames have been assigned indefinite useful lives.

Definite-lived intangible assets are amortized over their estimated useful lives.  Patents and acquired technology are being amortized over useful lives of seven to twenty-five years.  Capitalized software is amortized over periods of three to ten years, primarily included in costs of products sold on the consolidated statements of operations.  Customer relationships are amortized over useful lives of five to twenty years.  Noncompete agreements are amortized over periods of four to ten years. The Company continually evaluates the reasonableness of the useful lives of these assets.

GAAP prescribes a two-step quantitative method for determining goodwill impairment. The Company has the option of performing a qualitative assessment before performing the two-step quantitative impairment test. If it is determined, on the basis of qualitative factors, that the fair value of the reporting unit is not more likely than not less than the carrying amount, the two-step quantitative impairment test is not required. If it is determined that the fair value of the reporting unit is more likely than not less than the carrying amount, the two-step quantitative impairment test is required. In the first step, the Company determines the fair value of the reporting unit and compares that fair value to the net book value of the reporting unit. The fair value of the reporting unit is determined using various valuation techniques, including a comparable companies market multiple approach and a discounted cash flow analysis (an income approach).

If the net book value of the reporting unit were to exceed the fair value, the Company would then perform the second step of the quantitative impairment test, which requires allocation of the reporting unit's fair value to all of its assets and liabilities in a manner similar to a purchase price allocation, with any residual fair value being allocated to goodwill. An impairment charge will be recognized only when the implied fair value of a reporting unit's goodwill is less than its carrying amount.

The Company has the option of performing a qualitative assessment of the indefinite-lived intangible assets before performing a quantitative impairment test. The fair value of the tradenames is measured as the discounted cash flow savings realized from owning such tradenames and not having to pay a royalty for their use.

There was no impairment identified through the annual impairment tests completed in 2013, 2012, or 2011.

Upon determining that an intangible asset classified as indefinite-lived is impaired, the Company reassesses the useful life of the impaired assets and begins to amortize the remaining carrying value over that useful life if it is determined that the asset no longer has an indefinite useful life.

Impairment of Long-Lived Assets
Note 1 – Summary of Significant Accounting (continued)

Impairment of Long-Lived Assets

The carrying value of long-lived assets held-and-used, other than goodwill and indefinite-lived intangible assets, is evaluated when events or changes in circumstances indicate the carrying value may not be recoverable or the useful life has changed. The carrying value of a long-lived asset group is considered impaired when the total projected undiscounted cash flows from such asset group are separately identifiable and are less than the carrying value. In that event, a loss is recognized based on the amount by which the carrying value exceeds the fair market value of the long-lived asset group.  Fair market value is determined primarily using present value techniques based on projected cash flows from the asset group.  Losses on long-lived assets held-for-sale, other than goodwill and indefinite-lived intangible assets, are determined in a similar manner, except that fair market values are reduced for anticipated disposal costs.

Available-for-Sale Securities
Available-for-Sale Securities

Other assets reported on the consolidated balance sheets include investments in marketable securities which are classified as available-for-sale. These assets include assets that are held in trust related to the Company's non-qualified pension and deferred compensation plans (see Note 11) and assets that are intended to fund a portion of the Company's other postretirement benefit obligations outside of the U.S. These assets are reported at fair value, based on quoted market prices as of the end of the reporting period. Unrealized gains and losses are reported, net of their related tax consequences, as a component of accumulated other comprehensive income in stockholders' equity until sold. At the time of sale the assets that are held in trust related to the Company's non-qualified pension and deferred compensation plans, any gains (losses) calculated by the specific identification method are recognized as a reduction (increase) to benefits expense, within selling, general, and administrative expenses.

Financial Instruments
Financial Instruments

The Company uses financial instruments in the normal course of its business, including from time to time, derivative financial instruments. Additionally, from time to time, the Company enters into contracts that are not considered derivative financial instruments in their entirety, but that include embedded derivative features. The convertible senior debentures due 2040, due 2041, and due 2042 contain embedded derivatives that are recorded at fair value on a recurring basis. At December 31, 2013 and 2012, outstanding derivative instruments were not material.

The Company reports derivative instruments on the consolidated balance sheet at their fair values.  The accounting for changes in fair value depends upon the purpose of the derivative instrument and whether it is designated and qualifies for hedge accounting. For instruments designated as hedges, the effective portion of gains or losses is reported in other comprehensive income (loss) and the ineffective portion, if any, is reported in current period net earnings (loss).  Changes in the fair values of derivative instruments that are not designated as hedges, including embedded derivatives, are recorded in current period net earnings (loss).

The Company has in the past used interest rate swap agreements to modify variable rate obligations to fixed rate obligations, thereby reducing exposure to market rate fluctuations. The Company has also in the past used financial instruments such as forward exchange contracts to hedge a portion, but not all, of its firm commitments denominated in foreign currencies.  The purpose of the Company's foreign currency management is to minimize the effect of exchange rate changes on actual cash flows from foreign currency denominated transactions.

Other financial instruments include cash and cash equivalents, short-term investments, accounts receivable, and notes payable. The carrying amounts of these financial instruments reported in the consolidated balance sheets approximate their fair values due to the short-term nature of these assets and liabilities.

Foreign Currency Translation
Note 1 – Summary of Significant Accounting (continued)

Foreign Currency Translation

The Company has significant operations outside of the United States. The Company finances its operations in Europe and certain locations in Asia in local currencies, and accordingly, these subsidiaries utilize the local currency as their functional currency. The Company's operations in Israel and most significant locations in Asia are largely financed in U.S. dollars, and accordingly, these subsidiaries utilize the U.S. dollar as their functional currency.

For those subsidiaries where the local currency is the functional currency, assets and liabilities in the consolidated balance sheets have been translated at the rate of exchange as of the balance sheet date. Translation adjustments do not impact the consolidated results of operations and are reported as a separate component of stockholders' equity. Revenues and expenses are translated at the average exchange rate for the year. While the translation of revenues and expenses into U.S. dollars does not directly impact the statement of operations, the translation effectively increases or decreases the U.S. dollar equivalent of revenues generated and expenses incurred in those foreign currencies.

For those foreign subsidiaries where the U.S. dollar is the functional currency, all foreign currency financial statement amounts are remeasured into U.S. dollars. Exchange gains and losses arising from remeasurement of foreign currency-denominated monetary assets and liabilities are included in the consolidated results of operations.

Stock-Based Compensation
Stock-Based Compensation

Compensation costs related to stock-based payment transactions are recognized in the consolidated financial statements. The amount of compensation cost is measured based on the grant-date fair value of the equity (or liability) instruments issued. Compensation cost is recognized over the period that an officer, employee, or non-employee director provides service in exchange for the award. For options and restricted stock units subject to graded vesting, the Company recognizes expense over the service period for each separately vesting portion of the award as if the award was, in-substance, multiple awards.  The Company recognizes compensation cost for restricted stock units ("RSUs") that are expected to vest and records cumulative adjustments in the period that the expectation changes.

Commitments and Contingencies
Commitments and Contingencies

Liabilities for loss contingencies, including environmental remediation costs, arising from claims, assessments, litigation, fines, penalties, and other sources are recorded when it is probable that a liability has been incurred and the amount of the assessment and/or remediation can be reasonably estimated. The costs for a specific environmental remediation site are discounted if the aggregate amount of the obligation and the amount and timing of the cash payments for that site are fixed or reliably determinable based upon information derived from the remediation plan for that site. Accrued liabilities for environmental matters recorded at December 31, 2013 and 2012 do not include claims against third parties.

Restructuring and Severance Costs
Restructuring and Severance Costs

Restructuring and severance costs reflect charges resulting from cost reduction programs implemented by the Company.  Restructuring and severance costs include exit costs, severance benefits pursuant to an on-going arrangement, voluntary termination compensation under a defined program, and any related pension curtailment and settlement charges.

The Company recognizes expense for one-time benefits only after management has committed to a plan, the plan is sufficiently detailed to provide the number, classification, and location of employees to be terminated as well as the expected completion date, the plan has been sufficiently communicated to employees such that they are able to determine the type and amount of benefits they will receive if terminated, and it is unlikely that the plan will be significantly changed or withdrawn. If an employee is not required to render service beyond a minimum retention period, the Company recognizes expense once the aforementioned criteria have been met. If an employee is required to render service beyond a minimum retention period, the Company recognizes expense over the period that the employee is required to render future service.

Note 1 – Summary of Significant Accounting (continued)

The Company recognizes expense for on-going benefit arrangements when the liability is reasonably estimable and considered probable.

The Company recognizes expense for voluntary separation / early retirement when the employee delivers an irrevocable voluntary termination notice pursuant to a defined company program.

The Company recognizes other exit costs as incurred.

Self-Insurance Programs
Self-Insurance Programs

The Company uses a combination of insurance and self-insurance mechanisms to provide for the potential liabilities for workers' compensation, general liability, property damage, director and officers' liability, and vehicle liability.

As part of its self-insurance program for certain risks, the Company created a wholly-owned captive insurance entity in 2007. At December 31, 2013, the captive insurance entity provides only property and general liability insurance, although it is licensed to also provide casualty and directors' and officers' insurance. The captive insurance entity had no amounts accrued for outstanding claims at December 31, 2013 and 2012.

Certain cash and investments held by the captive insurance entity are restricted primarily for the purpose of potential insurance claims. Restricted cash of $7,927 and $7,752 is included in other noncurrent assets at December 31, 2013 and 2012, respectively, representing required statutory reserves of the captive insurance entity.

Convertible Debentures
Convertible Debentures

The Company separately accounts for the liability and equity components of convertible debt instruments that may be settled in cash in a manner that reflects the Company's nonconvertible debt borrowing rate. The liability component at issuance is recognized at fair value, based on the fair value of a similar instrument that does not have a conversion feature. A discount is recorded if debentures are issued at a coupon rate which is below the rate of a similar instrument that did not have a conversion feature at issuance.  The equity component is based on the excess of the principal amount of the debentures over the fair value of the liability component, after adjusting for an allocation of debt issuance costs and the deferred tax impact, and is recorded as capital in excess of par. Debt discounts are amortized as additional non-cash interest expense over the expected life of the debt.

Recently Adopted Accounting Guidance
Recently Adopted Accounting Guidance

In February 2013, the FASB issued Accounting Standards Update ("ASU") No. 2013-02, Comprehensive Income (Topic 220), Reporting of Amounts Reclassified Out of Accumulated Other Comprehensive Income. The ASU adds new disclosure requirements for items reclassified out of accumulated other comprehensive income. The ASU does not amend any existing requirements for reporting net income or other comprehensive income in the financial statements. The ASU is effective for the Company for interim and annual periods beginning after January 1, 2013. Vishay adopted the ASU on January 1, 2013. The adoption of the ASU had no effect on the Company's financial position, results of operations, or liquidity.

Reclassifications
Reclassifications

Certain prior year amounts have been reclassified to conform to the current financial statement presentation.

XML 42 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
Summary of Quarterly Financial Information (Unaudited)
12 Months Ended
Dec. 31, 2013
Summary of Quarterly Financial Information (Unaudited) [Abstract]  
Summary of Quarterly Financial Information (Unaudited)
Note 20 – Summary of Quarterly Financial Information (Unaudited)

 
 
2013
  
2012
 
 
 
First
  
Second
  
Third
  
Fourth
  
First
  
Second
  
Third
  
Fourth
 
 
 
  
  
  
  
  
  
  
 
Statement of Operations data:
 
  
  
  
  
  
  
  
 
Net revenues
 
$
554,254
  
$
597,665
  
$
602,890
  
$
616,170
  
$
538,547
  
$
588,199
  
$
572,781
  
$
530,570
 
Gross profit
  
136,734
   
142,857
   
143,220
   
144,449
   
136,709
   
147,619
   
133,554
   
108,791
 
Operating income
  
45,605
   
51,890
   
53,153
   
47,034
   
50,345
   
72,883
   
44,459
   
21,514
 
Net earnings
  
29,141
   
31,485
   
32,869
   
30,274
   
34,075
   
45,830
   
22,489
   
21,137
 
Net earnings attributable to
                                
noncontrolling interests
  
210
   
176
   
150
   
253
   
263
   
159
   
209
   
162
 
Net earnings attributable to
                                
Vishay stockholders
  
28,931
   
31,309
   
32,719
   
30,021
   
33,812
   
45,671
   
22,280
   
20,975
 
 
                                
Per Share data:
                                
Basic earnings per share
                                
attributable to Vishay stockholders (a)
 
$
0.20
  
$
0.22
  
$
0.23
  
$
0.20
  
$
0.22
  
$
0.30
  
$
0.16
  
$
0.15
 
 
                                
Diluted earnings per share
                                
attributable to Vishay stockholders (a)
 
$
0.19
  
$
0.21
  
$
0.22
  
$
0.20
  
$
0.21
  
$
0.29
  
$
0.15
  
$
0.14
 
 
                                
Certain Items Recorded during the Quarters:
                                
Operating income (loss):
                                
Restructuring and severance costs
 
$
-
  
$
-
  
$
-
  
$
(2,814
)
 
$
-
  
$
-
  
$
-
  
$
-
 
Gain on sale of property
 
$
-
  
$
-
  
$
-
  
$
-
  
$
-
  
$
12,153
  
$
-
  
$
-
 
Executive compensation  credit
 
$
-
  
$
1,778
  
$
-
  
$
-
  
$
-
  
$
-
  
$
-
  
$
-
 
 
                                
Discrete tax expense (benefit)
 
$
(1,330
)
 
$
-
  
$
(2,867
)
 
$
-
  
$
-
  
$
-
  
$
-
  
$
(4,036
)
 
                                
Quarter end date (b)
 
March 30
  
June 29
  
28-Sep
  
Dec. 31
  
March 31
  
June 30
  
29-Sep
  
Dec. 31
 

(a) May not add due to differences in weighted average share counts.
(b) The Company reports interim financial information for 13-week periods beginning on a Sunday and ending on a Saturday, except for the first fiscal quarter, which always begins on January 1, and the fourth fiscal quarter, which always ends on December 31.


XML 43 R56.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Income (Expense) (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Other Income (Expense) [Abstract]      
Foreign exchange gain (loss) $ (993) $ (3,654) $ (8,249)
Interest income 4,566 7,626 10,386
Sale of investments 0 0 1,396
Other (1,720) (532) 259
Other Income (expense) 1,853 3,440 3,792
Gain on sale of ancillary investment     $ 1,396
XML 44 R44.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment and Geographic Data (Tables)
12 Months Ended
Dec. 31, 2013
Segment and Geographic Data [Abstract]  
Segment reporting information

Note 15 –Segment and Geographic Data (continued)
The following tables set forth business segment information:

 
 
MOSFETs
  
Diodes
  
Optoelectronic
Components
  
Resistors & Inductors
  
Capacitors
  
Corporate / Other
  
Total
 
 
 
  
  
  
  
  
  
 
Year ended December 31, 2013:
 
  
  
  
  
  
  
 
Product sales
 
$
449,299
  
$
547,264
  
$
228,194
  
$
700,115
  
$
439,745
  
$
-
  
$
2,364,617
 
Royalty revenues
  
178
   
-
   
51
   
6,133
   
-
   
-
  
$
6,362
 
Total revenue
 
$
449,477
  
$
547,264
  
$
228,245
  
$
706,248
  
$
439,745
  
$
-
  
$
2,370,979
 
 
                            
Gross Margin
 
$
59,387
  
$
121,231
  
$
76,732
  
$
221,851
  
$
88,059
  
$
-
  
$
567,260
 
 
                            
Depreciation expense
 
$
50,606
  
$
37,305
  
$
12,484
  
$
31,998
  
$
21,596
  
$
1,075
  
$
155,064
 
Interest expense (income)
  
-
   
54
   
122
   
79
   
28
   
22,847
  
$
23,130
 
Capital expenditures
  
41,869
   
44,431
   
18,310
   
32,515
   
13,052
   
2,900
  
$
153,077
 
 
                            
Total Assets as of December 31, 2013:
 
$
543,037
  
$
788,121
  
$
213,128
  
$
843,685
  
$
636,637
  
$
212,531
  
$
3,237,139
 
 
                            
Year ended December 31, 2012:
                            
Product sales
 
$
433,436
  
$
496,744
  
$
209,141
  
$
635,488
  
$
448,157
  
$
-
  
$
2,222,966
 
Royalty revenues
  
246
   
-
   
53
   
6,832
   
-
   
-
  
$
7,131
 
Total revenue
 
$
433,682
  
$
496,744
  
$
209,194
  
$
642,320
  
$
448,157
  
$
-
  
$
2,230,097
 
 
                            
Gross Margin
 
$
56,694
  
$
99,116
  
$
67,943
  
$
204,137
  
$
98,783
  
$
-
  
$
526,673
 
 
                            
Depreciation expense
 
$
49,124
  
$
36,335
  
$
11,917
  
$
31,921
  
$
23,354
  
$
1,150
  
$
153,801
 
Interest expense (income)
  
-
   
64
   
140
   
543
   
52
   
21,805
  
$
22,604
 
Capital expenditures
  
49,201
   
30,025
   
16,759
   
35,878
   
15,531
   
2,897
  
$
150,291
 
 
                            
Total Assets as of December 31, 2012:
 
$
625,597
  
$
670,811
  
$
199,385
  
$
760,257
  
$
587,586
  
$
172,641
  
$
3,016,277
 
 
                            
Year ended December 31, 2011:
                            
Product sales
 
$
537,783
  
$
607,493
  
$
229,814
  
$
634,490
  
$
577,816
  
$
-
  
$
2,587,396
 
Royalty revenues
  
197
   
-
   
72
   
6,364
   
-
   
-
  
$
6,633
 
Total revenue
 
$
537,980
  
$
607,493
  
$
229,886
  
$
640,854
  
$
577,816
  
$
-
  
$
2,594,029
 
 
                            
Gross Margin
 
$
125,498
  
$
143,876
  
$
74,772
  
$
213,997
  
$
161,843
  
$
-
  
$
719,986
 
 
                            
Depreciation expense
 
$
53,808
  
$
39,577
  
$
12,384
  
$
32,039
  
$
25,979
  
$
1,235
  
$
165,022
 
Interest expense (income)
  
12
   
-
   
-
   
223
   
223
   
18,819
  
$
19,277
 
Capital expenditures
  
61,520
   
39,444
   
15,442
   
28,751
   
19,676
   
3,808
  
$
168,641
 
 
                            
Total Assets as of December 31, 2011:
 
$
646,660
  
$
682,017
  
$
163,486
  
$
609,556
  
$
672,049
  
$
219,962
  
$
2,993,730
 


Operating margin reconciliation

Note 15 –Segment and Geographic Data (continued)
 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Operating margin reconciliation:
 
  
  
 
MOSFETs
 
$
19,140
  
$
17,198
  
$
85,336
 
Diodes
  
96,581
   
75,733
   
118,111
 
Optoelectronic Components
  
62,259
   
54,632
   
60,492
 
Resistors & Inductors
  
186,583
   
172,129
   
185,327
 
Capacitors
  
64,494
   
76,858
   
136,901
 
Restructuring and Severance Costs
  
(2,814
)
  
-
   
-
 
Gain on Sale of Property
  
-
   
12,153
   
-
 
Executive Compensation Credit (Charges)
  
1,778
   
-
   
(5,762
)
Unallocated Selling, General, and Administrative Expenses
  
(230,339
)
  
(219,502
)
  
(233,804
)
Consolidated Operating Income (Loss)
 
$
197,682
  
$
189,201
  
$
346,601
 

Revenues Based on Geographic Area

Note 15 –Segment and Geographic Data (continued)

The following table summarizes net revenues based on revenues generated by subsidiaries located within the identified geographic area:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
United States
 
$
591,082
  
$
568,849
  
$
363,847
 
Germany
  
800,733
   
775,204
   
801,539
 
Other Europe
  
89,348
   
61,236
   
175,639
 
Israel
  
13,319
   
14,708
   
219,037
 
Asia
  
876,497
   
810,100
   
1,033,967
 
 
 
$
2,370,979
  
$
2,230,097
  
$
2,594,029
 

Property and Equipment Based on Geographic Area
The following table summarizes property and equipment based on physical location:

 
 
December 31,
 
 
 
2013
  
2012
 
 
 
  
 
United States
 
$
123,812
  
$
133,812
 
Germany
  
130,854
   
121,957
 
Czech Republic
  
47,002
   
51,620
 
Other Europe
  
107,381
   
98,534
 
Israel
  
138,741
   
140,994
 
People's Republic of China
  
172,274
   
169,395
 
Republic of China (Taiwan)
  
120,368
   
116,315
 
Other Asia
  
84,388
   
80,304
 
Other
  
1,799
   
1,621
 
 
 
$
926,619
  
$
914,552
 

XML 45 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings Per Share (Policies)
12 Months Ended
Dec. 31, 2013
Earnings Per Share [Abstract]  
Discussion on convertible debt included in computation of earnings per share diluted
 
The Company's convertible debt instruments are only convertible upon the occurrence of certain events. While none of these events has occurred as of December 31, 2013, certain conditions which could trigger conversion have been deemed to be non-substantive, and accordingly, the Company has always assumed the conversion of these instruments in its diluted earnings per share computation during periods in which they are dilutive.
Discussion on convertible debt not included in computation of earnings per share diluted
 
At the direction of its Board of Directors, the Company intends, upon conversion, to repay the principal amounts of the convertible senior debentures, due 2040, due 2041, and due 2042, in cash and settle any additional amounts in shares of Vishay common stock. Accordingly, the debentures are included in the diluted earnings per share computation using the "treasury stock method" (similar to options and warrants) rather than the "if converted method" otherwise required for convertible debt. Under the "treasury stock method," Vishay calculates the number of shares issuable under the terms of the debentures based on the average market price of Vishay common stock during the period, and that number is included in the total diluted shares figure for the period.  If the average market price is less than $13.88, no shares are included in the diluted earnings per share computation for the convertible senior debentures due 2040, if the average market price is less than $19.02, no shares are included in the diluted earnings per share computation for the convertible senior debentures due 2041, and if the average market price is less than $11.81, no shares are included in the diluted earnings per share computation for the convertible senior debentures due 2042.

XML 46 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements (Policies)
12 Months Ended
Dec. 31, 2013
Fair Value Measurements [Abstract]  
Fair Value of Financial Instruments, Policy
 
The fair value measurement accounting guidance establishes a valuation hierarchy of the inputs used to measure fair value. This hierarchy prioritizes the inputs to valuation techniques used to measure fair value into three broad levels. The following is a brief description of those three levels:

Level 1: Observable inputs such as quoted prices (unadjusted) in active markets for identical assets or liabilities.

Level 2: Inputs other than quoted prices that are observable for the asset or liability, either directly or indirectly. These include quoted prices for similar assets or liabilities in active markets and quoted prices for identical or similar assets or liabilities in markets that are not active.

Level 3: Unobservable inputs that reflect the Company's own assumptions.

An asset or liability's classification within the hierarchy is determined based on the lowest level input that is significant to the fair value measurement.


 
XML 47 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Statements of Stockholders' Equity (Parenthetical)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Phantom and restricted stock issuances (in shares) 393,818 11,323 193,602
Stock options exercised (in shares) 0 22,095 650,621
Share repurchase (in shares)   13,948,687 8,620,689
Common stock issued upon exchange of convertible securities (in shares) 3,664,729 1,323,322 900,290
XML 48 R32.htm IDEA: XBRL DOCUMENT v2.4.0.8
Goodwill and Other Intangible Assets (Tables)
12 Months Ended
Dec. 31, 2013
Goodwill and Other Intangible Assets [Abstract]  
Goodwill rollforward
The changes in the carrying amount of goodwill by segment for the years ended December 31, 2013 and 2012 were as follows:


 
 
Resistors &
Inductors
  
Total
 
 
 
  
 
Balance at January 1, 2012
 
$
9,051
  
$
9,051
 
HiRel Systems acquisition
  
25,815
   
25,815
 
Balance at December 31, 2012
 
$
34,866
  
$
34,866
 
MCB Industrie acquisition
  
7,985
   
7,985
 
Exchange rate effects
  
281
   
281
 
Balance at December 31, 2013
 
$
43,132
  
$
43,132
 

Other Intangible Assets
Other intangible assets are as follows:

 
 
December 31,
 
 
 
2013
  
2012
 
 
 
  
 
Intangible Assets Subject to Amortization
 
  
 
(Definite-lived):
 
  
 
Patents and acquired technology
 
$
92,842
  
$
83,383
 
Capitalized software
  
55,893
   
56,162
 
Customer relationships
  
99,558
   
97,451
 
Tradenames
  
35,845
   
34,534
 
Non-competition agreements
  
1,948
   
1,700
 
 
  
286,086
   
273,230
 
Accumulated amortization:
        
Patents and acquired technology
  
(66,337
)
  
(61,269
)
Capitalized software
  
(50,006
)
  
(50,161
)
Customer relationships
  
(40,727
)
  
(33,416
)
Tradenames
  
(18,560
)
  
(14,579
)
Non-competition agreements
  
(864
)
  
(447
)
 
  
(176,494
)
  
(159,872
)
Net Intangible Assets Subject to Amortization
  
109,592
   
113,358
 
 
        
Intangible Assets Not Subject to Amortization
        
(Indefinite-lived):
        
Tradenames
  
20,359
   
20,359
 
 
 
$
129,951
  
$
133,717
 

Estimated annual amortization expense for each of the next five years
Estimated annual amortization expense of intangible assets on the balance sheet at December 31, 2013 for each of the next five years is as follows:

2014
 
$
17,268
 
2015
  
17,207
 
2016
  
15,552
 
2017
  
11,702
 
2018
  
8,277
 

XML 49 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
Pensions and Other Postretirement Benefits (Tables)
12 Months Ended
Dec. 31, 2013
Defined Benefit Plan Disclosure [Line Items]  
Retirement Plan amounts recorded on consolidated balance sheets
The following table summarizes amounts recorded on the consolidated balance sheets associated with these various retirement benefit plans:

 
 
December 31,
 
 
 
2013
  
2012
 
 
 
  
 
Included in "Other Assets":
 
  
 
U.S. pension plans
 
$
15,708
  
$
-
 
Non-U.S. pension plans
  
257
   
143
 
Total included in other assets
 
$
15,965
  
$
143
 
Included in "Accrued Payroll":
        
U.S. pension plans
 
$
(51
)
 
$
(83
)
Non-U.S. pension plans
  
(7,644
)
  
(6,997
)
U.S. other postretirement plans
  
(638
)
  
(637
)
Total included in accrued payroll
 
$
(8,333
)
 
$
(7,717
)
Accrued pension and other postretirement costs:
        
U.S. pension plans
 
$
(35,397
)
 
$
(89,116
)
Non-U.S. pension plans
  
(224,280
)
  
(229,014
)
U.S. other postretirement plans
  
(6,703
)
  
(7,520
)
Non-U.S. other postretirement plans
  
(7,504
)
  
(6,964
)
Other retirement obligations
  
(14,017
)
  
(12,347
)
Total accrued pension and other postretirement costs
 
$
(287,901
)
 
$
(344,961
)
Accumulated other comprehensive loss:
        
U.S. pension plans
 
$
84,384
  
$
146,525
 
Non-U.S. pension plans
  
61,652
   
71,459
 
U.S. other postretirement plans
  
(5,782
)
  
(5,937
)
Non-U.S. other postretirement plans
  
1,246
   
805
 
Total accumulated other comprehensive loss*
 
$
141,500
  
$
212,852
 

* - Amounts included in accumulated other comprehensive loss are presented in this table pre-tax.


Reconciliation of benefit obligation, plan assets, and funded status
Note 11 – Pensions and Other Postretirement Benefits (continued)

The following table sets forth a reconciliation of the benefit obligation, plan assets, and funded status related to U.S. and non-U.S. pension plans:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
 
Change in benefit obligation:
 
  
  
  
 
Benefit obligation at beginning of year
 
$
355,065
  
$
282,448
  
$
322,527
  
$
243,966
 
Service cost
  
-
   
3,499
   
-
   
3,247
 
Interest cost
  
13,882
   
8,150
   
15,699
   
9,374
 
Plan amendments
  
-
   
23
   
-
   
67
 
Actuarial (gains) losses
  
(34,703
)
  
(5,134
)
  
35,467
   
29,957
 
Benefits paid
  
(18,871
)
  
(13,980
)
  
(18,628
)
  
(11,456
)
Currency translation
  
-
   
5,520
   
-
   
7,293
 
Benefit obligation at end of year
 
$
315,373
  
$
280,526
  
$
355,065
  
$
282,448
 
 
                
Change in plan assets:
                
Fair value of plan assets at beginning
                
of year
 
$
265,866
  
$
46,580
  
$
239,045
   
35,544
 
Actual return on plan assets
  
31,018
   
2,482
   
27,763
   
2,795
 
Company contributions
  
17,620
   
14,781
   
17,686
   
17,905
 
Benefits paid
  
(18,871
)
  
(13,980
)
  
(18,628
)
  
(11,456
)
Currency translation
  
-
   
(1,004
)
  
-
   
1,792
 
Fair value of plan assets at end of year
 
$
295,633
  
$
48,859
  
$
265,866
  
$
46,580
 
 
                
Funded status at end of year
 
$
(19,740
)
 
$
(231,667
)
 
$
(89,199
)
 
$
(235,868
)

The following table sets forth a reconciliation of the benefit obligation, plan assets, and accrued benefit cost related to U.S. and non-U.S. non-pension defined benefit postretirement plans:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
 
Change in benefit obligation:
 
  
  
  
 
Benefit obligation at beginning of year
 
$
8,157
  
$
6,964
  
$
10,924
  
$
5,972
 
Service cost
  
111
   
299
   
106
   
253
 
Interest cost
  
314
   
257
   
366
   
286
 
Plan amendments
  
-
   
-
   
(3,297
)
  
-
 
Actuarial (gains) losses
  
(639
)
  
398
   
660
   
1,022
 
Benefits paid
  
(602
)
  
(740
)
  
(602
)
  
(704
)
Currency translation
  
-
   
326
   
-
   
135
 
Benefit obligation at end of year
 
$
7,341
  
$
7,504
  
$
8,157
  
$
6,964
 
 
                
Fair value of plan assets at end of year
 
$
-
  
$
-
  
$
-
  
$
-
 
 
                
Funded status at end of year
 
$
(7,341
)
 
$
(7,504
)
 
$
(8,157
)
 
$
(6,964
)

Amounts recognized in consolidated balance sheet
Amounts recognized in the consolidated balance sheet consist of the following:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
 
Other assets
 
$
15,708
  
$
257
  
$
-
  
$
143
 
Accrued benefit liability - currrent
  
(51
)
  
(7,644
)
  
(83
)
  
(6,997
)
Accrued benefit liability - non-current
  
(35,397
)
  
(224,280
)
  
(89,116
)
  
(229,014
)
Accumulated other comprehensive loss
  
84,384
   
61,652
   
146,525
   
71,459
 
 
 
$
64,644
  
$
(170,015
)
 
$
57,326
  
$
(164,409
)

Amounts recognized in the consolidated balance sheet consist of the following:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
 
Accrued benefit liability - current
 
$
(638
)
 
$
-
  
$
(637
)
 
$
-
 
Accrued benefit liability - non-current
  
(6,703
)
  
(7,504
)
  
(7,520
)
  
(6,964
)
Accumulated other comprehensive income
  
(5,782
)
  
1,246
   
(5,937
)
  
805
 
 
 
$
(13,123
)
 
$
(6,258
)
 
$
(14,094
)
 
$
(6,159
)



Components of actuarial items
Note 11 – Pensions and Other Postretirement Benefits (continued)

Actuarial items consist of the following:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
 
Unrecognized net actuarial loss
 
$
83,161
  
$
61,652
  
$
144,324
  
$
71,459
 
Unamortized prior service cost
  
1,223
   
-
   
2,201
   
-
 
 
 
$
84,384
  
$
61,652
  
$
146,525
  
$
71,459
 

Note 11 – Pensions and Other Postretirement Benefits (continued)

Actuarial items consist of the following:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
 
Unrecognized net actuarial gain
 
$
(2,301
)
 
$
1,246
  
$
(1,657
)
 
$
805
 
Unamortized prior service (credit) cost
  
(3,481
)
  
-
   
(4,280
)
  
-
 
 
 
$
(5,782
)
 
$
1,246
  
$
(5,937
)
 
$
805
 

Projected and accumulated benefit obligations
The following table sets forth additional information regarding the projected and accumulated benefit obligations:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
 
Accumulated benefit obligation, all plans
 
$
315,373
  
$
260,558
  
$
355,065
  
$
261,557
 
 
                
Plans for which the accumulated benefit
                
obligation exceeds plan assets:
                
Projected benefit obligation
 
$
35,448
  
$
251,569
  
$
355,065
  
$
255,772
 
Accumulated benefit obligation
  
35,448
   
238,419
   
355,065
   
240,816
 
Fair value of plan assets
  
-
   
21,356
   
265,866
   
20,436
 

Components of the net periodic benefit costs
The following table sets forth the components of net periodic pension cost:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
  
  
 
Service cost net of employee contributions
 
$
-
  
$
3,499
  
$
-
  
$
3,247
  
$
-
  
$
3,197
 
Interest cost
  
13,882
   
8,150
   
15,699
   
9,374
   
16,332
   
10,366
 
Expected return on plan assets
  
(19,124
)
  
(2,084
)
  
(18,972
)
  
(1,667
)
  
(19,082
)
  
(1,651
)
Amortization of actuarial losses
  
14,566
   
3,407
   
12,960
   
1,681
   
9,006
   
993
 
Amortization of prior service cost
  
978
   
(12
)
  
2,200
   
60
   
2,361
   
531
 
Curtailment and settlement losses (gains)
  
-
   
959
   
-
   
-
   
148
   
-
 
Net periodic benefit cost
 
$
10,302
  
$
13,919
  
$
11,887
  
$
12,695
  
$
8,765
  
$
13,436
 

The following table sets forth the components of net periodic benefit cost:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
  
  
 
Service cost
 
$
111
  
$
299
  
$
106
  
$
253
  
$
77
  
$
275
 
Interest cost
  
314
   
257
   
366
   
286
   
547
   
282
 
Amortization of actuarial gains
  
4
   
8
   
(76
)
  
-
   
(315
)
  
-
 
Amortization of prior service credit
  
(798
)
  
-
   
(798
)
  
-
   
(431
)
  
-
 
Amortization of transition obligation
  
-
   
-
   
32
   
-
   
47
   
-
 
Net periodic benefit cost
 
$
(369
)
 
$
564
  
$
(370
)
 
$
539
  
$
(75
)
 
$
557
 

Weighted average assumptions used
The following weighted average assumptions were used to determine benefit obligations at December 31 of the respective years:

 
 
2013
  
2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
Discount rate
  
5.00
%
  
3.11
%
  
4.00
%
  
3.04
%
Rate of compensation increase
  
0.00
%
  
1.99
%
  
0.00
%
  
1.48
%

The following weighted average assumptions were used to determine the net periodic pension costs for the years ended December 31, 2013 and 2012:

 
 
Years ended December 31,
 
 
 
2013
  
2012
 
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
Discount rate
  
4.00
%
  
3.04
%
  
5.00
%
  
3.96
%
Rate of compensation increase
  
0.00
%
  
1.48
%
  
0.00
%
  
2.31
%
Expected return on plan assets
  
7.25
%
  
4.44
%
  
8.00
%
  
4.47
%


The following weighted average assumptions were used to determine benefit obligations at December 31 of the respective years:

 
 
2013
  
2012
 
 
 
 
U.S.
Plans
  
Non-U.S. Plans
  
U.S.
Plans
  
Non-U.S. Plans
 
 
 
  
  
  
 
Discount rate
  
5.00
%
  
3.44
%
  
4.00
%
  
3.80
%
Rate of compensation increase
  
0.00
%
  
3.19
%
  
0.00
%
  
3.20
%

The following weighted average assumptions were used to determine the net periodic benefit costs for the years ended December 31, 2013 and 2012:

 
 
Years ended December 31,
 
 
 
2013
  
2012
 
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S. Plans
 
 
 
  
  
  
 
Discount rate
  
4.00
%
  
3.80
%
  
5.00
%
  
5.09
%
Rate of compensation increase
  
0.00
%
  
3.20
%
  
0.00
%
  
3.22
%


Estimated future benefit payments
Note 11 – Pensions and Other Postretirement Benefits (continued)

Estimated future benefit payments are as follows:

 
 
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
 
2014
 
$
19,128
  
$
14,249
 
2015
  
19,451
   
14,082
 
2016
  
19,780
   
14,501
 
2017
  
26,378
   
16,769
 
2018
  
21,926
   
15,292
 
2019-2023
  
109,815
   
90,491
 

Note 11 – Pensions and Other Postretirement Benefits (continued)

Estimated future benefit payments are as follows:

 
 
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
 
2014
 
$
638
  
$
420
 
2015
  
720
   
267
 
2016
  
704
   
329
 
2017
  
693
   
453
 
2018
  
678
   
551
 
2019-2023
  
2,940
   
3,650
 

XML 50 R53.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended 12 Months Ended 3 Months Ended 12 Months Ended 12 Months Ended 12 Months Ended 12 Months Ended
Dec. 31, 2013
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 31, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2008
Dec. 31, 2013
California Research Credit [Member]
Dec. 31, 2013
U.S. Foreign Tax Credit [Member]
Dec. 31, 2013
Minimum [Member]
U.S. Foreign Tax Credit [Member]
Dec. 31, 2013
Maximum [Member]
U.S. Foreign Tax Credit [Member]
Dec. 31, 2013
AUSTRIA [Member]
Dec. 31, 2013
BELGIUM [Member]
Dec. 31, 2013
BRAZIL [Member]
Dec. 31, 2013
Germany [Member]
Dec. 31, 2011
Israel [Member]
Apr. 02, 2011
Israel [Member]
Dec. 31, 2013
Israel [Member]
Dec. 31, 2013
NETHERLANDS [Member]
Dec. 31, 2013
NETHERLANDS [Member]
Minimum [Member]
Dec. 31, 2013
NETHERLANDS [Member]
Maximum [Member]
Dec. 31, 2013
California [Member]
Dec. 31, 2013
California [Member]
Minimum [Member]
Dec. 31, 2013
California [Member]
Maximum [Member]
Dec. 31, 2013
Pennsylvania [Member]
Dec. 31, 2013
Pennsylvania [Member]
Minimum [Member]
Dec. 31, 2013
Pennsylvania [Member]
Maximum [Member]
Dec. 31, 2013
United States [Member]
Dec. 31, 2013
BCcomponents acquisition [Member]
Dec. 31, 2012
BCcomponents acquisition [Member]
Dec. 31, 2013
Non- U.S. Deferred Tax Asset [Member]
Dec. 31, 2012
Non- U.S. Deferred Tax Asset [Member]
Dec. 31, 2011
Non- U.S. Deferred Tax Asset [Member]
Income (loss) from continuing operations before taxes and noncontrolling interests [Abstract]                                                                              
Domestic                   $ (26,065) $ (15,995) $ 2,143                                                      
Foreign                   202,470 186,032 328,973                                                      
Income before taxes                   176,405 170,037 331,116                                                      
Current income tax expense:                                                                              
Federal                   (603) 8,409 10,968                                                      
State and local                   280 574 (801)                                                      
Foreign                   51,225 44,351 66,844                                                      
Total current income tax expense                   50,902 53,334 77,011                                                      
Deferred income tax expense:                                                                              
Federal                   2,215 (8,557) 6,188                                                      
State and local                   92 (240) (2,286)                                                      
Foreign 0 (2,867) 0 (1,330) (4,036) 0 0 0   (573) 1,969 10,206                                                      
Total deferred income tax expense                   1,734 (6,828) 14,108                                                      
Total income tax expense                   52,636 46,506 91,119                                                      
Deferred tax assets:                                                                              
Pension and other retiree obligations 34,343       58,577         34,343 58,577                                                        
Inventories 8,759       13,881         8,759 13,881                                                        
Net operating loss carryforwards 182,691       158,638         182,691 158,638                                                        
Tax credit carryforwards 20,780       16,180         20,780 16,180                                                        
Other accruals and reserves 31,469       34,194         31,469 34,194                                                        
Total gross deferred tax assets 278,042       281,470         278,042 281,470                                                        
Less valuation allowance (183,289)       (166,266)         (183,289) (166,266)                                                        
Deferred tax assets, net 94,753       115,204         94,753 115,204                                                        
Deferred tax liabilities:                                                                              
Tax over book depreciation (10,652)       (13,975)         (10,652) (13,975)                                                        
Earnings not permanently reinvested 0       (1,652)         0 (1,652)                                                        
Convertible debentures (162,371)       (149,113)         (162,371) (149,113)                                                        
Other - net (5,932)       (2,711)         (5,932) (2,711)                                                        
Total gross deferred tax liabilities (178,955)       (167,451)         (178,955) (167,451)                                                        
Net deferred tax assets (liabilities) (84,202)       (52,247)         (84,202) (52,247)                                                        
Reconciliation of income tax expense at federal statutory rate to actual income tax provision [Abstract]                                                                              
Tax at statutory rate                   61,742 59,513 115,891                                                      
State income taxes, net of U.S. federal tax benefit                   242 217 (2,005)                                                      
Effect of foreign operations                   (18,696) (19,083) (52,609)                                                      
Unrecognized tax benefits                   2,862 6,626 4,869                                                      
Change in valuation allowance on deferred tax asset                                                                         (285) (4,036) (5,554)
Tax benefit of operating loss carryforwards                   (1,259) (671) (1,588)                                                      
Foreign income taxable in the U.S.                   11,961 7,476 22,822                                                      
Tax on foreign dividends paid to U.S.                   0 0 15,453                                                      
U.S. foreign tax credits                   0 (4,257) (12,322)                                                      
Effect of statutory rate changes on deferred tax assets                   (2,867) 0 9,040                                                      
Other                   (1,064) 721 (2,878)                                                      
Total income tax expense                   52,636 46,506 91,119                                                      
Operating Loss Carryforwards [Line Items]                                                                              
Significant Change in Unrecognized Tax Benefits is Reasonably Possible, Estimated Range of Change, Lower Bound 30,900                 30,900                                                          
Significant Change in Unrecognized Tax Benefits is Reasonably Possible, Estimated Range of Change, Upper Bound 35,000                 35,000                                                          
Net operating loss carryforwards [Abstract]                                                                              
Net operating loss carryforward                                   13,699 196,898 16,736 49,880     79,406 24,136     54,317     637,923     41,575 72,926        
Expiration date                                   No expiration No expiration No expiration No expiration     No expiration   2014 2022   2016 2033   2018 2033 2033          
Valuation allowances                                                                     24,788 23,946      
Tax benefit recognized through a reduction of acquisition-date valuation allowances recorded as a reduction of tax expense                   0 0 4,299                                                      
Discrete Tax Items Included Income Tax Expense   (2,867)   (1,330)         (5,554) (4,197) (4,036) 3,486                   (984) 10,024                                
Available tax credit carryforwards [Abstract]                                                                              
Federal Alternative Minimum Tax                             11,026                                                
California Research Credit                           9,062                                                  
Expiration Date                           No expiration   2020 2022                                            
Income tax uncertainties [Abstract]                                                                              
Cash repatriated during the current period           72,100                                                                  
Foreign earnings without provision for US Tax 2,752,155                 2,752,155                                                          
Additional expected repatriation                         112,500                                                    
Net income taxes paid (refunded)                   44,757 46,611 126,918                                                      
Company accrued interest and penalties related to the unrecognized tax benefits 7,766       8,513         7,766 8,513                                                        
Company recognized interest and penalties.                   2,218 2,833 3,795                                                      
Unrecognized tax benefits [Roll Forward]                                                                              
Balance at beginning of year       51,771       48,152   51,771 48,152 52,066                                                      
Addition based on tax positions related to the current year                   0 665 2,459                                                      
Addition based on tax positions related to prior years                   4,015 3,498 7,232                                                      
Currency translation adjustments                   310 (215) (749)                                                      
Reduction based on tax positions related to prior years                   (2,054) 0 (3,293)                                                      
Reduction for settlements                   (7,316) (329) (9,528)                                                      
Reduction for lapses of statute of limitation                   (849) 0 (35)                                                      
Balance at end of year $ 45,877       $ 51,771       $ 48,152 $ 45,877 $ 51,771 $ 48,152                                                      
XML 51 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Condensed Balance Sheets (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2013
Dec. 31, 2012
Current assets:    
Cash and cash equivalents $ 640,348 $ 697,595
Short-term investments 511,231 294,943
Accounts receivable, net 274,083 247,035
Inventories:    
Finished goods 109,617 109,571
Work in process 197,600 177,350
Raw materials 125,491 120,728
Total inventories 432,708 407,649
Deferred income taxes 21,716 24,385
Prepaid expenses and other current assets 100,594 119,656
Total current assets 1,980,680 1,791,263
Property and equipment, at cost:    
Land 93,685 92,348
Buildings and improvements 560,418 523,091
Machinery and equipment 2,340,778 2,163,182
Construction in progress 95,278 101,570
Allowance for depreciation (2,163,540) (1,965,639)
Property and equipment, net 926,619 914,552
Goodwill 43,132 34,866
Other intangible assets, net 129,951 133,717
Other assets 156,757 141,879
Total assets 3,237,139 3,016,277
Current liabilities:    
Notes payable to banks 2 6
Trade accounts payable 163,894 147,936
Payroll and related expenses 120,997 108,353
Other accrued expenses 146,670 148,660
Income taxes 17,502 7,215
Total current liabilities 449,065 412,170
Long-term debt less current portion 364,911 392,931
Deferred income taxes 157,640 129,379
Other liabilities 99,426 108,600
Accrued pension and other postretirement costs 287,901 344,961
Total liabilities 1,358,943 1,388,041
Commitments and contingencies      
Vishay stockholders' equity    
Preferred stock      
Common stock 13,520 13,114
Class B convertible common stock 1,213 1,213
Capital in excess of par value 2,054,087 1,999,901
(Accumulated deficit) retained earnings (257,698) (380,678)
Accumulated other comprehensive income (loss) 61,634 (10,222)
Total Vishay stockholders' equity 1,872,756 1,623,328
Noncontrolling interests 5,440 4,908
Total equity 1,878,196 1,628,236
Total liabilities and equity $ 3,237,139 $ 3,016,277
XML 52 R45.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings Per Share (Tables)
12 Months Ended
Dec. 31, 2013
Earnings Per Share [Abstract]  
Schedule of Earnings Per Share, Basic and Diluted
The following table sets forth the computation of basic and diluted earnings per share attributable to Vishay stockholders (shares in thousands):

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Numerator:
 
  
  
 
Numerator for basic earnings per share:
 
  
  
 
Net earnings
 
$
122,980
  
$
122,738
  
$
238,821
 
 
            
Adjustment to the numerator for continuing operations and net earnings:
            
Interest savings assuming conversion of dilutive convertible and exchangeable notes, net of tax
  
140
   
293
   
189
 
 
            
Numerator for diluted earnings per share:
            
Net earnings
 
$
123,120
  
$
123,031
  
$
239,010
 
 
            
Denominator:
            
Denominator for basic earnings per share:
            
Weighted average shares
  
144,856
   
149,020
   
160,094
 
 
            
Effect of dilutive securities:
            
Convertible and exchangeable debt instruments
  
6,130
   
6,176
   
7,820
 
Restricted stock units
  
320
   
549
   
212
 
Other
  
111
   
99
   
388
 
Dilutive potential common shares
  
6,561
   
6,824
   
8,420
 
 
            
Denominator for diluted earnings per share:
            
Adjusted weighted average shares
  
151,417
   
155,844
   
168,514
 
 
            
 
            
Basic earnings per share attributable to Vishay stockholders
  $
0.85
  
$
0.82
  
$
1.49
 
 
            
Diluted earnings per share attributable to Vishay stockholders
  $
0.81
  
$
0.79
  
$
1.42
 


Schedule of Antidilutive Securities Excluded from Computation of Earnings Per Share
Note 16 – Earnings Per Share (continued)

Diluted earnings per share for the years presented do not reflect the following weighted average potential common shares, as the effect would be antidilutive (in thousands):

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Convertible and exchangeable notes:
 
  
  
 
Convertible Senior Debentures, due 2040
  
19,809
   
19,809
   
9,905
 
Convertible Senior Debentures, due 2041
  
7,885
   
7,885
   
5,026
 
Convertible Senior Debentures, due 2042
  
-
   
7,434
   
-
 
Weighted average employee stock options
  
91
   
177
   
182
 
Weighted average warrants
  
-
   
8,390
   
8,824
 
Weighted average other
  
385
   
282
   
123
 

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Consolidated Statements of Cash Flows (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Continuing operating activities      
Net earnings $ 123,769 $ 123,531 $ 239,997
Adjustments to reconcile net earnings (loss) to net cash provided by operating activities:      
Depreciation and amortization 170,132 168,555 179,706
(Gain) loss on disposal of property and equipment 26 (12,894) (930)
Accretion of interest on convertible debentures 3,646 3,028 2,046
Inventory write-offs for obsolescence 19,108 20,865 21,118
Pensions and other postretirement benefits, net of contributions (9,327) (12,146) (11,385)
Deferred income taxes 1,734 (6,828) 14,108
Other (7,009) 8,530 (16,120)
Net change in operating assets and liabilities, net of effects of businesses acquired (10,009) (5,152) (52,503)
Net cash provided by continuing operating activities 292,070 287,489 376,037
Continuing investing activities      
Capital expenditures (153,077) (150,291) (168,641)
Proceeds from sale of property and equipment 4,681 10,241 2,162
Purchase of businesses, net of cash acquired (23,034) (85,493) (19,335)
Purchase of short-term investments (664,867) (381,040) (497,258)
Maturity of short-term investments 465,668 339,287 226,792
Sale of investments 0 0 2,167
Other investing activities (176) (1,828) 1,350
Net cash used in continuing investing activities (370,805) (269,124) (452,763)
Continuing financing activities      
Proceeds from long-term borrowings 0 150,000 150,000
Issuance costs (4,558) (4,827) (4,429)
Principal payments on long-term debt and capital leases (28) (27) (681)
Net (payments) proceeds on revolving credit lines 25,000 (66,000) (85,000)
Common stock repurchases 0 (150,000) (150,000)
Net changes in short-term borrowings (146) (115) (10)
Distributions to noncontrolling interests (257) (1,040) (1,440)
Proceeds from stock options exercised 0 174 9,675
Excess tax benefit from stock options exercised 196 0 555
Other financing activities (3,638) 0 0
Net cash provided by (used in) continuing financing activities 16,569 (71,835) (81,330)
Effect of exchange rate changes on cash and cash equivalents 4,919 1,977 9,806
Net decrease in cash and cash equivalents from continuing activities (57,247) (51,493) (148,250)
Cash and cash equivalents at beginning of year 697,595 749,088 897,338
Cash and cash equivalents at end of year $ 640,348 $ 697,595 $ 749,088

XML 55 R59.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accumulated Other Comprehensive Income (Loss), Accumulated Other Comprehensive Income (Loss) Reclassifications (Details) (Unrealized Gain (Loss) on Available-for-Sale Securities [Member], Reclassification out of Accumulated Other Comprehensive Income [Member], USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Rabbi Trust Assets [Member]
     
Reclassification Adjustment out of Accumulated Other Comprehensive Income [Line Items]      
Component of Selling, General, and Administrative Expense $ 1,966 $ 0 $ 17
Other AFS Securities [Member]
     
Reclassification Adjustment out of Accumulated Other Comprehensive Income [Line Items]      
Component of Other Income $ 53 $ 0 $ 0
XML 56 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
Long-Term Debt (Tables)
12 Months Ended
Dec. 31, 2013
Long-Term Debt [Abstract]  
Schedule of long-term debt instruments
Long-term debt consists of the following:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
  
 
Credit facility
 
$
114,000
  
$
89,000
 
Exchangeable unsecured notes, due 2102
  
38,642
   
95,042
 
Convertible senior debentures, due 2040
  
101,846
   
100,166
 
Convertible senior debentures, due 2041
  
52,264
   
51,399
 
Convertible senior debentures, due 2042
  
58,159
   
57,324
 
 
  
364,911
   
392,931
 
Less current portion
  
-
   
-
 
 
 
$
364,911
  
$
392,931
 

Key terms of the convertible debentures

Convertible Senior Debentures

Vishay currently has three issuances of convertible senior debentures outstanding with generally congruent terms. The following table summarizes some key facts and terms regarding the three series of outstanding convertible senior debentures:

 
 
Due 2040
  
Due 2041
  
Due 2042
 
 
 
  
  
 
Issuance date
 
November 9, 2010
  
May 13, 2011
  
May 31, 2012
 
Maturity date
 
November 15, 2040
  
May 15, 2041
  
June 1, 2042
 
Principal amount
 
$
275,000
  
$
150,000
  
$
150,000
 
Cash coupon rate (per annum)
  
2.25
%
  
2.25
%
  
2.25
%
Nonconvertible debt borrowing rate at issuance (per annum)
  
8.00
%
  
8.375
%
  
7.50
%
Initial conversion rate (per $1 principal amount)
  
72.0331
   
52.5659
   
84.6937
 
Effective conversion price (per share)
 
$
13.88
  
$
19.02
  
$
11.81
 
130% of the conversion price (per share)
 
$
18.04
  
$
24.73
  
$
15.35
 
Call date
 
November 20, 2020
  
May 20, 2021
  
June 7, 2022
 

Liability and equity components of the convertible debentures
Note 6 – Long-Term Debt (continued)

The carrying values of the liability and equity components of the convertible debentures are reflected in the Company's consolidated balance sheets as follows:

 
 
Principal amount of the debentures
  
Unamortized discount
  
Embedded derivative
  
Carrying value of liability component
  
Equity component - net carrying value
 
 
 
  
  
  
  
 
December 31, 2013
 
  
  
  
  
 
Due 2040
 
$
275,000
   
(173,645
)
  
491
  
$
101,846
  
$
110,094
 
Due 2041
 
$
150,000
   
(98,085
)
  
349
  
$
52,264
  
$
62,246
 
Due 2042
 
$
150,000
   
(92,038
)
  
197
  
$
58,159
  
$
57,874
 
Total
 
$
575,000
  
$
(363,768
)
 
$
1,037
  
$
212,269
  
$
230,214
 
 
                    
December 31, 2012
                    
Due 2040
 
$
275,000
   
(175,456
)
  
622
  
$
100,166
  
$
110,094
 
Due 2041
 
$
150,000
   
(99,000
)
  
399
  
$
51,399
  
$
62,246
 
Due 2042
 
$
150,000
   
(92,958
)
  
282
  
$
57,324
  
$
57,874
 
Total
 
$
575,000
  
$
(367,414
)
 
$
1,303
  
$
208,889
  
$
230,214
 


Schedule of Interest Expense on Convertible Debt [Table Text Block]
Interest expense related to the debentures is reflected on the consolidated statements of operations for the years ended December 31:

 
 
 
Contractual coupon interest
  
Non-cash amortization of debt discount
  
Non-cash amortization of deferred financing costs
  
Non-cash change in value of derivative liability
  
Total interest expense related to the debentures
 
 
 
  
  
  
  
 
2013
 
  
  
  
  
 
Due 2040
 
$
6,188
   
1,811
   
88
   
(131
)
 
$
7,956
 
Due 2041
 
$
3,375
   
915
   
47
   
(50
)
 
$
4,287
 
Due 2042
 
$
3,375
   
920
   
54
   
(85
)
 
$
4,264
 
Total
 
$
12,938
  
$
3,646
  
$
189
  
$
(266
)
 
$
16,507
 
 
                    
2012
                    
Due 2040
 
$
6,188
   
1,675
   
88
   
28
  
$
7,979
 
Due 2041
 
$
3,375
   
843
   
45
   
7
  
$
4,270
 
Due 2042
 
$
1,978
   
510
   
32
   
46
  
$
2,566
 
Total
 
$
11,541
  
$
3,028
  
$
165
  
$
81
  
$
14,815
 
 
                    
2011
                    
Due 2040
 
$
6,188
   
1,548
   
88
   
275
  
$
8,099
 
Due 2041
 
$
2,128
   
498
   
29
   
181
  
$
2,836
 
Total
 
$
8,316
  
$
2,046
  
$
117
  
$
456
  
$
10,935
 


Aggregate annual maturities of long-term debt
Note 6 – Long-Term Debt (continued)

Other Borrowings Information
Aggregate annual maturities of long-term debt, based on the terms stated in the respective agreements, are as follows:
2014
 
$
-
 
2015
  
-
 
2016
  
-
 
2017
  
-
 
2018
  
114,000
 
Thereafter
  
613,642
 

XML 57 R65.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment and Geographic Data, Revenue and assets by geographic area (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2013
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 31, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Revenues from External Customers and Long-Lived Assets [Line Items]                      
Net revenues $ 616,170 $ 602,890 $ 597,665 $ 554,254 $ 530,570 $ 572,781 $ 588,199 $ 538,547 $ 2,370,979 $ 2,230,097 $ 2,594,029
Property and equipment, net 926,619       914,552       926,619 914,552  
United States [Member]
                     
Revenues from External Customers and Long-Lived Assets [Line Items]                      
Net revenues                 591,082 568,849 363,847
Property and equipment, net 123,812       133,812       123,812 133,812  
Germany [Member]
                     
Revenues from External Customers and Long-Lived Assets [Line Items]                      
Net revenues                 800,733 775,204 801,539
Property and equipment, net 130,854       121,957       130,854 121,957  
Czech Republic [Member]
                     
Revenues from External Customers and Long-Lived Assets [Line Items]                      
Property and equipment, net 47,002       51,620       47,002 51,620  
Other Europe [Member]
                     
Revenues from External Customers and Long-Lived Assets [Line Items]                      
Net revenues                 89,348 61,236 175,639
Property and equipment, net 107,381       98,534       107,381 98,534  
Israel [Member]
                     
Revenues from External Customers and Long-Lived Assets [Line Items]                      
Net revenues                 13,319 14,708 219,037
Property and equipment, net 138,741       140,994       138,741 140,994  
Asia [Member]
                     
Revenues from External Customers and Long-Lived Assets [Line Items]                      
Net revenues                 876,497 810,100 1,033,967
People's Republic of China [Member]
                     
Revenues from External Customers and Long-Lived Assets [Line Items]                      
Property and equipment, net 172,274       169,395       172,274 169,395  
Republic of China (Taiwan) [Member]
                     
Revenues from External Customers and Long-Lived Assets [Line Items]                      
Property and equipment, net 120,368       116,315       120,368 116,315  
Other Asia [Member]
                     
Revenues from External Customers and Long-Lived Assets [Line Items]                      
Property and equipment, net 84,388       80,304       84,388 80,304  
Other Geographic Area [Member]
                     
Revenues from External Customers and Long-Lived Assets [Line Items]                      
Property and equipment, net $ 1,799       $ 1,621       $ 1,799 $ 1,621  
XML 58 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
Current Vulnerability Due to Certain Concentrations
12 Months Ended
Dec. 31, 2013
Current Vulnerability Due to Certain Concentrations Abstract  
Current Vulnerability Due to Certain Concentrations
Note 14 – Current Vulnerability Due to Certain Concentrations

Market Concentrations

While no single customer comprises greater than 10% of net revenues, a material portion of the Company's revenues are derived from the worldwide industrial, automotive, telecommunications, and computing markets. These markets have historically experienced wide variations in demand for end products. If demand for these end products should decrease, the producers thereof could reduce their purchases of the Company's products, which could have a material adverse effect on the Company's results of operations and financial position.

Credit Risk Concentrations

Financial instruments with potential credit risk consist principally of cash and cash equivalents, short-term investments, accounts receivable, and notes receivable. Concentrations of credit risk with respect to receivables are generally limited due to the Company's large number of customers and their dispersion across many countries and industries. As of December 31, 2013, one customer comprised 13.9% of the Company's accounts receivable balance.  This customer comprised 14.7% of the Company's accounts receivable balance as of December 31, 2012.  No other customer comprised greater than 10% of the Company's accounts receivable balance as of December 31, 2013 or December 31, 2012. The Company continually monitors the credit risks associated with its accounts receivable and adjusts the allowance for uncollectible accounts accordingly. The credit risk exposure associated with the accounts receivable is limited by the allowance and is not considered material to the financial statements.

The Company maintains cash and cash equivalents and short-term investments with various major financial institutions. The Company is exposed to credit risk related to the potential inability to access liquidity in financial institutions where its cash and cash equivalents and short-term investments are concentrated. As of December 31, 2013, the following financial institutions held over 10% of the Company's combined cash and cash equivalents and short-term investments balance:

UniCredit*
  
14.3
%
Bank of Tokyo Mitsubishi*
  
13.2
%
HSBC*
  
12.3
%
KBC*
  
10.6
%
Bank Leumi*
  
10.1
%

___________________________________________________
*Participant in Credit Facility

Sources of Supplies

Many of the Company's products require the use of raw materials that are produced in only a limited number of regions around the world or are available from only a limited number of suppliers. The Company's consolidated results of operations may be materially and adversely affected if there are significant price increases for these raw materials, the Company has difficulty obtaining these raw materials, or the quality of available raw materials deteriorates. For periods in which the prices of these raw materials are rising, the Company may be unable to pass on the increased cost to the Company's customers, which would result in decreased margins for the products in which they are used. For periods in which the prices are declining, the Company may be required to write down its inventory carrying cost of these raw materials which, depending on the extent of the difference between market price and its carrying cost, could have a material adverse effect on the Company's net earnings.

Note 14 – Current Vulnerability Due to Certain Concentrations (continued)

Vishay is a major consumer of the world's annual production of tantalum. Tantalum, a metal purchased in powder or wire form, is the principal material used in the manufacture of tantalum capacitors. There are few suppliers that process tantalum ore into capacitor grade tantalum powder.

From time to time, there have been short-term market shortages of raw materials utilized by the Company. While these shortages have not historically adversely affected the Company's ability to increase production of products containing these raw materials, they have historically resulted in higher raw material costs for the Company. The Company cannot assure that any of these market shortages in the future would not adversely affect the Company's ability to increase production, particularly during periods of growing demand for the Company's products.

Certain raw materials used in the manufacture of the Company's products, such as gold, copper, palladium, and other metals, are traded on active markets and can be subject to significant price volatility. To ensure adequate supply and to provide cost certainty, the Company's policy is to enter into short-term commitments to purchase defined portions of annual consumption of the raw materials utilized by the Company if market prices decline below budget.  If after entering into these commitments, the market prices for these raw materials decline, the Company must recognize losses on these adverse purchase commitments.

Recently enacted rules in the U.S. on conflict minerals, which include tantalum, tungsten, tin, and gold, all of which are used in the Company's products, could result in increased prices and decreased supply of conflict minerals, which could negatively affect the Company's consolidated results of operations.

Geographic Concentration

The Company has operations outside the United States, and approximately 75% of revenues earned during 2013 were derived from sales to customers outside the United States. Additionally, as of December 31, 2013, $1,132,079 of the Company's cash and cash equivalents and short-term investments were held in countries outside of the United States. Some of the Company's products are produced and cash and cash equivalents and short-term investments are held in countries which are subject to risks of political, economic, and military instability. This instability could result in wars, riots, nationalization of industry, currency fluctuations, and labor unrest. These conditions could have an adverse impact on the Company's ability to operate in these regions and, depending on the extent and severity of these conditions, could materially and adversely affect the Company's overall financial condition, operating results, and ability to access its liquidity when needed. As of December 31, 2013 the Company's cash and cash equivalents and short-term investments were concentrated in the following countries:

Germany
  
44.4
%
Israel
  
22.5
%
Singapore
  
8.6
%
People's Republic of China
  
7.6
%
The Republic of China (Taiwan)
  
6.4
%
Canada
  
3.2
%
United States
  
1.7
%
Other Asia
  
3.2
%
Other Europe
  
1.6
%
Other
  
0.8
%

Vishay has been in operation in Israel for 43 years. The Company has never experienced any material interruption in its operations attributable to these factors, in spite of several Middle East crises, including wars.


XML 59 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stockholders' Equity (Tables)
12 Months Ended
Dec. 31, 2013
Stockholders' Equity [Abstract]  
Shares of common stock reserved for future issuance
At December 31, 2013, the Company had reserved shares of common stock for future issuance as follows:

Common stock options outstanding
  
109,000
 
Restricted stock units outstanding
  
1,059,000
 
2007 Stock Incentive Program - available to grant
  
766,000
 
Phantom stock units outstanding
  
107,000
 
Phantom stock units available to grant
  
75,000
 
Exchangeable unsecured notes, due 2102
  
2,511,742
 
Convertible senior debentures, due 2040*
  
22,285,258
 
Convertible senior debentures, due 2041*
  
8,870,490
 
Convertible senior debentures, due 2042*
  
14,450,865
 
Conversion of Class B common stock
  
12,129,227
 
 
  
62,363,582
 
___________________
*The convertible senior debentures due 2040, due 2041, and due 2042 are convertible into 19,809,103, 7,884,885, and 12,704,055shares, respectively, of Vishay common stock.  The Company has reserved the maximum amount of shares to be delivered upon a make-whole fundamental change as defined in the indentures governing the debentures.
 
Subsequent Event
 
On February 3, 2014, the Company's Board of Directors approved the initiation of a quarterly cash dividend program.  The initial cash dividend of $0.06 per share of common stock and Class B common stock will be paid on March 27, 2014 to stockholders of record at the close of business on March 3, 2014.  Future dividends will be subject to approval by the Board of Directors.
 
 

XML 60 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings Per Share
12 Months Ended
Dec. 31, 2013
Earnings Per Share [Abstract]  
Earnings Per Share
Note 16 – Earnings Per Share

Basic earnings per share is computed using the weighted average number of common shares outstanding during the periods presented. Diluted earnings per share is computed using the weighted average number of common shares outstanding adjusted to include the potentially dilutive effect of stock options and restricted stock units (see Note 12), warrants (see Note 7), convertible debt instruments (see Note 6), and other potentially dilutive securities.

The following table sets forth the computation of basic and diluted earnings per share attributable to Vishay stockholders (shares in thousands):

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Numerator:
 
  
  
 
Numerator for basic earnings per share:
 
  
  
 
Net earnings
 
$
122,980
  
$
122,738
  
$
238,821
 
 
            
Adjustment to the numerator for continuing operations and net earnings:
            
Interest savings assuming conversion of dilutive convertible and exchangeable notes, net of tax
  
140
   
293
   
189
 
 
            
Numerator for diluted earnings per share:
            
Net earnings
 
$
123,120
  
$
123,031
  
$
239,010
 
 
            
Denominator:
            
Denominator for basic earnings per share:
            
Weighted average shares
  
144,856
   
149,020
   
160,094
 
 
            
Effect of dilutive securities:
            
Convertible and exchangeable debt instruments
  
6,130
   
6,176
   
7,820
 
Restricted stock units
  
320
   
549
   
212
 
Other
  
111
   
99
   
388
 
Dilutive potential common shares
  
6,561
   
6,824
   
8,420
 
 
            
Denominator for diluted earnings per share:
            
Adjusted weighted average shares
  
151,417
   
155,844
   
168,514
 
 
            
 
            
Basic earnings per share attributable to Vishay stockholders
  $
0.85
  
$
0.82
  
$
1.49
 
 
            
Diluted earnings per share attributable to Vishay stockholders
  $
0.81
  
$
0.79
  
$
1.42
 


Note 16 – Earnings Per Share (continued)

Diluted earnings per share for the years presented do not reflect the following weighted average potential common shares, as the effect would be antidilutive (in thousands):

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Convertible and exchangeable notes:
 
  
  
 
Convertible Senior Debentures, due 2040
  
19,809
   
19,809
   
9,905
 
Convertible Senior Debentures, due 2041
  
7,885
   
7,885
   
5,026
 
Convertible Senior Debentures, due 2042
  
-
   
7,434
   
-
 
Weighted average employee stock options
  
91
   
177
   
182
 
Weighted average warrants
  
-
   
8,390
   
8,824
 
Weighted average other
  
385
   
282
   
123
 

In periods in which they are dilutive, if the potential common shares related to the exchangeable notes are included in the computation, the related interest savings, net of tax, assuming conversion/exchange is added to the net earnings used to compute earnings per share.

The Company's convertible debt instruments are only convertible upon the occurrence of certain events. While none of these events has occurred as of December 31, 2013, certain conditions which could trigger conversion have been deemed to be non-substantive, and accordingly, the Company has always assumed the conversion of these instruments in its diluted earnings per share computation during periods in which they are dilutive.

At the direction of its Board of Directors, the Company intends, upon conversion, to repay the principal amounts of the convertible senior debentures, due 2040, due 2041, and due 2042, in cash and settle any additional amounts in shares of Vishay common stock. Accordingly, the debentures are included in the diluted earnings per share computation using the "treasury stock method" (similar to options and warrants) rather than the "if converted method" otherwise required for convertible debt. Under the "treasury stock method," Vishay calculates the number of shares issuable under the terms of the debentures based on the average market price of Vishay common stock during the period, and that number is included in the total diluted shares figure for the period.  If the average market price is less than $13.88, no shares are included in the diluted earnings per share computation for the convertible senior debentures due 2040, if the average market price is less than $19.02, no shares are included in the diluted earnings per share computation for the convertible senior debentures due 2041, and if the average market price is less than $11.81, no shares are included in the diluted earnings per share computation for the convertible senior debentures due 2042.

XML 61 R68.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended 12 Months Ended 12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2013
Convertible Senior Debentures, Due 2040 [Member]
Dec. 31, 2012
Convertible Senior Debentures, Due 2040 [Member]
Dec. 31, 2013
Convertible Senior Debentures, Due 2041 [Member]
Dec. 31, 2012
Convertible Senior Debentures, Due 2041 [Member]
Dec. 31, 2013
Convertible Senior Debentures 2042 [Member]
Dec. 31, 2013
U.S. Plans [Member]
Dec. 31, 2012
U.S. Plans [Member]
Dec. 31, 2011
U.S. Plans [Member]
Dec. 31, 2013
U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2012
U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2013
U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2012
U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2013
U.S. Plans [Member]
Real Estate Investment Trust Securities [Member]
Dec. 31, 2012
U.S. Plans [Member]
Real Estate Investment Trust Securities [Member]
Dec. 31, 2013
U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Dec. 31, 2012
U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Dec. 31, 2013
Non-U.S. Plans [Member]
Dec. 31, 2012
Non-U.S. Plans [Member]
Dec. 31, 2011
Non-U.S. Plans [Member]
Dec. 31, 2013
Non-U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2012
Non-U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2013
Non-U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2012
Non-U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2013
Non-U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Dec. 31, 2012
Non-U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 1 [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 1 [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 1 [Member]
U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 1 [Member]
U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 1 [Member]
U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 1 [Member]
U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 1 [Member]
U.S. Plans [Member]
Real Estate Investment Trust Securities [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 1 [Member]
U.S. Plans [Member]
Real Estate Investment Trust Securities [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 1 [Member]
U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 1 [Member]
U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 1 [Member]
Non-U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 1 [Member]
Non-U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 1 [Member]
Non-U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 1 [Member]
Non-U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 1 [Member]
Non-U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 1 [Member]
Non-U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 2 [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 2 [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 2 [Member]
U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 2 [Member]
U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 2 [Member]
U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 2 [Member]
U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 2 [Member]
U.S. Plans [Member]
Real Estate Investment Trust Securities [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 2 [Member]
U.S. Plans [Member]
Real Estate Investment Trust Securities [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 2 [Member]
U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 2 [Member]
U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 2 [Member]
Non-U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 2 [Member]
Non-U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 2 [Member]
Non-U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 2 [Member]
Non-U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 2 [Member]
Non-U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 2 [Member]
Non-U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 3 [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 3 [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 3 [Member]
U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 3 [Member]
U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 3 [Member]
U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 3 [Member]
U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 3 [Member]
U.S. Plans [Member]
Real Estate Investment Trust Securities [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 3 [Member]
U.S. Plans [Member]
Real Estate Investment Trust Securities [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 3 [Member]
U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 3 [Member]
U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 3 [Member]
Non-U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 3 [Member]
Non-U.S. Plans [Member]
Equity Securities [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 3 [Member]
Non-U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 3 [Member]
Non-U.S. Plans [Member]
Fixed Income Securities [Member]
Dec. 31, 2013
Fair Value, Inputs, Level 3 [Member]
Non-U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Dec. 31, 2012
Fair Value, Inputs, Level 3 [Member]
Non-U.S. Plans [Member]
Cash and Cash Equivalents [Member]
Assets:                                                                                                                                                      
Assets held in rabbi trusts $ 36,992 $ 33,751                                                   $ 24,064 $ 21,954                             $ 12,928 $ 11,797                             $ 0 $ 0                            
Fair value of plan assets               295,633 265,866 239,045 51,666 153,829 241,827 99,669 1,969 6,518 171 5,850 48,859 46,580 35,544 9,911 8,888 16,117 14,437 22,831 23,255     51,666 153,829 194,777 42,006 1,969 6,518 171 5,850 9,911 8,888 16,117 14,437 22,831 23,255     0 0 47,050 57,663 0 0 0 0 0 0 0 0 0 0     0 0 0 0 0 0 0 0 0 0 0 0 0 0
Available for sale securities 7,356 7,580                                                   7,356 7,580                             0 0                             0 0                            
Fair Value Assets 388,840 353,777                                                   328,862 284,317                             59,978 69,460                             0 0                            
Liabilities:                                                                                                                                                      
Embedded derivative - convertible debentures due 2040 (491) (622)                                                   0 0                             0 0                             (491) (622)                            
Embedded derivative - convertible debentures due 2041 (349) (399)                                                   0 0                             0 0                             (349) (399)                            
Embedded derivative - convertible debentures due 2042 (197) (282)                                                   0 0                             0 0                             (197) (282)                            
Embedded derivatives total (1,037) (1,303) (491) (622) (349) (399)                                           0 0                             0 0                             (1,037) (1,303)                            
Long-term Debt, Fair Value 750,700 686,800                                                                                                                                                  
Convertible debentures issuance date     Nov. 09, 2010   May 13, 2011   May 31, 2012                                                                                                                                        
Long-term Debt $ 363,874 $ 391,628                                                                                                                                                  
XML 62 Show.js IDEA: XBRL DOCUMENT /** * Rivet Software Inc. * * @copyright Copyright (c) 2006-2011 Rivet Software, Inc. All rights reserved. * Version 2.4.0.3 * */ var Show = {}; Show.LastAR = null, Show.hideAR = function(){ Show.LastAR.style.display = 'none'; }; Show.showAR = function ( link, id, win ){ if( Show.LastAR ){ Show.hideAR(); } var ref = link; do { ref = ref.nextSibling; } while (ref && ref.nodeName != 'TABLE'); if (!ref || ref.nodeName != 'TABLE') { var tmp = win ? win.document.getElementById(id) : document.getElementById(id); if( tmp ){ ref = tmp.cloneNode(true); ref.id = ''; link.parentNode.appendChild(ref); } } if( ref ){ ref.style.display = 'block'; Show.LastAR = ref; } }; Show.toggleNext = function( link ){ var ref = link; do{ ref = ref.nextSibling; }while( ref.nodeName != 'DIV' ); if( ref.style && ref.style.display && ref.style.display == 'none' ){ ref.style.display = 'block'; if( link.textContent ){ link.textContent = link.textContent.replace( '+', '-' ); }else{ link.innerText = link.innerText.replace( '+', '-' ); } }else{ ref.style.display = 'none'; if( link.textContent ){ link.textContent = link.textContent.replace( '-', '+' ); }else{ link.innerText = link.innerText.replace( '-', '+' ); } } }; XML 63 R7.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Statements of Stockholders' Equity (USD $)
In Thousands
Common Stock [Member]
Common Stock [Member]
Convertible Senior Debentures, Due 2041 [Member]
Common Stock [Member]
Convertible Senior Debentures, Due 2042 [Member]
Class B Convertible Common Stock [Member]
Class B Convertible Common Stock [Member]
Convertible Senior Debentures, Due 2041 [Member]
Class B Convertible Common Stock [Member]
Convertible Senior Debentures, Due 2042 [Member]
Capital In Excess of Par Value [Member]
Capital In Excess of Par Value [Member]
Convertible Senior Debentures, Due 2041 [Member]
Capital In Excess of Par Value [Member]
Convertible Senior Debentures, Due 2042 [Member]
Retained Earnings (Accumulated Deficit) [Member]
Retained Earnings (Accumulated Deficit) [Member]
Convertible Senior Debentures, Due 2041 [Member]
Retained Earnings (Accumulated Deficit) [Member]
Convertible Senior Debentures, Due 2042 [Member]
Accumulated Other Comprehensive Income (Loss) [Member]
Accumulated Other Comprehensive Income (Loss) [Member]
Convertible Senior Debentures, Due 2041 [Member]
Accumulated Other Comprehensive Income (Loss) [Member]
Convertible Senior Debentures, Due 2042 [Member]
Total Vishay Stockholders' Equity [Member]
Total Vishay Stockholders' Equity [Member]
Convertible Senior Debentures, Due 2041 [Member]
Total Vishay Stockholders' Equity [Member]
Convertible Senior Debentures, Due 2042 [Member]
Noncontrolling Interests [Member]
Noncontrolling Interests [Member]
Convertible Senior Debentures, Due 2041 [Member]
Noncontrolling Interests [Member]
Convertible Senior Debentures, Due 2042 [Member]
Total
Convertible Senior Debentures, Due 2041 [Member]
Convertible Senior Debentures, Due 2042 [Member]
Balance at Dec. 31, 2010 $ 15,061     $ 1,435     $ 2,156,981     $ (742,237)     $ 60,491     $ 1,491,731     $ 5,419     $ 1,497,150    
Net earnings 0     0     0     238,821     0     238,821     1,176     239,997    
Other comprehensive income (loss) 0     0     0     0     (56,713)     (56,713)     0     (56,713)    
Distributions to noncontrolling interests 0     0     0     0     0     0     (1,440)     (1,440)    
Phantom and restricted stock issuances 20     0     (161)     0     0     (141)     0     (141)    
Issuance of convertible debentures   0     0     62,246     0     0     62,246     0     62,246  
Share repurchase (862)     0     (149,138)     0     0     (150,000)     0     (150,000)    
Stock compensation expense 0     0     6,832     0     0     6,832     0     6,832    
Stock options exercised 65     0     9,610     0     0     9,675     0     9,675    
Tax effects of stock plan 0     0     555     0     0     555     0     555    
Conversions from Class B to common stock 90     (90)     0     0     0     0     0     0    
Balance at Dec. 31, 2011 14,374     1,345     2,086,925     (503,416)     3,778     1,603,006     5,155     1,608,161    
Net earnings 0     0     0     122,738     0     122,738     793     123,531    
Other comprehensive income (loss) 0     0     0     0     (14,000)     (14,000)     0     (14,000)    
Distributions to noncontrolling interests 0     0     0     0     0     0     (1,040)     (1,040)    
Phantom and restricted stock issuances 1     0     (9)     0     0     (8)     0     (8)    
Issuance of convertible debentures     0     0     57,874     0     0     57,874     0     57,874
Share repurchase (1,395)     0     (148,605)     0     0     (150,000)     0     (150,000)    
Stock compensation expense 0     0     3,544     0     0     3,544     0     3,544    
Stock options exercised 2     0     172     0     0     174     0     174    
Conversions from Class B to common stock 132     (132)     0     0     0     0     0     0    
Balance at Dec. 31, 2012 13,114     1,213     1,999,901     (380,678)     (10,222)     1,623,328     4,908     1,628,236    
Net earnings 0     0     0     122,980     0     122,980     789     123,769    
Other comprehensive income (loss) 0     0     0     0     71,856     71,856     0     71,856    
Distributions to noncontrolling interests 0     0     0     0     0     0     (257)     (257)    
Phantom and restricted stock issuances 40     0     (2,680)     0     0     (2,640)     0     (2,640)    
Stock compensation expense 0     0     636     0     0     636     0     636    
Tax effects of stock plan 0     0     196     0     0     196     0     196    
Issuance of common stock for exchangeable unsecured notes (3,664,729 shares) 366     0     56,034     0     0     56,400     0     56,400    
Balance at Dec. 31, 2013 $ 13,520     $ 1,213     $ 2,054,087     $ (257,698)     $ 61,634     $ 1,872,756     $ 5,440     $ 1,878,196    
XML 64 R3.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Condensed Balance Sheets (Parenthetical) (USD $)
In Thousands, except Share data, unless otherwise specified
Dec. 31, 2013
Dec. 31, 2012
Current assets:    
Accounts receivable, allowances for doubtful accounts $ 2,613 $ 2,534
Stockholders' equity:    
Preferred stock, par value (in dollars per share) $ 1.00 $ 1.00
Preferred stock, shares authorized (in shares) 1,000,000 1,000,000
Preferred stock, shares issued 0 0
Common Stock [Member]
   
Stockholders' equity:    
Common stock, par value (in dollars per share) $ 0.10 $ 0.10
Common stock, shares authorized (in shares) 300,000,000 300,000,000
Common stock, shares outstanding (in shares) 135,202,081 131,143,534
Class B Convertible Common Stock [Member]
   
Stockholders' equity:    
Common stock, par value (in dollars per share) $ 0.10 $ 0.10
Common stock, shares authorized (in shares) 40,000,000 40,000,000
Common stock, shares outstanding (in shares) 12,129,227 12,129,227
XML 65 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Accrued Expenses
12 Months Ended
Dec. 31, 2013
Other Accrued Expenses (Tables) [Abstract]  
Other Accrued Expenses
Note 9 – Other Accrued Expenses

Other accrued expenses consist of the following:

 
 
December 31,
 
 
 
2013
  
2012
 
 
 
  
 
Sales returns and allowances
 
$
34,465
  
$
32,703
 
Goods received, not yet invoiced
  
36,692
   
29,690
 
Other
  
75,513
   
86,267
 
 
 
$
146,670
  
$
148,660
 

XML 66 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
Document and Entity Information (USD $)
3 Months Ended 12 Months Ended
Dec. 31, 2013
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 31, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2013
Feb. 17, 2014
Common Stock [Member]
Feb. 17, 2014
Class B Convertible Common Stock [Member]
Entity Information [Line Items]                      
Entity Common Stock, Shares Outstanding                   135,319,976 12,129,227
Document Fiscal Year Focus                 2013    
Document Fiscal Period Focus                 FY    
Document Type                 10-K    
Amendment Flag                 false    
Document Period End Date Dec. 31, 2013 [1] Sep. 28, 2013 [1] Jun. 29, 2013 [1] Mar. 30, 2013 [1] Dec. 31, 2012 [1] Sep. 29, 2012 [1] Jun. 30, 2012 [1] Mar. 31, 2012 [1] Dec. 31, 2013    
Entity Registrant Name                 VISHAY INTERTECHNOLOGY INC    
Entity Central Index Key                 0000103730    
Current Fiscal Year End Date                 --12-31    
Entity Well-known Seasoned Issuer                 Yes    
Entity Voluntary Filers                 No    
Entity Current Reporting Status                 Yes    
Entity Filer Category                 Large Accelerated Filer    
Entity Public Float     $ 1,835,000,000                
[1] The Company reports interim financial information for 13-week periods beginning on a Sunday and ending on a Saturday, except for the first fiscal quarter, which always begins on January 1, and the fourth fiscal quarter, which always ends on December 31.
XML 67 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accumulated Other Comprehensive Income (Loss)
12 Months Ended
Dec. 31, 2013
Accumulated Other Comprehensive Income (Loss) [Abstract]  
Accumulated Other Comprehensive Income (Loss)
Note 10 – Accumulated Other Comprehensive Income (Loss)

The cumulative balance of each component of other comprehensive income (loss) and the income tax effects allocated to each component are as follows:

 
 
Pension and
other post-retirement
actuarial items
  
Currency translation adjustment
  
Unrealized gain (loss) on
available-for-sale securities
  
Total
 
 
 
  
  
  
 
Balance at January 1, 2011
 
$
(119,990
)
 
$
179,335
  
$
1,146
  
$
60,491
 
Other comprehensive income before reclassifications
  
(54,053
)
  
(26,441
)
  
(1,622
)
 
$
(82,116
)
Tax effect
  
16,975
   
-
   
568
  
$
17,543
 
Other comprehensive income before reclassifications, net of tax
  
(37,078
)
  
(26,441
)
  
(1,054
)
 
$
(64,573
)
Amounts reclassified out of AOCI
  
12,192
   
-
   
(17
)
 
$
12,175
 
Tax effect
  
(4,321
)
  
-
   
6
  
$
(4,315
)
Amounts reclassified out of AOCI, net of tax
  
7,871
   
-
   
(11
)
 
$
7,860
 
Net comprehensive income
 
$
(29,207
)
 
$
(26,441
)
 
$
(1,065
)
 
$
(56,713
)
Balance at December 31, 2011
 
$
(149,197
)
 
$
152,894
  
$
81
  
$
3,778
 
Other comprehensive income before reclassifications
  
(57,072
)
  
14,567
   
1,834
  
$
(40,671
)
   Tax effect
  
16,626
   
-
   
(642
)
 
$
15,984
 
Other comprehensive income before reclassifications, net of tax
  
(40,446
)
  
14,567
   
1,192
  
$
(24,687
)
Amounts reclassified out of AOCI
  
16,059
   
-
   
-
  
$
16,059
 
Tax effect
  
(5,372
)
  
-
   
-
  
$
(5,372
)
Amounts reclassified out of AOCI, net of tax
  
10,687
   
-
   
-
  
$
10,687
 
Net comprehensive income
 
$
(29,759
)
 
$
14,567
  
$
1,192
  
$
(14,000
)
Balance at December 31, 2012
 
$
(178,956
)
 
$
167,461
  
$
1,273
  
$
(10,222
)
Other comprehensive income before reclassifications
  
52,545
   
23,537
   
913
  
$
76,995
 
Tax effect
  
(16,334
)
  
-
   
(299
)
 
$
(16,633
)
Other comprehensive income before reclassifications, net of tax
  
36,211
   
23,537
   
614
  
$
60,362
 
Amounts reclassified out of AOCI
  
19,112
   
-
   
(2,019
)
 
$
17,093
 
Tax effect
  
(6,285
)
  
-
   
686
  
$
(5,599
)
Amounts reclassified out of AOCI, net of tax
  
12,827
   
-
   
(1,333
)
 
$
11,494
 
Net comprehensive income
 
$
49,038
  
$
23,537
  
$
(719
)
 
$
71,856
 
Balance at December 31, 2013
 
$
(129,918
)
 
$
190,998
  
$
554
  
$
61,634
 




Note 10 – Accumulated Other Comprehensive Income (Loss) (continued)

Reclassifications of pension and other post-retirement actuarial items out of AOCI are included in the computation of net periodic benefit cost. (See Note 11 for further information). The amount of unrealized gains (losses) on available-for-sale securities reclassified out of AOCI as a result of sales of securities held by the Company's rabbi trust used to fund a deferred compensation plan was $1,966, $0, and $17 for the years ended December 31, 2013, 2012, and 2011, respectively.  These reclassifications are recorded as a component of compensation expense within Selling, General, and Administrative expenses on our consolidated condensed statements of operations. The pre-tax amount of unrealized gains (losses) on available-for-sale securities reclassified out of AOCI as a result of sales of available-for-sale securities was $53, $0, and $0 for the years ended December 31, 2013, 2012, and 2011, respectively.  These reclassifications are recorded as a component of Other Income on our consolidated condensed statements of operations.  The tax effect of the reclassifications of unrealized gains (losses) on available-for-sale securities is recorded as a component of Income Tax Expense on our consolidated condensed statements of operations.

Other comprehensive income (loss) includes Vishay's proportionate share of other comprehensive income (loss) of nonconsolidated subsidiaries accounted for under the equity method.

XML 68 R4.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Statements of Operations (USD $)
In Thousands, except Per Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Consolidated Statements of Operations [Abstract]      
Net revenues $ 2,370,979 $ 2,230,097 $ 2,594,029
Costs of products sold 1,803,719 1,703,424 1,874,043
Gross profit 567,260 526,673 719,986
Selling, general, and administrative expenses 368,542 349,625 367,623
Restructuring and severance costs 2,814 0 0
Executive compensation charges (credit) (1,778) 0 5,762
Gain on Sale of Property 0 (12,153) 0
Operating Income 197,682 189,201 346,601
Other income (expense):      
Interest expense (23,130) (22,604) (19,277)
Other 1,853 3,440 3,792
Other income (expense), total (21,277) (19,164) (15,485)
Income before taxes 176,405 170,037 331,116
Income tax expense 52,636 46,506 91,119
Net earnings 123,769 123,531 239,997
Less: net earnings attributable to noncontrolling interests 789 793 1,176
Net earnings (loss) attributable to Vishay stockholders $ 122,980 $ 122,738 $ 238,821
Basic earnings per share attributable to Vishay stockholders: $ 0.85 $ 0.82 $ 1.49
Diluted earnings per share attributable to Vishay stockholders: $ 0.81 $ 0.79 $ 1.42
Weighted average shares outstanding - basic (in shares) 144,856 149,020 160,094
Weighted average shares outstanding - diluted 151,417 155,844 168,514
XML 69 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
Restructuring and Related Activities
12 Months Ended
Dec. 31, 2013
Restructuring and Related Activities [Abstract]  
Restructuring and Related Activities
Note 4 – Restructuring and Related Activities

The Company places a strong emphasis on controlling its costs.

Historically, the Company's primary cost reduction technique was through the transfer of production to the extent possible from high-labor-cost countries, such as the United States and Western Europe, to lower-labor-cost countries, such as the Czech Republic, Hungary, Israel, India, Malaysia, Mexico, the People's Republic of China, and the Philippines. Between 2001 and 2009, the Company recorded, in the consolidated statements of operations, restructuring and severance costs and related asset write-downs in order to reduce its cost structure going forward.

The Company also incurred significant costs to restructure and integrate acquired businesses, which was included in the cost of the acquisitions under then-applicable GAAP.

The Company did not initiate any new restructuring projects in the years ended December 31, 2012, 2011, or 2010.

On October 28, 2013, the Company announced various cost reduction programs as part of its continuous efforts to improve efficiency and operating performance. The cash costs of these programs, primarily severance, are expected to be approximately $32,000.  Complete implementation of all of the programs is expected to occur before the end of the first fiscal quarter of 2016.  Many of the severance costs will be recognized ratably over the required stay periods.

The following table summarizes restructuring and related expenses which were recognized during the year ended December 31, 2013 and reported on a separate line in the accompanying consolidated statement of operations:

MOSFETs Enhanced Competitiveness Program
 
$
2,328
 
Voluntary Separation / Retirement Program
  
486
 
Total
  
2,814
 


MOSFETs Enhanced Competitiveness Program

Over a period of approximately 2 years and in a period of discrete steps, the manufacture of wafers for a substantial share of products will be transferred into a more cost-efficient fab. As a consequence, certain other manufacturing currently occurring in-house will be transferred to third-party foundries (see Note 13).

The total severance costs associated with these initiatives are expected to be approximately $16,000. Employees generally must remain with the Company during the production transfer period. Accordingly, the Company will accrue these severance costs ratably over the respective employees' remaining service periods.


Voluntary Separation / Retirement Program

The voluntary separation / early retirement program was offered to employees worldwide who were eligible because they met job classification, age, and years-of-service criteria as of October 31, 2013. The program benefits vary by country and job classification, but generally include a cash loyalty bonus based on years of service. All responses are due, subject to applicable rescission rights, on or before March 28, 2014.

The Company expects most costs associated with this program to be recorded in the first fiscal quarter of 2014.  As of December 31, 2013, the Company received a limited number of irrevocable voluntary termination notices and recorded the related separation costs.

These employees generally were not aligned with any particular segment. The effective separation / retirement date for most employees who accepted the offer was June 30, 2014 or earlier, with a few exceptions to allow for a short transition period.


Gain on Sale of Vacated Property

On April 3, 2012, Vishay sold a property in Belgium vacated as a result of its restructuring activities in prior years for approximately $14,200. At closing, Vishay recognized a gain on the sale of the property of $12,153 within its statements of operations and proceeds from the sale of property and equipment of $3,406 within its statement of cash flows. The remaining proceeds are reported as proceeds from the sale of property and equipment within the statements of cash flows as the cash is received.  At December 31, 2013, the remaining amount receivable by the Company is $3,586.


XML 70 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
Goodwill and Other Intangible Assets
12 Months Ended
Dec. 31, 2013
Goodwill and Other Intangible Assets [Abstract]  
Goodwill and Other Intangible Assets
Note 3 – Goodwill and Other Intangible Assets

Goodwill represents the excess of the cost of a business acquired over the fair value of the related net assets at the date of acquisition. Goodwill is not amortized but rather tested for impairment at least annually. The required annual impairment test of goodwill is completed as of the first day of the fourth fiscal quarter of each year. These impairment tests must be performed more frequently whenever events or changes in circumstances indicate that the asset might be impaired.  The Company's business segments (see Note 15) represent its reporting units for goodwill impairment testing purposes.

Vishay recorded goodwill impairment charges in the year ended December 31, 2008. Subsequent to the goodwill impairment charges recorded in 2008, there was no remaining goodwill recorded on the consolidated balance sheet until the acquisition of the resistor businesses of Huntington Electric on September 28, 2011.

The changes in the carrying amount of goodwill by segment for the years ended December 31, 2013 and 2012 were as follows:


 
 
Resistors &
Inductors
  
Total
 
 
 
  
 
Balance at January 1, 2012
 
$
9,051
  
$
9,051
 
HiRel Systems acquisition
  
25,815
   
25,815
 
Balance at December 31, 2012
 
$
34,866
  
$
34,866
 
MCB Industrie acquisition
  
7,985
   
7,985
 
Exchange rate effects
  
281
   
281
 
Balance at December 31, 2013
 
$
43,132
  
$
43,132
 

Other intangible assets are as follows:

 
 
December 31,
 
 
 
2013
  
2012
 
 
 
  
 
Intangible Assets Subject to Amortization
 
  
 
(Definite-lived):
 
  
 
Patents and acquired technology
 
$
92,842
  
$
83,383
 
Capitalized software
  
55,893
   
56,162
 
Customer relationships
  
99,558
   
97,451
 
Tradenames
  
35,845
   
34,534
 
Non-competition agreements
  
1,948
   
1,700
 
 
  
286,086
   
273,230
 
Accumulated amortization:
        
Patents and acquired technology
  
(66,337
)
  
(61,269
)
Capitalized software
  
(50,006
)
  
(50,161
)
Customer relationships
  
(40,727
)
  
(33,416
)
Tradenames
  
(18,560
)
  
(14,579
)
Non-competition agreements
  
(864
)
  
(447
)
 
  
(176,494
)
  
(159,872
)
Net Intangible Assets Subject to Amortization
  
109,592
   
113,358
 
 
        
Intangible Assets Not Subject to Amortization
        
(Indefinite-lived):
        
Tradenames
  
20,359
   
20,359
 
 
 
$
129,951
  
$
133,717
 


Note 3 – Goodwill and Other Intangible Assets (continued)

Amortization expense (excluding capitalized software) was $15,068, $14,754, and $14,684, for the years ended December 31, 2013, 2012, and 2011, respectively.

Estimated annual amortization expense of intangible assets on the balance sheet at December 31, 2013 for each of the next five years is as follows:

2014
 
$
17,268
 
2015
  
17,207
 
2016
  
15,552
 
2017
  
11,702
 
2018
  
8,277
 

XML 71 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment and Geographic Data
12 Months Ended
Dec. 31, 2013
Segment and Geographic Data [Abstract]  
Segment and Geographic Data
Note 15 –Segment and Geographic Data

Vishay operates, and its chief operating decision maker makes strategic and operating decisions with regards to assessing performance and allocating resources based on, five reporting segments: MOSFETs, Diodes, Optoelectronic Components, Resistors & Inductors, and Capacitors.

The Company evaluates business segment performance on operating income, exclusive of certain items ("segment operating income"). Only dedicated, direct selling, general, and administrative expenses of the segments are included in the calculation of segment operating income. The Company's calculation of segment operating income excludes such selling, general, and administrative costs as global operations, sales and marketing, information systems, finance and administration groups, as well as restructuring and severance costs, executive compensation charges (credits), material gains and losses on sales of property, and other items. Management believes that evaluating segment performance excluding such items is meaningful because it provides insight with respect to intrinsic operating results of the Company. These items represent reconciling items between segment operating income and consolidated operating income. Business segment assets are the owned or allocated assets used by each business.

The Company has also disclosed certain additional items not used to evaluate segment performance. In some cases, the items are regularly provided to the chief operating decision maker and are required to be disclosed by GAAP. Additionally, the additional segment disclosures may provide insight to the Company's future profitability by reportable segment.


Note 15 –Segment and Geographic Data (continued)
The following tables set forth business segment information:

 
 
MOSFETs
  
Diodes
  
Optoelectronic
Components
  
Resistors & Inductors
  
Capacitors
  
Corporate / Other
  
Total
 
 
 
  
  
  
  
  
  
 
Year ended December 31, 2013:
 
  
  
  
  
  
  
 
Product sales
 
$
449,299
  
$
547,264
  
$
228,194
  
$
700,115
  
$
439,745
  
$
-
  
$
2,364,617
 
Royalty revenues
  
178
   
-
   
51
   
6,133
   
-
   
-
  
$
6,362
 
Total revenue
 
$
449,477
  
$
547,264
  
$
228,245
  
$
706,248
  
$
439,745
  
$
-
  
$
2,370,979
 
 
                            
Gross Margin
 
$
59,387
  
$
121,231
  
$
76,732
  
$
221,851
  
$
88,059
  
$
-
  
$
567,260
 
 
                            
Depreciation expense
 
$
50,606
  
$
37,305
  
$
12,484
  
$
31,998
  
$
21,596
  
$
1,075
  
$
155,064
 
Interest expense (income)
  
-
   
54
   
122
   
79
   
28
   
22,847
  
$
23,130
 
Capital expenditures
  
41,869
   
44,431
   
18,310
   
32,515
   
13,052
   
2,900
  
$
153,077
 
 
                            
Total Assets as of December 31, 2013:
 
$
543,037
  
$
788,121
  
$
213,128
  
$
843,685
  
$
636,637
  
$
212,531
  
$
3,237,139
 
 
                            
Year ended December 31, 2012:
                            
Product sales
 
$
433,436
  
$
496,744
  
$
209,141
  
$
635,488
  
$
448,157
  
$
-
  
$
2,222,966
 
Royalty revenues
  
246
   
-
   
53
   
6,832
   
-
   
-
  
$
7,131
 
Total revenue
 
$
433,682
  
$
496,744
  
$
209,194
  
$
642,320
  
$
448,157
  
$
-
  
$
2,230,097
 
 
                            
Gross Margin
 
$
56,694
  
$
99,116
  
$
67,943
  
$
204,137
  
$
98,783
  
$
-
  
$
526,673
 
 
                            
Depreciation expense
 
$
49,124
  
$
36,335
  
$
11,917
  
$
31,921
  
$
23,354
  
$
1,150
  
$
153,801
 
Interest expense (income)
  
-
   
64
   
140
   
543
   
52
   
21,805
  
$
22,604
 
Capital expenditures
  
49,201
   
30,025
   
16,759
   
35,878
   
15,531
   
2,897
  
$
150,291
 
 
                            
Total Assets as of December 31, 2012:
 
$
625,597
  
$
670,811
  
$
199,385
  
$
760,257
  
$
587,586
  
$
172,641
  
$
3,016,277
 
 
                            
Year ended December 31, 2011:
                            
Product sales
 
$
537,783
  
$
607,493
  
$
229,814
  
$
634,490
  
$
577,816
  
$
-
  
$
2,587,396
 
Royalty revenues
  
197
   
-
   
72
   
6,364
   
-
   
-
  
$
6,633
 
Total revenue
 
$
537,980
  
$
607,493
  
$
229,886
  
$
640,854
  
$
577,816
  
$
-
  
$
2,594,029
 
 
                            
Gross Margin
 
$
125,498
  
$
143,876
  
$
74,772
  
$
213,997
  
$
161,843
  
$
-
  
$
719,986
 
 
                            
Depreciation expense
 
$
53,808
  
$
39,577
  
$
12,384
  
$
32,039
  
$
25,979
  
$
1,235
  
$
165,022
 
Interest expense (income)
  
12
   
-
   
-
   
223
   
223
   
18,819
  
$
19,277
 
Capital expenditures
  
61,520
   
39,444
   
15,442
   
28,751
   
19,676
   
3,808
  
$
168,641
 
 
                            
Total Assets as of December 31, 2011:
 
$
646,660
  
$
682,017
  
$
163,486
  
$
609,556
  
$
672,049
  
$
219,962
  
$
2,993,730
 



Note 15 –Segment and Geographic Data (continued)
 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Operating margin reconciliation:
 
  
  
 
MOSFETs
 
$
19,140
  
$
17,198
  
$
85,336
 
Diodes
  
96,581
   
75,733
   
118,111
 
Optoelectronic Components
  
62,259
   
54,632
   
60,492
 
Resistors & Inductors
  
186,583
   
172,129
   
185,327
 
Capacitors
  
64,494
   
76,858
   
136,901
 
Restructuring and Severance Costs
  
(2,814
)
  
-
   
-
 
Gain on Sale of Property
  
-
   
12,153
   
-
 
Executive Compensation Credit (Charges)
  
1,778
   
-
   
(5,762
)
Unallocated Selling, General, and Administrative Expenses
  
(230,339
)
  
(219,502
)
  
(233,804
)
Consolidated Operating Income (Loss)
 
$
197,682
  
$
189,201
  
$
346,601
 

See Note 4 for restructuring and severance costs segment information.



Note 15 –Segment and Geographic Data (continued)

The following table summarizes net revenues based on revenues generated by subsidiaries located within the identified geographic area:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
United States
 
$
591,082
  
$
568,849
  
$
363,847
 
Germany
  
800,733
   
775,204
   
801,539
 
Other Europe
  
89,348
   
61,236
   
175,639
 
Israel
  
13,319
   
14,708
   
219,037
 
Asia
  
876,497
   
810,100
   
1,033,967
 
 
 
$
2,370,979
  
$
2,230,097
  
$
2,594,029
 

In the fourth fiscal quarter of 2011, Vishay made changes to its business model to streamline its sales process such that three main subsidiaries generate the majority of third-party sales.

The following table summarizes property and equipment based on physical location:

 
 
December 31,
 
 
 
2013
  
2012
 
 
 
  
 
United States
 
$
123,812
  
$
133,812
 
Germany
  
130,854
   
121,957
 
Czech Republic
  
47,002
   
51,620
 
Other Europe
  
107,381
   
98,534
 
Israel
  
138,741
   
140,994
 
People's Republic of China
  
172,274
   
169,395
 
Republic of China (Taiwan)
  
120,368
   
116,315
 
Other Asia
  
84,388
   
80,304
 
Other
  
1,799
   
1,621
 
 
 
$
926,619
  
$
914,552
 

XML 72 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
Pensions and Other Postretirement Benefits
12 Months Ended
Dec. 31, 2013
Pensions and Other Postretirement Benefits [Abstract]  
Pensions and Other Postretirement Benefits
Note 11 – Pensions and Other Postretirement Benefits

The Company maintains various retirement benefit plans. GAAP requires employers to recognize the funded status of a benefit plan, measured as the difference between plan assets at fair value and the benefit obligation, in its balance sheet.  The recognition of the funded status on the balance sheet requires employers to recognize actuarial items (such as actuarial gains and losses, prior service costs, and transition obligations) as a component of other comprehensive income, net of tax.

The following table summarizes amounts recorded on the consolidated balance sheets associated with these various retirement benefit plans:

 
 
December 31,
 
 
 
2013
  
2012
 
 
 
  
 
Included in "Other Assets":
 
  
 
U.S. pension plans
 
$
15,708
  
$
-
 
Non-U.S. pension plans
  
257
   
143
 
Total included in other assets
 
$
15,965
  
$
143
 
Included in "Accrued Payroll":
        
U.S. pension plans
 
$
(51
)
 
$
(83
)
Non-U.S. pension plans
  
(7,644
)
  
(6,997
)
U.S. other postretirement plans
  
(638
)
  
(637
)
Total included in accrued payroll
 
$
(8,333
)
 
$
(7,717
)
Accrued pension and other postretirement costs:
        
U.S. pension plans
 
$
(35,397
)
 
$
(89,116
)
Non-U.S. pension plans
  
(224,280
)
  
(229,014
)
U.S. other postretirement plans
  
(6,703
)
  
(7,520
)
Non-U.S. other postretirement plans
  
(7,504
)
  
(6,964
)
Other retirement obligations
  
(14,017
)
  
(12,347
)
Total accrued pension and other postretirement costs
 
$
(287,901
)
 
$
(344,961
)
Accumulated other comprehensive loss:
        
U.S. pension plans
 
$
84,384
  
$
146,525
 
Non-U.S. pension plans
  
61,652
   
71,459
 
U.S. other postretirement plans
  
(5,782
)
  
(5,937
)
Non-U.S. other postretirement plans
  
1,246
   
805
 
Total accumulated other comprehensive loss*
 
$
141,500
  
$
212,852
 

* - Amounts included in accumulated other comprehensive loss are presented in this table pre-tax.


Note 11 – Pensions and Other Postretirement Benefits (continued)

Defined Benefit Pension Plans

U.S. Pension Plans

The Company maintains several defined benefit pension plans which covered most full-time U.S. employees. These include pension plans which are "qualified" under the Employee Retirement Security Act of 1974 ("ERISA") and the Internal Revenue Code, and "non-qualified" pension plans which provide defined benefits primarily to U.S. employees whose benefits under the qualified pension plan would be limited by ERISA and the Internal Revenue Code.  Pension benefits earned are generally based on years of service and compensation during active employment.

Qualified U.S. Pension Plans

The qualified U.S. pension plans historically included both contributory and non-contributory plans. The Company's principal qualified U.S. pension plan (the Vishay Retirement Plan) was funded through Company and participant contributions to an irrevocable trust fund. The Company's other qualified U.S. pension plans, which were assumed as a result of past acquisitions, were funded only through Company contributions.

In 2008, the Company adopted amendments to the Vishay Retirement Plan such that effective January 1, 2009, the plan was frozen. Pursuant to these amendments, no new employees may participate in the plan, no further participant contributions were required or permitted, and no further benefits shall accrue after December 31, 2008. Benefits accumulated as of December 31, 2008 will be paid to employees upon retirement, and the Company will likely need to make additional cash contributions to the plan to fund this accumulated benefit obligation. To mitigate the loss in benefits of these employees, effective January 1, 2009, the Company increased the Company-match portion of its 401(k) defined contribution savings plan for employees impacted by the pension freeze.

The Company's other qualified U.S. pension plans had all been effectively frozen in prior years.  All of the Company's qualified U.S. pension plans have been merged into the Vishay Retirement Plan.

Non-qualified U.S. Pension Plans

The Company's principal non-qualified U.S. pension plan (the Vishay Non-qualified Retirement Plan) was a contributory pension plan designed to provide similar defined benefits to covered U.S. employees whose benefits under the Vishay Retirement Plan would be limited by ERISA and the Internal Revenue Code. The Vishay Non-qualified Retirement Plan is identical in construction to the Vishay Retirement Plan, except that the plan is not qualified under ERISA.

The Vishay Non-qualified Retirement Plan, like all non-qualified plans, is considered to be unfunded. The Company maintains a non-qualified trust, referred to as a "rabbi" trust, to fund benefit payments under this plan. Rabbi trust assets are subject to creditor claims under certain conditions and are not the property of employees. Therefore, they are accounted for as other noncurrent assets. Assets held in trust related to the non-qualified pension plan were $18,678 and $16,608 at December 31, 2013 and 2012, respectively.

In 2008, the Company adopted amendments to the Vishay Non-Qualified Retirement Plan such that effective January 1, 2009, the plan was frozen. Pursuant to these amendments, no new employees may participate in the plans, no further participant contributions were required or permitted, and no further benefits shall accrue after December 31, 2008. Benefits accumulated as of December 31, 2008 will be paid to employees upon retirement, and the Company will likely need to make additional cash contributions to the rabbi trust to fund this accumulated benefit obligation. To mitigate the loss in benefits of these employees, effective January 1, 2009, the Company increased the Company-match portion of its 401(k) defined contribution savings plan for employees impacted by the pension freeze.

Note 11 – Pensions and Other Postretirement Benefits (continued)

The Company also maintains other pension plans which provide supplemental defined benefits primarily to former U.S. employees whose benefits under qualified pension plans were limited by ERISA. These non-qualified plans are all non-contributory plans, and are considered to be unfunded.

In 2004, the Company entered into an employment agreement with Dr. Felix Zandman, its Executive Chairman and then-Chief Executive Officer. Pursuant to this agreement, the Company is providing an annual retirement benefit of approximately $614 to his surviving spouse. The Company maintains a non-qualified trust, referred to as a "rabbi" trust, to fund benefit payments under this plan. Rabbi trust assets are subject to creditor claims under certain conditions and are not the property of employees. Therefore, they are accounted for as other noncurrent assets. Assets held in trust related to this non-qualified pension plan were $4,221 and $4,833 at December 31, 2013 and 2012, respectively.

In 2010, the Compensation Committee determined to modify Dr. Gerald Paul's and the Compensation Committee recommended to the Board of Directors, and the Board of Directors determined to modify Mr. Marc Zandman's employment arrangements such that upon any termination (other than for cause) after attaining age 62, the executive would be entitled to the same payments and benefits he would have received if his respective employment was terminated by Vishay without cause or by the respective executive for good reason. These modifications were included in formal amendments signed on August 8, 2010. The expense associated with the modifications to the employment arrangements of Dr. Gerald Paul and Mr. Marc Zandman effectively represents a defined retirement benefit that will be recognized over the remaining service period of the individuals.

Non-U.S. Pension Plans

The Company provides pension and similar benefits to employees of certain non-U.S. subsidiaries consistent with local practices. Pension benefits earned are generally based on years of service and compensation during active employment.

Note 11 – Pensions and Other Postretirement Benefits (continued)

The following table sets forth a reconciliation of the benefit obligation, plan assets, and funded status related to U.S. and non-U.S. pension plans:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
 
Change in benefit obligation:
 
  
  
  
 
Benefit obligation at beginning of year
 
$
355,065
  
$
282,448
  
$
322,527
  
$
243,966
 
Service cost
  
-
   
3,499
   
-
   
3,247
 
Interest cost
  
13,882
   
8,150
   
15,699
   
9,374
 
Plan amendments
  
-
   
23
   
-
   
67
 
Actuarial (gains) losses
  
(34,703
)
  
(5,134
)
  
35,467
   
29,957
 
Benefits paid
  
(18,871
)
  
(13,980
)
  
(18,628
)
  
(11,456
)
Currency translation
  
-
   
5,520
   
-
   
7,293
 
Benefit obligation at end of year
 
$
315,373
  
$
280,526
  
$
355,065
  
$
282,448
 
 
                
Change in plan assets:
                
Fair value of plan assets at beginning
                
of year
 
$
265,866
  
$
46,580
  
$
239,045
   
35,544
 
Actual return on plan assets
  
31,018
   
2,482
   
27,763
   
2,795
 
Company contributions
  
17,620
   
14,781
   
17,686
   
17,905
 
Benefits paid
  
(18,871
)
  
(13,980
)
  
(18,628
)
  
(11,456
)
Currency translation
  
-
   
(1,004
)
  
-
   
1,792
 
Fair value of plan assets at end of year
 
$
295,633
  
$
48,859
  
$
265,866
  
$
46,580
 
 
                
Funded status at end of year
 
$
(19,740
)
 
$
(231,667
)
 
$
(89,199
)
 
$
(235,868
)

The plan assets are stated at fair value. See Note 18 for further discussion of the valuation of the plan assets.

Amounts recognized in the consolidated balance sheet consist of the following:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
 
Other assets
 
$
15,708
  
$
257
  
$
-
  
$
143
 
Accrued benefit liability - currrent
  
(51
)
  
(7,644
)
  
(83
)
  
(6,997
)
Accrued benefit liability - non-current
  
(35,397
)
  
(224,280
)
  
(89,116
)
  
(229,014
)
Accumulated other comprehensive loss
  
84,384
   
61,652
   
146,525
   
71,459
 
 
 
$
64,644
  
$
(170,015
)
 
$
57,326
  
$
(164,409
)

Note 11 – Pensions and Other Postretirement Benefits (continued)

Actuarial items consist of the following:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
 
Unrecognized net actuarial loss
 
$
83,161
  
$
61,652
  
$
144,324
  
$
71,459
 
Unamortized prior service cost
  
1,223
   
-
   
2,201
   
-
 
 
 
$
84,384
  
$
61,652
  
$
146,525
  
$
71,459
 

The following table sets forth additional information regarding the projected and accumulated benefit obligations:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
 
Accumulated benefit obligation, all plans
 
$
315,373
  
$
260,558
  
$
355,065
  
$
261,557
 
 
                
Plans for which the accumulated benefit
                
obligation exceeds plan assets:
                
Projected benefit obligation
 
$
35,448
  
$
251,569
  
$
355,065
  
$
255,772
 
Accumulated benefit obligation
  
35,448
   
238,419
   
355,065
   
240,816
 
Fair value of plan assets
  
-
   
21,356
   
265,866
   
20,436
 

The following table sets forth the components of net periodic pension cost:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
  
  
 
Service cost net of employee contributions
 
$
-
  
$
3,499
  
$
-
  
$
3,247
  
$
-
  
$
3,197
 
Interest cost
  
13,882
   
8,150
   
15,699
   
9,374
   
16,332
   
10,366
 
Expected return on plan assets
  
(19,124
)
  
(2,084
)
  
(18,972
)
  
(1,667
)
  
(19,082
)
  
(1,651
)
Amortization of actuarial losses
  
14,566
   
3,407
   
12,960
   
1,681
   
9,006
   
993
 
Amortization of prior service cost
  
978
   
(12
)
  
2,200
   
60
   
2,361
   
531
 
Curtailment and settlement losses (gains)
  
-
   
959
   
-
   
-
   
148
   
-
 
Net periodic benefit cost
 
$
10,302
  
$
13,919
  
$
11,887
  
$
12,695
  
$
8,765
  
$
13,436
 

Note 11 – Pensions and Other Postretirement Benefits (continued)

See Note 10 for the pretax, tax effect and after tax amounts included in other comprehensive income during the years ended December 31, 2013, 2012, and 2011.  The estimated actuarial items for the defined benefit pensions plans that will be amortized from accumulated other comprehensive loss into net periodic pension cost during 2014 is $9,900.

The following weighted average assumptions were used to determine benefit obligations at December 31 of the respective years:

 
 
2013
  
2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
Discount rate
  
5.00
%
  
3.11
%
  
4.00
%
  
3.04
%
Rate of compensation increase
  
0.00
%
  
1.99
%
  
0.00
%
  
1.48
%

The following weighted average assumptions were used to determine the net periodic pension costs for the years ended December 31, 2013 and 2012:

 
 
Years ended December 31,
 
 
 
2013
  
2012
 
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
Discount rate
  
4.00
%
  
3.04
%
  
5.00
%
  
3.96
%
Rate of compensation increase
  
0.00
%
  
1.48
%
  
0.00
%
  
2.31
%
Expected return on plan assets
  
7.25
%
  
4.44
%
  
8.00
%
  
4.47
%

The plans' expected return on assets is based on management's expectations of long-term average rates of return to be achieved by the underlying investment portfolios. In establishing this assumption, management considers historical and expected returns for the asset classes in which the plans are invested, advice from pension consultants and investment advisors, and current economic and capital market conditions.

The investment mix between equity securities and fixed income securities is based upon achieving a desired return, balancing higher return, more volatile equity securities, and lower return, less volatile fixed income securities. The Company's U.S. defined benefit plans are invested in diversified portfolios of public-market equity and fixed income securities. Investment allocations are made across a range of markets, industry sectors, capitalization sizes, and, in the case of fixed income securities, maturities and credit quality.  The target allocation has historically been approximately 60% invested in equity securities and 40% invested in fixed income securities.  Based on market interest rate conditions and the current market value of the plan assets at December 31, 2013, our qualified defined benefit plan in the U.S. is fully-funded.  Accordingly, we have revised the asset allocation strategy for this plan to further reduce risk and now have set the target allocation at approximately 20% of the assets invested in equity securities and 80% invested in fixed income securities. The Company is evaluating options to further reduce the risk associated with its pension obligations. The Company's non-U.S. defined benefit plan investments are based on local laws and customs. Most plans invest in cash and local government fixed income securities, although plans in certain countries have investments in equity securities.  The plans do not invest in securities of Vishay or its subsidiaries. Negative investment returns could ultimately affect the funded status of the plans, requiring additional cash contributions. See Note 18 for further information on the fair value of the plan assets by asset category.


Note 11 – Pensions and Other Postretirement Benefits (continued)

Estimated future benefit payments are as follows:

 
 
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
 
2014
 
$
19,128
  
$
14,249
 
2015
  
19,451
   
14,082
 
2016
  
19,780
   
14,501
 
2017
  
26,378
   
16,769
 
2018
  
21,926
   
15,292
 
2019-2023
  
109,815
   
90,491
 

The Company anticipates making contributions to U.S. defined benefit pension plans of between $15,000 and $20,000 in 2014.

The Company's anticipated 2014 contributions for non-U.S. defined benefit pension plans will approximate the expected benefit payments disclosed above.

Note 11 – Pensions and Other Postretirement Benefits (continued)

Other Postretirement Benefits
In the U.S., the Company maintains unfunded non-pension postretirement plans, including medical benefits for certain executives and their surviving spouses, which are funded as costs are incurred. One of these plans was amended effective January 1, 2012, which reduced the benefit obligations of the Company. The Company also maintains two unfunded non-pension postretirement plans at two European subsidiaries.

The following table sets forth a reconciliation of the benefit obligation, plan assets, and accrued benefit cost related to U.S. and non-U.S. non-pension defined benefit postretirement plans:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
 
Change in benefit obligation:
 
  
  
  
 
Benefit obligation at beginning of year
 
$
8,157
  
$
6,964
  
$
10,924
  
$
5,972
 
Service cost
  
111
   
299
   
106
   
253
 
Interest cost
  
314
   
257
   
366
   
286
 
Plan amendments
  
-
   
-
   
(3,297
)
  
-
 
Actuarial (gains) losses
  
(639
)
  
398
   
660
   
1,022
 
Benefits paid
  
(602
)
  
(740
)
  
(602
)
  
(704
)
Currency translation
  
-
   
326
   
-
   
135
 
Benefit obligation at end of year
 
$
7,341
  
$
7,504
  
$
8,157
  
$
6,964
 
 
                
Fair value of plan assets at end of year
 
$
-
  
$
-
  
$
-
  
$
-
 
 
                
Funded status at end of year
 
$
(7,341
)
 
$
(7,504
)
 
$
(8,157
)
 
$
(6,964
)

Amounts recognized in the consolidated balance sheet consist of the following:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
 
Accrued benefit liability - current
 
$
(638
)
 
$
-
  
$
(637
)
 
$
-
 
Accrued benefit liability - non-current
  
(6,703
)
  
(7,504
)
  
(7,520
)
  
(6,964
)
Accumulated other comprehensive income
  
(5,782
)
  
1,246
   
(5,937
)
  
805
 
 
 
$
(13,123
)
 
$
(6,258
)
 
$
(14,094
)
 
$
(6,159
)



Note 11 – Pensions and Other Postretirement Benefits (continued)

Actuarial items consist of the following:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
 
Unrecognized net actuarial gain
 
$
(2,301
)
 
$
1,246
  
$
(1,657
)
 
$
805
 
Unamortized prior service (credit) cost
  
(3,481
)
  
-
   
(4,280
)
  
-
 
 
 
$
(5,782
)
 
$
1,246
  
$
(5,937
)
 
$
805
 

The following table sets forth the components of net periodic benefit cost:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
  
  
  
  
 
Service cost
 
$
111
  
$
299
  
$
106
  
$
253
  
$
77
  
$
275
 
Interest cost
  
314
   
257
   
366
   
286
   
547
   
282
 
Amortization of actuarial gains
  
4
   
8
   
(76
)
  
-
   
(315
)
  
-
 
Amortization of prior service credit
  
(798
)
  
-
   
(798
)
  
-
   
(431
)
  
-
 
Amortization of transition obligation
  
-
   
-
   
32
   
-
   
47
   
-
 
Net periodic benefit cost
 
$
(369
)
 
$
564
  
$
(370
)
 
$
539
  
$
(75
)
 
$
557
 

The estimated actuarial items for the other postretirement benefit plans that will be amortized from accumulated other comprehensive loss into net periodic benefit cost during 2014 are not material and approximate the amounts amortized in 2013.

The following weighted average assumptions were used to determine benefit obligations at December 31 of the respective years:

 
 
2013
  
2012
 
 
 
 
U.S.
Plans
  
Non-U.S. Plans
  
U.S.
Plans
  
Non-U.S. Plans
 
 
 
  
  
  
 
Discount rate
  
5.00
%
  
3.44
%
  
4.00
%
  
3.80
%
Rate of compensation increase
  
0.00
%
  
3.19
%
  
0.00
%
  
3.20
%

The following weighted average assumptions were used to determine the net periodic benefit costs for the years ended December 31, 2013 and 2012:

 
 
Years ended December 31,
 
 
 
2013
  
2012
 
 
 
 
U.S.
Plans
  
Non-U.S.
Plans
  
U.S.
Plans
  
Non-U.S. Plans
 
 
 
  
  
  
 
Discount rate
  
4.00
%
  
3.80
%
  
5.00
%
  
5.09
%
Rate of compensation increase
  
0.00
%
  
3.20
%
  
0.00
%
  
3.22
%


The impact of a one-percentage-point change in assumed health care cost trend rates on the net periodic benefit cost and postretirement benefit obligation is not material.


Note 11 – Pensions and Other Postretirement Benefits (continued)

Estimated future benefit payments are as follows:

 
 
U.S.
Plans
  
Non-U.S.
Plans
 
 
 
  
 
2014
 
$
638
  
$
420
 
2015
  
720
   
267
 
2016
  
704
   
329
 
2017
  
693
   
453
 
2018
  
678
   
551
 
2019-2023
  
2,940
   
3,650
 

As the plans are unfunded, the Company's anticipated contributions for 2014 are equal to its estimated benefits payments.

Other Retirement Obligations

The Company participates in various other defined contribution and government-mandated retirement plans based on local law or custom.  The Company periodically makes required contributions for certain of these plans, whereas other plans are unfunded retirement bonus plans which will be paid at the employee's retirement date.  At December 31, 2013 and 2012, the consolidated balance sheets include $(14,017) and $(12,347), respectively, within accrued pension and other postretirement costs related to these plans.

Many of the Company's U.S. employees are eligible to participate in 401(k) savings plans, some of which provide for Company matching under various formulas. The Company's matching expense for the plans was $5,276, $4,230, and $4,985 for the years ended December 31, 2013, 2012, and 2011, respectively. No material amounts are included in the consolidated balance sheets at December 31, 2013 and 2012 related to unfunded 401(k) contributions.

Certain key employees participate in a deferred compensation plan. During the years ended December 31, 2013, 2012, and 2011, these employees could defer a portion of their compensation until retirement, or elect shorter deferral periods. The Company maintains a liability within other noncurrent liabilities on its consolidated balance sheets related to these deferrals. The Company maintains a non-qualified trust, referred to as a "rabbi" trust, to fund payments under this plan. Rabbi trust assets are subject to creditor claims under certain conditions and are not the property of employees. Therefore, they are accounted for as other noncurrent assets. Assets held in trust related to the deferred compensation plan at December 31, 2013 and 2012 were approximately $14,093 and $12,310, respectively.

The Company is obligated to pay post-employment benefits to certain terminated employees related to acquisitions. The liabilities recorded for these obligations total $4,727 and $5,827 as of December 31, 2013 and 2012, respectively.  Of these amounts, $1,358 and $1,498 are included in accrued liabilities as of December 31, 2013 and 2012, respectively, with the remaining amounts included in other noncurrent liabilities.

XML 73 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stockholders' Equity
12 Months Ended
Dec. 31, 2013
Stockholders' Equity [Abstract]  
Stockholders' Equity
Note 7 – Stockholders' Equity
The Company's Class B common stock carries ten votes per share while the common stock carries one vote per share. Class B shares are transferable only to certain permitted transferees while the common stock is freely transferable.  Class B shares are convertible on a one-for-one basis at any time into shares of common stock.  Transfers of Class B shares other than to permitted transferees result in the automatic conversion of the Class B shares into common stock.

The Board of Directors may only declare dividends or other distributions with respect to the common stock or the Class B common stock if it grants such dividends or distributions in the same amount per share with respect to the other class of stock.  Stock dividends or distributions on any class of stock are payable only in shares of stock of that class.  Shares of either common stock or Class B common stock cannot be split, divided, or combined unless the other is also split, divided, or combined equally.

On May 31, 2012, the Company repurchased 13,948,687 shares of common stock for an aggregate purchase price of $150,000. The Company repurchased 8,620,689 shares of its common stock on May 13, 2011 for $150,000 and 21,721,959 shares of its common stock on November 9, 2010 for $275,000. At December 31, 2013, the Credit Facility allows the Company to repurchase its common stock or pay cash dividends up to $204,596, conditioned upon the Company maintaining specific pro forma financial ratios and a required minimum amount of available liquidity, as defined in the credit agreement.  The amount and timing of any future stock repurchases remains subject to authorization of the Company's Board of Directors.

The Company issued 8,823,529 warrants to acquire shares of Vishay common stock as part of the purchase price for the 2002 acquisition of BCcomponents.  These warrants expired in December 2012.

At December 31, 2013, the Company had reserved shares of common stock for future issuance as follows:

Common stock options outstanding
  
109,000
 
Restricted stock units outstanding
  
1,059,000
 
2007 Stock Incentive Program - available to grant
  
766,000
 
Phantom stock units outstanding
  
107,000
 
Phantom stock units available to grant
  
75,000
 
Exchangeable unsecured notes, due 2102
  
2,511,742
 
Convertible senior debentures, due 2040*
  
22,285,258
 
Convertible senior debentures, due 2041*
  
8,870,490
 
Convertible senior debentures, due 2042*
  
14,450,865
 
Conversion of Class B common stock
  
12,129,227
 
 
  
62,363,582
 
___________________
*The convertible senior debentures due 2040, due 2041, and due 2042 are convertible into 19,809,103, 7,884,885, and 12,704,055shares, respectively, of Vishay common stock.  The Company has reserved the maximum amount of shares to be delivered upon a make-whole fundamental change as defined in the indentures governing the debentures.
 
Subsequent Event
 
On February 3, 2014, the Company's Board of Directors approved the initiation of a quarterly cash dividend program.  The initial cash dividend of $0.06 per share of common stock and Class B common stock will be paid on March 27, 2014 to stockholders of record at the close of business on March 3, 2014.  Future dividends will be subject to approval by the Board of Directors.
 
 

XML 74 R60.htm IDEA: XBRL DOCUMENT v2.4.0.8
Pensions and Other Postretirement Benefits (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Amounts recognized in balance sheet associated with retirement benefit plans [Abstract]      
Included in other assets $ 15,965 $ 143  
Included in "Accrued Payroll" (8,333) (7,717)  
Accrued pension and other postretirement costs (287,901) (344,961)  
Accumulated other comprehensive loss 141,500 212,852  
Components of net periodic pension cost [Abstract]      
Amounts that will be amortized from accumulated other comprehensive loss into net periodic pension cost during next fiscal year 9,900    
Estimated future benefit payments [Abstract]      
Estimated future employer contributions to U.S. defined benefit pension plans in next fiscal year, minimum 15,000    
Estimated future employer contributions to U.S. defined benefit pension plans in next fiscal year, maximum 20,000    
Other retirement obligations [Abstract]      
Company's matching expense for 401(k) savings plans 5,276 4,230 4,985
Liabilities recorded for post-employment benefit obligations to certain terminated employees related to acquisitions 4,727 5,827  
Accrued liabilities for post-employment benefit obligations to certain terminated employees related to acquisitions 1,358 1,498  
Deferred Compensation [Member]
     
Defined benefit pension plans [Abstract]      
Assets held in trust 14,093 12,310  
Non-qualified Pension Plans [Member]
     
Defined benefit pension plans [Abstract]      
Assets held in trust 18,678 16,608  
Dr. Felix Zandman [Member] | Non-qualified Pension Plans [Member]
     
Defined benefit pension plans [Abstract]      
Assets held in trust 4,221 4,833  
Deferred compensation arrangement, annual retirement benefit to surviving spouse 614    
Equity Securities [Member]
     
Actual plan asset allocations [Abstract]      
Defined Benefit Plan, Actual Plan Asset Allocations 20.00% 60.00%  
Debt Securities [Member]
     
Actual plan asset allocations [Abstract]      
Defined Benefit Plan, Actual Plan Asset Allocations 80.00% 40.00%  
U.S. Pension Plans [Member]
     
Change in benefit obligation [Roll forward]      
Benefit obligation at beginning of year 355,065 322,527  
Service cost 0 0 0
Interest cost 13,882 15,699 16,332
Plan amendments and initiations 0 0  
Actuarial (gains) losses (34,703) 35,467  
Benefits paid (18,871) (18,628)  
Currency translation 0 0  
Benefit obligation at end of year 315,373 355,065 322,527
Change in plan assets [Roll forward]      
Fair value of plan assets at beginning of year 265,866 239,045  
Actual return on plan assets 31,018 27,763  
Company contributions 17,620 17,686  
Benefits paid (18,871) (18,628)  
Currency translation 0 0  
Fair value of plan assets at end of year 295,633 265,866 239,045
Funded status at end of year (19,740) (89,199)  
Amounts recognized in balance sheet associated with retirement benefit plans [Abstract]      
Included in other assets 15,708 0  
Pension and Other Postretirement Defined Benefit Plans, Current Liabilities (51) (83)  
Included in "Accrued Payroll" (51) (83)  
Accrued pension and other postretirement costs (35,397) (89,116)  
Total actuarial items 84,384 146,525  
Accumulated other comprehensive loss 84,384 146,525  
Total 64,644 57,326  
Components of actuarial items [Abstract]      
Unrecognized net actuarial loss (gain) 83,161 144,324  
Unamortized prior service (credit) cost 1,223 2,201  
Total actuarial items 84,384 146,525  
Projected and accumulated benefit obligations [Abstract]      
Accumulated benefit obligation, all plans 315,373 355,065  
Plans for which the accumulated benefit obligation exceeds plan assets [Abstract]      
Projected benefit obligation 35,448 355,065  
Accumulated benefit obligation 35,448 355,065  
Fair value of plan assets 0 265,866  
Components of net periodic pension cost [Abstract]      
Net service cost 0 0 0
Interest cost 13,882 15,699 16,332
Expected return on plan assets (19,124) (18,972) (19,082)
Amortization of actuarial losses 14,566 12,960 9,006
Amortization of prior service (credit) cost 978 2,200 2,361
Curtailment and settlement losses (gains) 0 0 148
Net periodic benefit cost 10,302 11,887 8,765
Weighted average assumptions used to calculate benefit obligations [Abstract]      
Discount rate (in hundredths) 5.00% 4.00%  
Rate of compensation increase (in hundredths) 0.00% 0.00%  
Weighted average assumptions used calculating net periodic benefit cost [Abstract]      
Discount rate (in hundredths) 4.00% 5.00%  
Rate of compensation increase (in hundredths) 0.00% 0.00%  
Expected return on plan assets (in hundredths) 7.25% 8.00%  
Estimated future benefit payments [Abstract]      
2014 19,128    
2015 19,451    
2016 19,780    
2017 26,378    
2018 21,926    
2019-2023 109,815    
U.S. Pension Plans [Member] | Cash and Cash Equivalents [Member]
     
Change in plan assets [Roll forward]      
Fair value of plan assets at end of year 171 5,850  
U.S. Pension Plans [Member] | Equity Securities [Member]
     
Change in plan assets [Roll forward]      
Fair value of plan assets at end of year 51,666 153,829  
U.S. Pension Plans [Member] | Debt Securities [Member]
     
Change in plan assets [Roll forward]      
Fair value of plan assets at end of year 241,827 99,669  
Non-U.S. Pension Plans [Member]
     
Change in benefit obligation [Roll forward]      
Benefit obligation at beginning of year 282,448 243,966  
Service cost 3,499 3,247 3,197
Interest cost 8,150 9,374 10,366
Plan amendments and initiations 23 67  
Actuarial (gains) losses (5,134) 29,957  
Benefits paid (13,980) (11,456)  
Currency translation 5,520 7,293  
Benefit obligation at end of year 280,526 282,448 243,966
Change in plan assets [Roll forward]      
Fair value of plan assets at beginning of year 46,580 35,544  
Actual return on plan assets 2,482 2,795  
Company contributions 14,781 17,905  
Benefits paid (13,980) (11,456)  
Currency translation (1,004) 1,792  
Fair value of plan assets at end of year 48,859 46,580 35,544
Funded status at end of year (231,667) (235,868)  
Amounts recognized in balance sheet associated with retirement benefit plans [Abstract]      
Included in other assets 257 143  
Pension and Other Postretirement Defined Benefit Plans, Current Liabilities (7,644) (6,997)  
Included in "Accrued Payroll" (7,644) (6,997)  
Accrued pension and other postretirement costs (224,280) (229,014)  
Total actuarial items 61,652 71,459  
Accumulated other comprehensive loss 61,652 71,459  
Total (170,015) (164,409)  
Components of actuarial items [Abstract]      
Unrecognized net actuarial loss (gain) 61,652 71,459  
Unamortized prior service (credit) cost 0 0  
Total actuarial items 61,652 71,459  
Projected and accumulated benefit obligations [Abstract]      
Accumulated benefit obligation, all plans 260,558 261,557  
Plans for which the accumulated benefit obligation exceeds plan assets [Abstract]      
Projected benefit obligation 251,569 255,772  
Accumulated benefit obligation 238,419 240,816  
Fair value of plan assets 21,356 20,436  
Components of net periodic pension cost [Abstract]      
Net service cost 3,499 3,247 3,197
Interest cost 8,150 9,374 10,366
Expected return on plan assets (2,084) (1,667) (1,651)
Amortization of actuarial losses 3,407 1,681 993
Amortization of prior service (credit) cost (12) 60 531
Curtailment and settlement losses (gains) 959 0 0
Net periodic benefit cost 13,919 12,695 13,436
Weighted average assumptions used to calculate benefit obligations [Abstract]      
Discount rate (in hundredths) 3.11% 3.04%  
Rate of compensation increase (in hundredths) 1.99% 1.48%  
Weighted average assumptions used calculating net periodic benefit cost [Abstract]      
Discount rate (in hundredths) 3.04% 3.96%  
Rate of compensation increase (in hundredths) 1.48% 2.31%  
Expected return on plan assets (in hundredths) 4.44% 4.47%  
Estimated future benefit payments [Abstract]      
2014 14,249    
2015 14,082    
2016 14,501    
2017 16,769    
2018 15,292    
2019-2023 90,491    
Non-U.S. Pension Plans [Member] | Cash and Cash Equivalents [Member]
     
Change in plan assets [Roll forward]      
Fair value of plan assets at end of year 22,831 23,255  
Non-U.S. Pension Plans [Member] | Equity Securities [Member]
     
Change in plan assets [Roll forward]      
Fair value of plan assets at end of year 9,911 8,888  
Non-U.S. Pension Plans [Member] | Debt Securities [Member]
     
Change in plan assets [Roll forward]      
Fair value of plan assets at end of year 16,117 14,437  
U.S. Postretirement Plans [Member]
     
Change in benefit obligation [Roll forward]      
Benefit obligation at beginning of year 8,157 10,924  
Service cost 111 106 77
Interest cost 314 366 547
Plan amendments and initiations 0 (3,297)  
Actuarial (gains) losses (639) 660  
Benefits paid (602) (602)  
Currency translation 0 0  
Benefit obligation at end of year 7,341 8,157 10,924
Change in plan assets [Roll forward]      
Fair value of plan assets at beginning of year 0    
Benefits paid (602) (602)  
Fair value of plan assets at end of year 0 0  
Funded status at end of year (7,341) (8,157)  
Amounts recognized in balance sheet associated with retirement benefit plans [Abstract]      
Pension and Other Postretirement Defined Benefit Plans, Current Liabilities (638) (637)  
Included in "Accrued Payroll" (638) (637)  
Accrued pension and other postretirement costs (6,703) (7,520)  
Total actuarial items (5,782) (5,937)  
Accumulated other comprehensive loss (5,782) (5,937)  
Total (13,123) (14,094)  
Components of actuarial items [Abstract]      
Unrecognized net actuarial loss (gain) (2,301) (1,657)  
Unamortized prior service (credit) cost (3,481) (4,280)  
Total actuarial items (5,782) (5,937)  
Components of net periodic pension cost [Abstract]      
Net service cost 111 106 77
Interest cost 314 366 547
Amortization of actuarial losses 4 (76) (315)
Amortization of prior service (credit) cost (798) (798) (431)
Amortization of transition obligation 0 32 47
Net periodic benefit cost (369) (370) (75)
Weighted average assumptions used to calculate benefit obligations [Abstract]      
Discount rate (in hundredths) 5.00% 4.00%  
Rate of compensation increase (in hundredths) 0.00% 0.00%  
Weighted average assumptions used calculating net periodic benefit cost [Abstract]      
Discount rate (in hundredths) 4.00% 5.00%  
Rate of compensation increase (in hundredths) 0.00% 0.00%  
Estimated future benefit payments [Abstract]      
2014 638    
2015 720    
2016 704    
2017 693    
2018 678    
2019-2023 2,940    
Other postretirement benefits [Abstract]      
Number of unfunded non-pension postretirement plans 2    
Non-U.S. Postretirement Plans [Member]
     
Change in benefit obligation [Roll forward]      
Benefit obligation at beginning of year 6,964 5,972  
Service cost 299 253 275
Interest cost 257 286 282
Plan amendments and initiations 0 0  
Actuarial (gains) losses 398 1,022  
Benefits paid (740) (704)  
Currency translation 326 135  
Benefit obligation at end of year 7,504 6,964 5,972
Change in plan assets [Roll forward]      
Fair value of plan assets at beginning of year 0    
Benefits paid (740) (704)  
Fair value of plan assets at end of year 0 0  
Funded status at end of year (7,504) (6,964)  
Amounts recognized in balance sheet associated with retirement benefit plans [Abstract]      
Pension and Other Postretirement Defined Benefit Plans, Current Liabilities 0 0  
Accrued pension and other postretirement costs (7,504) (6,964)  
Total actuarial items 1,246 805  
Accumulated other comprehensive loss 1,246 805  
Total (6,258) (6,159)  
Components of actuarial items [Abstract]      
Unrecognized net actuarial loss (gain) 1,246 805  
Unamortized prior service (credit) cost 0 0  
Total actuarial items 1,246 805  
Components of net periodic pension cost [Abstract]      
Net service cost 299 253 275
Interest cost 257 286 282
Amortization of actuarial losses 8 0 0
Amortization of prior service (credit) cost 0 0 0
Amortization of transition obligation 0 0 0
Net periodic benefit cost 564 539 557
Weighted average assumptions used to calculate benefit obligations [Abstract]      
Discount rate (in hundredths) 3.44% 3.80%  
Rate of compensation increase (in hundredths) 3.19% 3.20%  
Weighted average assumptions used calculating net periodic benefit cost [Abstract]      
Discount rate (in hundredths) 3.80% 5.09%  
Rate of compensation increase (in hundredths) 3.20% 3.22%  
Estimated future benefit payments [Abstract]      
2014 420    
2015 267    
2016 329    
2017 453    
2018 551    
2019-2023 3,650    
Other postretirement benefits [Abstract]      
Number of European subsidiaries with unfunded non-pension postretirement plans 2    
Other Retirement Obligations [Member]
     
Amounts recognized in balance sheet associated with retirement benefit plans [Abstract]      
Accrued pension and other postretirement costs $ (14,017) $ (12,347)  
XML 75 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes
12 Months Ended
Dec. 31, 2013
Income Taxes [Abstract]  
Income Taxes
Note 5 – Income Taxes

Income (loss) from continuing operations before taxes and noncontrolling interests consists of the following components:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Domestic
 
$
(26,065
)
 
$
(15,995
)
 
$
2,143
 
Foreign
  
202,470
   
186,032
   
328,973
 
 
 
$
176,405
  
$
170,037
  
$
331,116
 

Significant components of income taxes are as follows:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Current:
 
  
  
 
Federal
 
$
(603
)
 
$
8,409
  
$
10,968
 
State and local
  
280
   
574
   
(801
)
Foreign
  
51,225
   
44,351
   
66,844
 
 
  
50,902
   
53,334
   
77,011
 
Deferred:
            
Federal
  
2,215
   
(8,557
)
  
6,188
 
State and local
  
92
   
(240
)
  
(2,286
)
Foreign
  
(573
)
  
1,969
   
10,206
 
 
  
1,734
   
(6,828
)
  
14,108
 
Total income tax expense
 
$
52,636
  
$
46,506
  
$
91,119
 


Note 5 – Income Taxes (continued)

Deferred income taxes reflect the net tax effects of temporary differences between the carrying amounts of assets and liabilities for financial reporting purposes and the amounts for income tax purposes. Significant components of the Company's deferred tax assets and liabilities are as follows:

 
 
December 31,
 
 
 
2013
  
2012
 
 
 
  
 
Deferred tax assets:
 
  
 
Pension and other retiree obligations
 
$
34,343
  
$
58,577
 
Inventories
  
8,759
   
13,881
 
Net operating loss carryforwards
  
182,691
   
158,638
 
Tax credit carryforwards
  
20,780
   
16,180
 
Other accruals and reserves
  
31,469
   
34,194
 
Total gross deferred tax assets
  
278,042
   
281,470
 
Less valuation allowance
  
(183,289
)
  
(166,266
)
 
  
94,753
   
115,204
 
Deferred tax liabilities:
        
Tax over book depreciation
  
(10,652
)
  
(13,975
)
Earnings not permanently reinvested
  
-
 
  
(1,652
)
Convertible debentures
  
(162,371
)
  
(149,113
)
Other - net
  
(5,932
)
  
(2,711
)
Total gross deferred tax liabilities
  
(178,955
)
  
(167,451
)
 
        
Net deferred tax assets (liabilities)
 
$
(84,202
)
 
$
(52,247
)


The Company makes significant judgments regarding the realizability of its deferred tax assets (principally net operating losses). The carrying value of deferred tax assets is based on the Company's assessment that it is more likely than not that the Company will realize these assets after consideration of all available positive and negative evidence.

A reconciliation of income tax expense at the U.S. federal statutory income tax rate to actual income tax provision is as follows:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Tax at statutory rate
 
$
61,742
  
$
59,513
  
$
115,891
 
State income taxes, net of U.S. federal tax benefit
  
242
   
217
   
(2,005
)
Effect of foreign operations
  
(18,696
)
  
(19,083
)
  
(52,609
)
Unrecognized tax benefits
  
2,862
   
6,626
   
4,869
 
Change in valuation allowance on non-U.S. deferred tax assets
  
(285
)
  
(4,036
)
  
(5,554
)
Tax benefit of operating loss carryforwards
  
(1,259
)
  
(671
)
  
(1,588
)
Foreign income taxable in the U.S.
  
11,961
   
7,476
   
22,822
 
Tax on foreign dividends paid to the U.S.
  
-
   
-
   
15,453
 
U.S. foreign tax credits
  
-
   
(4,257
)
  
(12,322
)
Effect of statutory rate changes on deferred tax assets
  
(2,867
)   
-
   
9,040
 
Other
  
(1,064
)
  
721
   
(2,878
)
Total income tax expense
 
$
52,636
  
$
46,506
  
$
91,119
 

Note 5 – Income Taxes (continued)

Income tax expense for the years ended December 31, 2013, 2012, and 2011 include certain discrete tax items for changes in uncertain tax positions, valuation allowances, tax rates, and other related items. These items total $(4,197) (tax benefit), $(4,036) (tax benefit), and $3,486 in 2013, 2012, and 2011, respectively.

For the year ended December 31, 2013, the discrete items include a $2,867 benefit recorded in the third fiscal quarter due to a new tax law enacted in Israel in July 2013 which effectively increases the corporate income tax rate on certain types of income earned after January 1, 2014, and, therefore, increases the deferred tax assets, and a $1,330 benefit recorded in the first fiscal quarter due to the retroactive enactment of the American Taxpayer Relief Act of 2012, signed into law on January 2, 2013.

For the year ended December 31, 2012, the discrete item is the reduction of a valuation allowance on a deferred tax asset in Israel due to a merger of several of the Company's wholly-owned subsidiaries in Israel in the fourth fiscal quarter which will allow for the realization of these tax benefits that likely otherwise would have been forgone.

For the year ended December 31, 2011, the discrete items included a $10,024 expense for the effect of a tax rate change on deferred taxes in Israel recorded in the first fiscal quarter, reduced by $984 for a 2010 tax return filing in the fourth fiscal quarter, and partially offset by benefits related to reductions of valuation allowances in various jurisdictions of $5,554 recorded in the fourth fiscal quarter.  The reductions of valuation allowances were principally in Belgium due to expected future income from a pending real estate sale.

At December 31, 2013, the Company had the following significant net operating loss carryforwards for tax purposes:

 
 
  
Expires
 
 
 
  
 
Austria
 
$
13,699
  
No expiration
 
Belgium
  
196,898
  
No expiration
 
Brazil
  
16,736
  
No expiration
 
Germany
  
49,880
  
No expiration
 
Israel
  
79,406
  
No expiration
 
Netherlands
  
24,136
   2014 - 2022 
United States
  
41,575
   2033 
 
        
California
  
54,317
   2016 - 2033 
Pennsylvania
  
637,923
   2018 - 2033 


Approximately $72,926 of the carryforwards in Belgium resulted from the Company's acquisition of BCcomponents in 2002.  Valuation allowances of $24,788 and $23,946, as of December 31, 2013 and 2012, respectively, have been recorded through goodwill for these acquired net operating losses. Prior to the adoption of updated guidance in ASC Topic 805 on January 1, 2009, if tax benefits were recognized through the utilization of these acquired net operating losses, the benefits of such loss utilization were recorded as a reduction to goodwill. After the adoption of the updated guidance on January 1, 2009, the benefits of such losses are recorded as a reduction of tax expense. In 2013, 2012, and 2011, the tax benefit recognized through a reduction of acquisition-date valuation allowances recorded as a reduction of tax expense was $0, $0, and $4,299, respectively.  The reduction in valuation allowances included pre-acquisition allowances for losses in Austria and Netherlands.


At December 31, 2013, the Company had the following significant tax credit carryforwards available:

 
 
  
Expires
 
 
 
  
 
U.S. Foreign Tax Credit
 
$
11,026
   
2020 - 2022
 
California Research Credit
  
9,062
  
No expiration
 


Note 5 – Income Taxes (continued)

At December 31, 2013, no provision has been made for U.S. federal and state income taxes on approximately $2,752,155 of foreign earnings, which the Company continues to expect to be reinvested outside of the United States indefinitely. Upon distribution of those earnings in the form of dividends or otherwise, the Company would be subject to U.S. income taxes (subject to an adjustment for foreign tax credits), state income taxes, incremental foreign income taxes, and withholding taxes payable to the various foreign countries. Determination of the amount of unrecognized deferred U.S. income tax liability is not practicable because of the complexities associated with its hypothetical calculation.

As of December 31, 2008, the Company recorded additional tax expense for an expected repatriation of $112,500 because such earnings were not deemed to be indefinitely reinvested outside of the United States.  During the third fiscal quarter of 2012, the Company repatriated $72,100 of cash to the U.S., which substantially completed the $112,500 cash repatriation program the Company initiated in 2008. This repatriated cash was used to reduce the amount outstanding under the Company's revolving credit facility.  At the present time, the Company expects that the remaining cash and profits generated by foreign subsidiaries will continue to be reinvested indefinitely.

Net income taxes paid were $44,757, $46,611, and $126,918 for the years ended December 31, 2013, 2012, and 2011, respectively.
 
See Note 19 for a discussion of the tax-related uncertainties for the pre-spin-off period of Vishay Precision Group, Inc. ("VPG"), which was spun off on July 6, 2010.


Note 5 – Income Taxes (continued)
 
The following table summarizes changes in the liabilities associated with unrecognized tax benefits:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Balance at beginning of year
 
$
51,771
  
$
48,152
  
$
52,066
 
Addition based on tax positions related to the current year
  
-
   
665
   
2,459
 
Addition based on tax positions related to prior years
  
4,015
   
3,498
   
7,232
 
Currency translation adjustments
  
310
   
(215
)
  
(749
)
Reduction based on tax positions related to prior years
  
(2,054
)
  
-
   
(3,293
)
Reduction for settlements
  
(7,316
)
  
(329
)
  
(9,528
)
Reduction for lapses of statute of limitation
  
(849
)
  
-
   
(35
)
Balance at end of year
 
$
45,877
  
$
51,771
  
$
48,152
 

All of the unrecognized tax benefits of $45,877 and $51,771, as of December 31, 2013 and 2012, respectively, would reduce the effective tax rate if recognized.
 
The Company recognizes interest and penalties related to unrecognized tax benefits in income tax expense. At December 31, 2013 and 2012, the Company had accrued interest and penalties related to the unrecognized tax benefits of $7,766 and $8,513, respectively. During the years ended December 31, 2013, 2012, and 2011, the Company recognized $2,218, $2,833, and $3,795, respectively, in interest and penalties.

The Company and its subsidiaries file U.S. federal income tax returns, as well as tax returns in multiple state and foreign jurisdictions.  The U.S. Internal Revenue Service is currently conducting an examination of Vishay's U.S. federal tax returns for the years 2010 and 2011.  Because of net operating losses which were fully utilized on the 2010 tax return, the Company's U.S. federal tax returns for 2003 through 2009 remain subject to examination.  Most principal subsidiaries in Israel are currently under examination for tax years 2008 through 2010.  The tax returns of other significant non-U.S. subsidiaries which are currently under examination include India (2004 through 2011), China (2009), and the Republic of Taiwan (2007 through 2012).  In 2013, the Company settled an examination of the 2005 through 2008 tax years for its subsidiaries in Germany.  The Company and its subsidiaries also file income tax returns in other taxing jurisdictions in the U.S. and around the world, many of which are still open to examinations.

The timing of the resolution of income tax examinations is highly uncertain, as are the amounts and timing of tax payments that result from such examinations.  These events could cause large fluctuations in the balance sheet classification of current and non-current unrecognized tax benefits.  The Company believes that in the next 12 months it is reasonably possible that certain income tax examinations will conclude or the statutes of limitation on certain income tax periods open to examination will expire, or both.  Given the uncertainties described above, the Company can only determine an estimate of potential decreases in unrecognized tax benefits ranging from $30,900 to $35,000.


XML 76 R14.htm IDEA: XBRL DOCUMENT v2.4.0.8
Long-Term Debt
12 Months Ended
Dec. 31, 2013
Long-Term Debt [Abstract]  
Long-Term Debt
Note 6 – Long-Term Debt

Long-term debt consists of the following:

 
 
December 31, 2013
  
December 31, 2012
 
 
 
  
 
Credit facility
 
$
114,000
  
$
89,000
 
Exchangeable unsecured notes, due 2102
  
38,642
   
95,042
 
Convertible senior debentures, due 2040
  
101,846
   
100,166
 
Convertible senior debentures, due 2041
  
52,264
   
51,399
 
Convertible senior debentures, due 2042
  
58,159
   
57,324
 
 
  
364,911
   
392,931
 
Less current portion
  
-
   
-
 
 
 
$
364,911
  
$
392,931
 

Credit Facility

The Company maintains a credit facility with a consortium of banks led by JPMorgan Chase Bank, N.A., as administrative agent (the "Credit Facility"). On August 8, 2013, the Company entered into an Amended and Restated Credit Agreement, which provides an aggregate commitment of $640,000 of revolving loans available until August 8, 2018. The original credit agreement became effective December 1, 2010 and was scheduled to expire on December 1, 2015. The Credit Facility, as amended and restated, also provides for the ability of Vishay to request up to $50,000 of incremental revolving commitments, subject to the satisfaction of certain conditions.

Borrowings under the Credit Facility bear interest at the London Interbank Offered Rate ("LIBOR") plus an interest margin.  The applicable interest margin is based on the Company's leverage ratio.  Based on the Company's current leverage ratio, borrowings bear interest at LIBOR plus 1.75%.  The interest rate on the Company's borrowings will increase to LIBOR plus 2.00% if the Company's leverage ratio equals or exceeds 2.50 to 1 and will decrease to LIBOR plus 1.50% if the Company's leverage ratio decreases below 1.50 to 1.  Vishay is also required to pay facility fees on the entire commitment amount based on the Company's leverage ratio.  Based on the Company's current leverage ratio, the facility fee is 0.35% per annum.  Such facility fee will increase to 0.50% per annum if the Company's leverage ratio equals or exceeds 2.50 to 1 and will decrease to 0.30% per annum if the leverage ratio decreases below 1.50 to 1.

The August 8, 2013 Amended and Restated Credit Agreement also removes certain restrictions related to the incurrence and repayment of certain intercompany indebtedness, mergers, liquidations, and transfers of ownership of wholly owned subsidiaries that were present in the original credit agreement. These changes will enable the Company to streamline its complex subsidiary structure and provide greater operating flexibility.

The borrowings under the Credit Facility are secured by a lien on substantially all assets, including accounts receivable, inventory, machinery and equipment, and general intangibles (but excluding real estate, intellectual property registered or licensed for use in, or arising under the laws of, any country other than the United States, assets located outside of the United States and deposit and securities accounts), of Vishay and certain significant subsidiaries located in the United States, and pledges of stock in certain significant domestic and foreign subsidiaries; and are guaranteed by certain significant subsidiaries. Certain of the Company's subsidiaries are permitted to borrow under the Credit Facility, subject to the satisfaction of specified conditions. Any borrowings by these subsidiaries under the Credit Facility are guaranteed by Vishay and certain subsidiaries. The Credit Facility also limits or restricts the Company and its subsidiaries, from, among other things, incurring indebtedness, incurring liens on its respective assets, making investments and acquisitions, making asset sales, and making other restricted payments, and requires the Company to comply with other covenants, including the maintenance of specific financial ratios.

Note 6 – Long-Term Debt (continued)

The Credit Facility permits the Company to repurchase shares of its common stock or pay cash dividends up to a permitted capacity, conditioned upon Vishay maintaining (i) a pro forma leverage ratio of 2.75 to 1.00, (ii) a pro forma interest expense coverage ratio of 2.00 to 1.00, and (iii) $300,000 of available liquidity, as defined in the Credit Facility.  The permitted capacity to repurchase shares of the Company's outstanding common stock or pay cash dividends under the Credit Facility increases each quarter by an amount equal to 20% of net income. At December 31, 2013, the Credit Facility allows the Company to repurchase its common stock or pay cash dividends up to $204,596 (See Note 7).  The amount and timing of any future stock repurchases or cash dividends remains subject to authorization of the Company's Board of Directors.

The Credit Facility also contains customary events of default, including, but not limited to, failure to pay principal or interest, failure to pay or default under other material debt, material misrepresentation or breach of warranty, violation of certain covenants, a change of control, the commencement of bankruptcy proceedings, the insolvency of Vishay or certain of its significant subsidiaries, and the rendering of a judgment in excess of $25,000 against Vishay or certain of its significant subsidiaries. Upon the occurrence of an event of default under the Credit Facility, the Company's obligations under the credit facility may be accelerated and the lending commitments under the credit facility terminated.

At December 31, 2013 and 2012, there was $518,345 and $431,295, respectively, available under the Credit Facility. Letters of credit totaling $7,655 and $7,705 were outstanding at December 31, 2013 and 2012, respectively.

Convertible Senior Debentures

Vishay currently has three issuances of convertible senior debentures outstanding with generally congruent terms. The following table summarizes some key facts and terms regarding the three series of outstanding convertible senior debentures:

 
 
Due 2040
  
Due 2041
  
Due 2042
 
 
 
  
  
 
Issuance date
 
November 9, 2010
  
May 13, 2011
  
May 31, 2012
 
Maturity date
 
November 15, 2040
  
May 15, 2041
  
June 1, 2042
 
Principal amount
 
$
275,000
  
$
150,000
  
$
150,000
 
Cash coupon rate (per annum)
  
2.25
%
  
2.25
%
  
2.25
%
Nonconvertible debt borrowing rate at issuance (per annum)
  
8.00
%
  
8.375
%
  
7.50
%
Initial conversion rate (per $1 principal amount)
  
72.0331
   
52.5659
   
84.6937
 
Effective conversion price (per share)
 
$
13.88
  
$
19.02
  
$
11.81
 
130% of the conversion price (per share)
 
$
18.04
  
$
24.73
  
$
15.35
 
Call date
 
November 20, 2020
  
May 20, 2021
  
June 7, 2022
 


The payment of cash dividends results in an adjustment to the conversion rate and effective conversion price for each issuance of the convertible senior debentures (See Note 7).

GAAP requires an issuer to separately account for the liability and equity components of the instrument in a manner that reflects the issuer's nonconvertible debt borrowing rate when interest costs are recognized in subsequent periods. The resulting discount on the debt is amortized as non-cash interest expense in future periods.


Note 6 – Long-Term Debt (continued)

The carrying values of the liability and equity components of the convertible debentures are reflected in the Company's consolidated balance sheets as follows:

 
 
Principal amount of the debentures
  
Unamortized discount
  
Embedded derivative
  
Carrying value of liability component
  
Equity component - net carrying value
 
 
 
  
  
  
  
 
December 31, 2013
 
  
  
  
  
 
Due 2040
 
$
275,000
   
(173,645
)
  
491
  
$
101,846
  
$
110,094
 
Due 2041
 
$
150,000
   
(98,085
)
  
349
  
$
52,264
  
$
62,246
 
Due 2042
 
$
150,000
   
(92,038
)
  
197
  
$
58,159
  
$
57,874
 
Total
 
$
575,000
  
$
(363,768
)
 
$
1,037
  
$
212,269
  
$
230,214
 
 
                    
December 31, 2012
                    
Due 2040
 
$
275,000
   
(175,456
)
  
622
  
$
100,166
  
$
110,094
 
Due 2041
 
$
150,000
   
(99,000
)
  
399
  
$
51,399
  
$
62,246
 
Due 2042
 
$
150,000
   
(92,958
)
  
282
  
$
57,324
  
$
57,874
 
Total
 
$
575,000
  
$
(367,414
)
 
$
1,303
  
$
208,889
  
$
230,214
 


Interest is payable on the debentures semi-annually at the cash coupon rate; however, the remaining debt discount is being amortized as additional non-cash interest expense using an effective annual interest rate equal to the Company's estimated nonconvertible debt borrowing rate at the time of issuance. In addition to ordinary interest, contingent interest will accrue in certain circumstances relating to the trading price of the debentures and under certain other circumstances beginning ten years subsequent to issuance.

Interest expense related to the debentures is reflected on the consolidated statements of operations for the years ended December 31:

 
 
 
Contractual coupon interest
  
Non-cash amortization of debt discount
  
Non-cash amortization of deferred financing costs
  
Non-cash change in value of derivative liability
  
Total interest expense related to the debentures
 
 
 
  
  
  
  
 
2013
 
  
  
  
  
 
Due 2040
 
$
6,188
   
1,811
   
88
   
(131
)
 
$
7,956
 
Due 2041
 
$
3,375
   
915
   
47
   
(50
)
 
$
4,287
 
Due 2042
 
$
3,375
   
920
   
54
   
(85
)
 
$
4,264
 
Total
 
$
12,938
  
$
3,646
  
$
189
  
$
(266
)
 
$
16,507
 
 
                    
2012
                    
Due 2040
 
$
6,188
   
1,675
   
88
   
28
  
$
7,979
 
Due 2041
 
$
3,375
   
843
   
45
   
7
  
$
4,270
 
Due 2042
 
$
1,978
   
510
   
32
   
46
  
$
2,566
 
Total
 
$
11,541
  
$
3,028
  
$
165
  
$
81
  
$
14,815
 
 
                    
2011
                    
Due 2040
 
$
6,188
   
1,548
   
88
   
275
  
$
8,099
 
Due 2041
 
$
2,128
   
498
   
29
   
181
  
$
2,836
 
Total
 
$
8,316
  
$
2,046
  
$
117
  
$
456
  
$
10,935
 


Note 6 – Long-Term Debt (continued)

Prior to three months before the maturity date, the holders may only convert their debentures under the following circumstances: (1) during any fiscal quarter  after the first full quarter subsequent to issuance, if the sale price of Vishay common stock reaches 130% of the conversion price for a specified period; (2) the trading price of the debentures falls below 98% of the product of the sale price of Vishay's common stock and the conversion rate for a specified period; (3) Vishay calls any or all of the debentures for redemption, at any time prior to the close of business on the third scheduled trading day immediately preceding the redemption date; or (4) upon the occurrence of specified corporate events. None of these conditions had occurred as of December 31, 2013.

The debentures are convertible, subject to certain conditions, into cash, shares of Vishay's common stock or a combination thereof, at Vishay's option, at the conversion rate. At the direction of its Board of Directors, Vishay intends, upon conversion, to repay the principal amount of the debentures in cash and settle any additional amounts in shares. Vishay must provide additional shares upon conversion if there is a "fundamental change" in the business as defined in the indenture governing the debentures.

Vishay may not redeem the debentures prior to the respective call dates, except in connection with certain tax-related events.  On or after the call date and prior to the maturity date, Vishay may redeem for cash all or part of the debentures at a redemption price equal to 100% of the principal amount of the debentures to be redeemed, plus accrued and unpaid interest to, but excluding, the redemption date, if the last reported sale price of Vishay's common stock has been at least 150% of the conversion price then in effect for at least 20 trading days during any 30 consecutive trading day period prior to the date on which Vishay provides notice of redemption.

Exchangeable Unsecured Notes, due 2102

On December 13, 2002, Vishay issued $105,000 in nominal (or principal) amount of its floating rate unsecured exchangeable notes due 2102 in connection with an acquisition. The notes are governed by a note instrument and a put and call agreement dated December 13, 2002. The notes may be put to Vishay in exchange for shares of its common stock and, under certain circumstances, may be called by Vishay for similar consideration.

Under the terms of the put and call agreement, by reason of the spin-off of VPG on July 6, 2010, Vishay was required to take action so that the existing notes are deemed exchanged as of the date of the spin-off, for a combination of new notes of Vishay reflecting a lower principal amount of the notes and new notes issued by VPG.

Based on the relative trading prices of Vishay and VPG common stock on the ten trading days following the spin-off, Vishay retained the liability for an aggregate $95,042 principal amount of exchangeable notes effective July 6, 2010. The assumption of a portion of the liability by VPG was recorded as a reduction in parent net investment just prior to the completion of the spin-off.

Under the terms of the put and call agreement the holders may at any time put the notes to Vishay in exchange for shares of Vishay's common stock, and Vishay may call the notes in exchange for cash or for shares of its common stock at any time after January 2, 2018. Subsequent to the spin-off of VPG, the put/call rate of the Vishay notes is $15.39 per share of common stock.

The payment of quarterly cash dividends does not result in an adjustment to the put/call rate of the notes (See Note 7).

Effective August 26, 2013, a holder of the notes exercised its option to exchange $56,400 principal amount of the notes for 3,664,729 shares of Vishay common stock.  Following this transaction, Vishay had outstanding exchangeable unsecured notes with a principal amount of $38,642, which are exchangeable for an aggregate of 2,511,742 shares of Vishay common stock.

The notes bear interest at LIBOR. Interest continues to be payable quarterly on March 31, June 30, September 30, and December 31 of each calendar year.



Note 6 – Long-Term Debt (continued)

Other Borrowings Information
Aggregate annual maturities of long-term debt, based on the terms stated in the respective agreements, are as follows:
2014
 
$
-
 
2015
  
-
 
2016
  
-
 
2017
  
-
 
2018
  
114,000
 
Thereafter
  
613,642
 

The annual maturities of long-term debt are based on the amount required to settle the obligation. Accordingly, the discounts associated with the convertible debentures due 2040, due 2041, and due 2042 are excluded from the calculation of the annual maturities of long-term debt in the table above.

At December 31, 2013, the Company had committed and uncommitted short-term credit lines with various U.S. and foreign banks aggregating approximately $27,400, with substantially no amounts borrowed. At December 31, 2012, the Company had committed and uncommitted short-term credit lines with various U.S. and foreign banks aggregating approximately $18,200, with substantially no amounts borrowed.

Interest paid was $17,647, $16,578, and $14,084 for the years ended December 31, 2013, 2012, and 2011, respectively.

See Note 18 for further discussion on the fair value of the Company's long-term debt.

XML 77 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Income (Expense)
12 Months Ended
Dec. 31, 2013
Other Income (Expense) [Abstract]  
Other Income (Expense)
Note 8 – Other Income (Expense)

The caption "Other" on the consolidated statements of operations consists of the following:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Foreign exchange gain (loss)
 
$
(993
)
 
$
(3,654
)
 
$
(8,249
)
Interest income
  
4,566
   
7,626
   
10,386
 
Sale of investments
  
-
   
-
   
1,396
 
Other
  
(1,720
)
  
(532
)
  
259
 
 
 
$
1,853
  
$
3,440
  
$
3,792
 

In the year ended December 31, 2011, the Company sold ancillary investments in the equity of two companies located outside of the U.S. for a total gain of $1,396.

XML 78 R64.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment and Geographic Data (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2013
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 31, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2013
Segment
Dec. 31, 2012
Dec. 31, 2011
Segment Reporting Information [Line Items]                      
Number of reporting segments                 5    
Segment Reporting Information, Description of Products and Services                 The Company evaluates business segment performance on operating income, exclusive of certain items ("segment operating income"). Only dedicated, direct selling, general, and administrative expenses of the segments are included in the calculation of segment operating income. The Company's calculation of segment operating income excludes such selling, general, and administrative costs as global operations, sales and marketing, information systems, finance and administration groups, as well as restructuring and severance costs, executive compensation charges (credits), material gains or losses on sales of property, and other items. Management believes that evaluating segment performance excluding such items is meaningful because it provides insight with respect to intrinsic operating results of the Company. These items represent reconciling items between segment operating income and consolidated operating income. Business segment assets are the owned or allocated assets used by each business.    
Product sales                 $ 2,364,617 $ 2,222,966 $ 2,587,396
Royalty revenues                 6,362 7,131 6,633
Total revenue 616,170 602,890 597,665 554,254 530,570 572,781 588,199 538,547 2,370,979 2,230,097 2,594,029
Gross Margin 144,449 143,220 142,857 136,734 108,791 133,554 147,619 136,709 567,260 526,673 719,986
Depreciation expense                 155,064 153,801 165,022
Interest expense (income)                 23,130 22,604 19,277
Capital expenditures                 153,077 150,291 168,641
Total Assets 3,237,139       3,016,277       3,237,139 3,016,277 2,993,730
Operating margin reconciliation [Abstract]                      
Restructuring and severance costs                 (2,814) 0 0
Gain on Sale of Property 0 0 0 0 0 0 12,153 0 0 12,153 0
Executive Compensation Credit (Charges) 0 0 (1,778) 0 0 0 0 0 1,778 0 (5,762)
Operating Income                 197,682 189,201 346,601
MOSFETS Segment [Member]
                     
Segment Reporting Information [Line Items]                      
Product sales                 449,299 433,436 537,783
Royalty revenues                 178 246 197
Total revenue                 449,477 433,682 537,980
Gross Margin                 59,387 56,694 125,498
Depreciation expense                 50,606 49,124 53,808
Interest expense (income)                 0 0 12
Capital expenditures                 41,869 49,201 61,520
Total Assets 543,037       625,597       543,037 625,597 646,660
Operating margin reconciliation [Abstract]                      
Operating Income                 19,140 17,198 85,336
Diodes Segment [Member]
                     
Segment Reporting Information [Line Items]                      
Product sales                 547,264 496,744 607,493
Royalty revenues                 0 0 0
Total revenue                 547,264 496,744 607,493
Gross Margin                 121,231 99,116 143,876
Depreciation expense                 37,305 36,335 39,577
Interest expense (income)                 54 64 0
Capital expenditures                 44,431 30,025 39,444
Total Assets 788,121       670,811       788,121 670,811 682,017
Operating margin reconciliation [Abstract]                      
Operating Income                 96,581 75,733 118,111
Optoelectronic Components Segment [Member]
                     
Segment Reporting Information [Line Items]                      
Product sales                 228,194 209,141 229,814
Royalty revenues                 51 53 72
Total revenue                 228,245 209,194 229,886
Gross Margin                 76,732 67,943 74,772
Depreciation expense                 12,484 11,917 12,384
Interest expense (income)                 122 140 0
Capital expenditures                 18,310 16,759 15,442
Total Assets 213,128       199,385       213,128 199,385 163,486
Operating margin reconciliation [Abstract]                      
Operating Income                 62,259 54,632 60,492
Resistors And Inductors Segment [Member]
                     
Segment Reporting Information [Line Items]                      
Product sales                 700,115 635,488 634,490
Royalty revenues                 6,133 6,832 6,364
Total revenue                 706,248 642,320 640,854
Gross Margin                 221,851 204,137 213,997
Depreciation expense                 31,998 31,921 32,039
Interest expense (income)                 79 543 223
Capital expenditures                 32,515 35,878 28,751
Total Assets 843,685       760,257       843,685 760,257 609,556
Operating margin reconciliation [Abstract]                      
Operating Income                 186,583 172,129 185,327
Capacitors Segment [Member]
                     
Segment Reporting Information [Line Items]                      
Product sales                 439,745 448,157 577,816
Royalty revenues                 0 0 0
Total revenue                 439,745 448,157 577,816
Gross Margin                 88,059 98,783 161,843
Depreciation expense                 21,596 23,354 25,979
Interest expense (income)                 28 52 223
Capital expenditures                 13,052 15,531 19,676
Total Assets 636,637       587,586       636,637 587,586 672,049
Operating margin reconciliation [Abstract]                      
Operating Income                 64,494 76,858 136,901
Corporate Other [Member]
                     
Segment Reporting Information [Line Items]                      
Product sales                 0 0 0
Royalty revenues                 0 0 0
Total revenue                 0 0 0
Gross Margin                 0 0 0
Depreciation expense                 1,075 1,150 1,235
Interest expense (income)                 22,847 21,805 18,819
Capital expenditures                 2,900 2,897 3,808
Total Assets 212,531       172,641       212,531 172,641 219,962
Unallocated Selling, General, and Administrative Expenses [Member]
                     
Operating margin reconciliation [Abstract]                      
Operating Income                 $ (230,339) $ (219,502) $ (233,804)
XML 79 R66.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings Per Share (Details) (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2013
Sep. 28, 2013
Jun. 29, 2013
Mar. 30, 2013
Dec. 31, 2012
Sep. 29, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Numerator for basic earnings (loss) per share:                      
Net earnings attributable to Vishay stockholders $ 30,021 $ 32,719 $ 31,309 $ 28,931 $ 20,975 $ 22,280 $ 45,671 $ 33,812 $ 122,980 $ 122,738 $ 238,821
Adjustment to the numerator for continuing operations and net earnings (loss):                      
Interest savings assuming conversion of dilutive convertible and exchangeable notes, net of tax                 140 293 189
Numerator for diluted earnings (loss) per share:                      
Net earnings (loss)                 $ 123,120 $ 123,031 $ 239,010
Denominator for basic earnings (loss) per share:                      
Weighted average shares outstanding - basic (in shares)                 144,856 149,020 160,094
Effect of dilutive securities:                      
Convertible and exchangeable debt instruments (in shares)                 6,130 6,176 7,820
Restricted stock units (in shares)                 320 549 212
Other (in shares)                 111 99 388
Dilutive potential common shares (in shares)                 6,561 6,824 8,420
Denominator for diluted earnings (loss) per share:                      
Adjusted weighted average shares (in shares)                 151,417 155,844 168,514
Basic earnings per share attributable to Vishay stockholders (in dollars per share) $ 0.20 [1] $ 0.23 [1] $ 0.22 [1] $ 0.20 [1] $ 0.15 [1] $ 0.16 [1] $ 0.30 [1] $ 0.22 [1] $ 0.85 $ 0.82 $ 1.49
Diluted earnings per share attributable to Vishay stockholders (in dollars per share) $ 0.20 [1] $ 0.22 [1] $ 0.21 [1] $ 0.19 [1] $ 0.14 [1] $ 0.15 [1] $ 0.29 [1] $ 0.21 [1] $ 0.81 $ 0.79 $ 1.42
Convertible Senior Debentures, Due 2040 [Member]
                     
Antidilutive Securities Excluded from Computation of Earnings Per Share [Line Items]                      
Antidilutive Securities Excluded From Computation Of Earnings Per Share Amount (in shares)                 19,809 19,809 9,905
Minimum market price of common stock for inclusion of shares issuable upon conversion of senior debentures for calculation of diluted earnings per share (in dollars per share) $ 13.88               $ 13.88    
Convertible Senior Debentures, Due 2041 [Member]
                     
Antidilutive Securities Excluded from Computation of Earnings Per Share [Line Items]                      
Antidilutive Securities Excluded From Computation Of Earnings Per Share Amount (in shares)                 7,885 7,885 5,026
Minimum market price of common stock for inclusion of shares issuable upon conversion of senior debentures for calculation of diluted earnings per share (in dollars per share) $ 19.02               $ 19.02    
Convertible Senior Debentures 2042 [Member]
                     
Antidilutive Securities Excluded from Computation of Earnings Per Share [Line Items]                      
Antidilutive Securities Excluded From Computation Of Earnings Per Share Amount (in shares)                 0 7,434 0
Minimum market price of common stock for inclusion of shares issuable upon conversion of senior debentures for calculation of diluted earnings per share (in dollars per share) $ 11.81               $ 11.81    
Weighted average stock options [Member]
                     
Antidilutive Securities Excluded from Computation of Earnings Per Share [Line Items]                      
Antidilutive Securities Excluded From Computation Of Earnings Per Share Amount (in shares)                 91 177 182
Weighted average warrants [Member]
                     
Antidilutive Securities Excluded from Computation of Earnings Per Share [Line Items]                      
Antidilutive Securities Excluded From Computation Of Earnings Per Share Amount (in shares)                 0 8,390 8,824
Weighted average other [Member]
                     
Antidilutive Securities Excluded from Computation of Earnings Per Share [Line Items]                      
Antidilutive Securities Excluded From Computation Of Earnings Per Share Amount (in shares)                 385 282 123
[1] May not add due to differences in weighted average share counts.
XML 80 R63.htm IDEA: XBRL DOCUMENT v2.4.0.8
Current Vulnerability Due to Certain Concentrations (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Concentration Risks [Abstract]    
Duration of business operations in Israel (in years) P43Y  
Credit Concentration Risk [Member] | Cash and Cash Equivalents and Short-term Investments [Member] | Bank Leumi [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 10.10%  
Credit Concentration Risk [Member] | Cash and Cash Equivalents and Short-term Investments [Member] | Unicredit [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 14.30%  
Credit Concentration Risk [Member] | Cash and Cash Equivalents and Short-term Investments [Member] | KBC [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 10.60%  
Credit Concentration Risk [Member] | Cash and Cash Equivalents and Short-term Investments [Member] | HSBC [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 12.30%  
Credit Concentration Risk [Member] | Cash and Cash Equivalents and Short-term Investments [Member] | Bank of Tokyo Mitsubishi [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 13.20%  
Geographic Concentration [Member] | Outside Of United States [Member]
   
Concentration Risks [Abstract]    
Cash and cash equivalents and short-term investments $ 1,132,079  
Geographic Concentration [Member] | Cash and Cash Equivalents and Short-term Investments [Member] | United States [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 1.70%  
Geographic Concentration [Member] | Cash and Cash Equivalents and Short-term Investments [Member] | Germany [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 44.40%  
Geographic Concentration [Member] | Cash and Cash Equivalents and Short-term Investments [Member] | Other Europe [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 1.60%  
Geographic Concentration [Member] | Cash and Cash Equivalents and Short-term Investments [Member] | Israel [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 22.50%  
Geographic Concentration [Member] | Cash and Cash Equivalents and Short-term Investments [Member] | Peoples Republic Of China [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 7.60%  
Geographic Concentration [Member] | Cash and Cash Equivalents and Short-term Investments [Member] | Other Asia [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 3.20%  
Geographic Concentration [Member] | Cash and Cash Equivalents and Short-term Investments [Member] | Other [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 0.80%  
Geographic Concentration [Member] | Cash and Cash Equivalents and Short-term Investments [Member] | Singapore [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 8.60%  
Geographic Concentration [Member] | Cash and Cash Equivalents and Short-term Investments [Member] | The Republic of China (Taiwan)
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 6.40%  
Geographic Concentration [Member] | Cash and Cash Equivalents and Short-term Investments [Member] | Canada [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 3.20%  
Geographic Concentration [Member] | Revenue [Member] | Outside Of United States [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 75.00%  
Customer Concentration Risk [Member] | Accounts Receivable [Member]
   
Concentration Risks [Abstract]    
Concentration risk percentage (in hundredths) 13.90% 14.70%
XML 81 R34.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Tables)
12 Months Ended
Dec. 31, 2013
Income Taxes [Abstract]  
Components of income (loss) from continuing operations before taxes and noncontrolling interest
Income (loss) from continuing operations before taxes and noncontrolling interests consists of the following components:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Domestic
 
$
(26,065
)
 
$
(15,995
)
 
$
2,143
 
Foreign
  
202,470
   
186,032
   
328,973
 
 
 
$
176,405
  
$
170,037
  
$
331,116
 

Components of income taxes
Significant components of income taxes are as follows:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Current:
 
  
  
 
Federal
 
$
(603
)
 
$
8,409
  
$
10,968
 
State and local
  
280
   
574
   
(801
)
Foreign
  
51,225
   
44,351
   
66,844
 
 
  
50,902
   
53,334
   
77,011
 
Deferred:
            
Federal
  
2,215
   
(8,557
)
  
6,188
 
State and local
  
92
   
(240
)
  
(2,286
)
Foreign
  
(573
)
  
1,969
   
10,206
 
 
  
1,734
   
(6,828
)
  
14,108
 
Total income tax expense
 
$
52,636
  
$
46,506
  
$
91,119
 


Deferred tax assets and liabilities
Note 5 – Income Taxes (continued)

Deferred income taxes reflect the net tax effects of temporary differences between the carrying amounts of assets and liabilities for financial reporting purposes and the amounts for income tax purposes. Significant components of the Company's deferred tax assets and liabilities are as follows:

 
 
December 31,
 
 
 
2013
  
2012
 
 
 
  
 
Deferred tax assets:
 
  
 
Pension and other retiree obligations
 
$
34,343
  
$
58,577
 
Inventories
  
8,759
   
13,881
 
Net operating loss carryforwards
  
182,691
   
158,638
 
Tax credit carryforwards
  
20,780
   
16,180
 
Other accruals and reserves
  
31,469
   
34,194
 
Total gross deferred tax assets
  
278,042
   
281,470
 
Less valuation allowance
  
(183,289
)
  
(166,266
)
 
  
94,753
   
115,204
 
Deferred tax liabilities:
        
Tax over book depreciation
  
(10,652
)
  
(13,975
)
Earnings not permanently reinvested
  
-
 
  
(1,652
)
Convertible debentures
  
(162,371
)
  
(149,113
)
Other - net
  
(5,932
)
  
(2,711
)
Total gross deferred tax liabilities
  
(178,955
)
  
(167,451
)
 
        
Net deferred tax assets (liabilities)
 
$
(84,202
)
 
$
(52,247
)


Federal statutory income tax rate reconciliation
A reconciliation of income tax expense at the U.S. federal statutory income tax rate to actual income tax provision is as follows:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Tax at statutory rate
 
$
61,742
  
$
59,513
  
$
115,891
 
State income taxes, net of U.S. federal tax benefit
  
242
   
217
   
(2,005
)
Effect of foreign operations
  
(18,696
)
  
(19,083
)
  
(52,609
)
Unrecognized tax benefits
  
2,862
   
6,626
   
4,869
 
Change in valuation allowance on non-U.S. deferred tax assets
  
(285
)
  
(4,036
)
  
(5,554
)
Tax benefit of operating loss carryforwards
  
(1,259
)
  
(671
)
  
(1,588
)
Foreign income taxable in the U.S.
  
11,961
   
7,476
   
22,822
 
Tax on foreign dividends paid to the U.S.
  
-
   
-
   
15,453
 
U.S. foreign tax credits
  
-
   
(4,257
)
  
(12,322
)
Effect of statutory rate changes on deferred tax assets
  
(2,867
)   
-
   
9,040
 
Other
  
(1,064
)
  
721
   
(2,878
)
Total income tax expense
 
$
52,636
  
$
46,506
  
$
91,119
 

Net operating loss carryforwards
At December 31, 2013, the Company had the following significant net operating loss carryforwards for tax purposes:

 
 
  
Expires
 
 
 
  
 
Austria
 
$
13,699
  
No expiration
 
Belgium
  
196,898
  
No expiration
 
Brazil
  
16,736
  
No expiration
 
Germany
  
49,880
  
No expiration
 
Israel
  
79,406
  
No expiration
 
Netherlands
  
24,136
   2014 - 2022 
United States
  
41,575
   2033 
 
        
California
  
54,317
   2016 - 2033 
Pennsylvania
  
637,923
   2018 - 2033 


Summary of significant tax credit carryforwards available
At December 31, 2013, the Company had the following significant tax credit carryforwards available:

 
 
  
Expires
 
 
 
  
 
U.S. Foreign Tax Credit
 
$
11,026
   
2020 - 2022
 
California Research Credit
  
9,062
  
No expiration
 


Unrecognized tax benefits
The following table summarizes changes in the liabilities associated with unrecognized tax benefits:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Balance at beginning of year
 
$
51,771
  
$
48,152
  
$
52,066
 
Addition based on tax positions related to the current year
  
-
   
665
   
2,459
 
Addition based on tax positions related to prior years
  
4,015
   
3,498
   
7,232
 
Currency translation adjustments
  
310
   
(215
)
  
(749
)
Reduction based on tax positions related to prior years
  
(2,054
)
  
-
   
(3,293
)
Reduction for settlements
  
(7,316
)
  
(329
)
  
(9,528
)
Reduction for lapses of statute of limitation
  
(849
)
  
-
   
(35
)
Balance at end of year
 
$
45,877
  
$
51,771
  
$
48,152
 

XML 82 R51.htm IDEA: XBRL DOCUMENT v2.4.0.8
Goodwill and Other Intangible Assets (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Goodwill [Roll Forward]      
Balance at beginning of period $ 34,866 $ 9,051  
Exchange rate effects 281    
Goodwill impairment 0 0 0
Balance at end of period 43,132 34,866 9,051
Finite-Lived Intangible Assets [Line Items]      
Indefinite-Lived Trade Names 20,359 20,359  
Intangible Assets Subject to Amortization 286,086 273,230  
Accumulated amortization (176,494) (159,872)  
Net Intangible Assets Subject to Amortization 109,592 113,358  
Intangible assets, net 129,951 133,717  
Amortization expense (excluding capitalized software) 15,068 14,754 14,684
Finite Lived Intangible Assets Future Amortization Expense [Abstract]      
2014 17,268    
2015 17,207    
2016 15,552    
2017 11,702    
2018 8,277    
Patents and Acquired Technology [Member]
     
Finite-Lived Intangible Assets [Line Items]      
Intangible Assets Subject to Amortization 92,842 83,383  
Accumulated amortization (66,337) (61,269)  
Capitalized Software [Member]
     
Finite-Lived Intangible Assets [Line Items]      
Intangible Assets Subject to Amortization 55,893 56,162  
Accumulated amortization (50,006) (50,161)  
Customer Relationships [Member]
     
Finite-Lived Intangible Assets [Line Items]      
Intangible Assets Subject to Amortization 99,558 97,451  
Accumulated amortization (40,727) (33,416)  
Tradenames [Member]
     
Finite-Lived Intangible Assets [Line Items]      
Intangible Assets Subject to Amortization 35,845 34,534  
Accumulated amortization (18,560) (14,579)  
Non-competition Agreements [Member]
     
Finite-Lived Intangible Assets [Line Items]      
Intangible Assets Subject to Amortization 1,948 1,700  
Accumulated amortization (864) (447)  
HiRel Systems [Member]
     
Goodwill [Roll Forward]      
Goodwill acquired during period   25,815  
Other intangible assets related to acquisitions   43,950  
MCB Industrie [Member]
     
Goodwill [Roll Forward]      
Goodwill acquired during period 7,985    
Other intangible assets related to acquisitions 5,433    
Huntington Electric Inc [Member]
     
Goodwill [Roll Forward]      
Goodwill acquired during period     9,051
Resistors And Inductors Segment [Member]
     
Goodwill [Roll Forward]      
Balance at beginning of period 34,866    
Exchange rate effects 281    
Balance at end of period 43,132   9,051
Resistors And Inductors Segment [Member] | HiRel Systems [Member]
     
Goodwill [Roll Forward]      
Goodwill acquired during period   25,815  
Resistors And Inductors Segment [Member] | MCB Industrie [Member]
     
Goodwill [Roll Forward]      
Goodwill acquired during period $ 7,985    
XML 83 R21.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies
12 Months Ended
Dec. 31, 2013
Commitments and Contingencies [Abstract]  
Commitments and Contingencies
Note 13 – Commitments and Contingencies

Leases

The Company uses various leased facilities and equipment in its operations. In the normal course of business, operating leases are generally renewed or replaced by other leases. Certain operating leases include escalation clauses.

Total rental expense under operating leases was $29,327, $29,667, and $26,351 for the years ended December 31, 2013, 2012, and 2011, respectively.

Future minimum lease payments for operating leases with initial or remaining noncancelable lease terms in excess of one year are as follows:

2014
 
$
26,943
 
2015
  
21,776
 
2016
  
16,399
 
2017
  
12,336
 
2018
  
1,837
 
Thereafter
  
2,798
 

The Company also has capital lease obligations of $11 at December 31, 2013.

Environmental Matters

The Company is subject to various federal, state, local, and foreign laws and regulations governing environmental matters, including the use, discharge, and disposal of hazardous materials. The Company's manufacturing facilities are believed to be in substantial compliance with current laws and regulations. Complying with current laws and regulations has not had a material adverse effect on the Company's financial condition.

The Company has engaged environmental consultants and attorneys to assist management in evaluating potential liabilities related to environmental matters. Management assesses the input from these consultants along with other information known to the Company in its effort to continually monitor these potential liabilities. Management assesses its environmental exposure on a site-by-site basis, including those sites where the Company has been named as a "potentially responsible party." Such assessments include the Company's share of remediation costs, information known to the Company concerning the size of the hazardous waste sites, their years of operation, and the number of past users and their financial viability.

The Company has accrued environmental liabilities of $11,855  as of December 31, 2013 relating to environmental matters related to its General Semiconductor subsidiary. The Company has also accrued approximately $10,139 at December 31, 2013 for other environmental matters. The liabilities recorded for these matters total $21,994, of which $11,121 is included in other accrued liabilities on the consolidated balance sheet, and $10,873 is included in other noncurrent liabilities on the consolidated balance sheet.

While the ultimate outcome of these matters cannot be determined, management does not believe that the final disposition of these matters will have a material adverse effect on the Company's consolidated financial position, results of operations, or cash flows beyond the amounts previously provided for in the consolidated financial statements. The Company's present and past facilities have been in operation for many years. These facilities have used substances and have generated and disposed of wastes which are or might be considered hazardous. Therefore, it is possible that additional environmental issues may arise in the future, which the Company cannot now predict.


Note 13 – Commitments and Contingencies (continued)

Litigation

The Company is a party to various claims and lawsuits arising in the normal course of business. The Company is of the opinion that these litigations or claims will not have a material negative effect on its consolidated financial position, results of operations, or cash flows.

Semiconductor Foundry Agreements

The Company's Siliconix subsidiary maintains long-term foundry agreements with subcontractors to ensure access to external front-end capacity.

Since 2004, Siliconix has maintained a definitive long-term foundry agreement for semiconductor manufacturing with Tower Semiconductor, pursuant to which Siliconix transferred certain technology to Tower Semiconductor and committed to purchase a minimum amount of semiconductor wafers.  The agreement with Tower Semiconductor extends through the fourth quarter of 2017. 
 
On July 6, 2012, Siliconix amended its foundry agreement with an Asian foundry to ensure additional capacity in exchange for cash and a commitment to purchase a minimum amount of semiconductor wafers. This agreement extends through the fourth quarter of 2016.
 
The Company estimates its total purchase commitments under all long-term foundry agreements as follows:

2014
 
$
40,319
 
2015
  
45,030
 
2016
  
46,303
 
2017
  
35,461
 
2018
  
-
 

Siliconix has the option to purchase wafers from these subcontractors in addition to the minimum commitments and, accordingly, actual purchases may be different than the commitments disclosed above. Actual purchases from these subcontractors during the year ended December 31, 2013 were $47,878.

Product Quality Claims

The Company is a party to various product quality claims in the normal course of business. The Company provides warranties for its products which offer replacement of defective products. Annual warranty expenses are generally not significant. The Company periodically receives claims which arise from consequential damages which result from a customer's installation of an alleged defective Vishay component into the customer's product. Although not covered by its stated warranty, Vishay may occasionally reimburse the customer for these consequential damages in limited circumstances.

Note 13 – Commitments and Contingencies (continued)

Executive Employment Agreements

The Company has employment agreements with certain of its senior executives. These employment agreements provide incremental compensation in the event of termination. The Company does not provide any severance or other benefits specifically upon a change in control.

On May 13, 2009, the Company entered into an amended and restated employment agreement with Dr. Felix Zandman (the "2009 Agreement"). This agreement amended and restated the employment agreement between the Company and Dr. Zandman that was previously amended and restated as of January 1, 2004 (the "2004 Agreement").

The purpose of the 2009 Agreement was to eliminate the right of Dr. Zandman to receive a royalty during the ten years following his termination of employment equal to 5% of gross sales, less returns and allowances, of Vishay products incorporating inventions and any other form of technology created, discovered or developed by him or under his direction.  The royalty was payable in the event Dr. Zandman was terminated without "cause" or resigned for "good reason," as defined in the 2004 Agreement. This provision was carried over from Dr. Zandman's original employment agreement of March 1985, and could not be modified or eliminated without Dr. Zandman's consent. It was a reflection, among other things, of Dr. Zandman's key role in the founding of the Company and in creating, developing and commercializing the Company's technologies and the absence of any compensation to Dr. Zandman for the core intellectual property that he contributed to the Company over the years from its inception.

The Company engaged a consultant in 2007 to assist its evaluation of the royalties to which Dr. Zandman would be entitled were his employment to be terminated. Based in part upon the work of this consultant and management's own updated computations, management estimated that the present value of the royalties to which Dr. Zandman would be entitled were his employment terminated at December 31, 2008 would have been between approximately $370,000 and $445,000, with a possible tax gross-up if the royalties were payable in connection with a change of control and deemed subject to an excise tax. (This present value does not factor in any assessment of the probability of payment.)

Pursuant to the 2009 Agreement, Dr. Zandman's right to the royalty payments was terminated. Dr. Zandman received a payment of $10,000 as of the effective date of the amended and restated agreement, and his estate is entitled to receive annual payments of $10,000 each through 2014.  Dr. Zandman's passing in June 2011 had no effect on the timing of these payments.  The Company recognized the compensation expense equal to the present value of these payments in 2009.  The Company recognized no tax benefit associated with the executive employment agreement charge. At December 31, 2013, the Company had approximately $10,000 accrued in other accrued expenses for this liability.

The Company recognized compensation expense of $3,889 reported as a component of the executive compensation charges in the accompanying consolidated statement of operations for the year ended December 31, 2011 for other elements of compensation that accelerated upon the passing of Dr. Zandman.  (See also Note 12.)

The Company recognized compensation expense of $1,873 reported as a component of the executive compensation charges in the accompanying consolidated statement of operations for the year ended December 31, 2011 for elements of compensation payable to the Company's former Chief Financial Officer, Dr. Lior Yahalomi, in connection with his resignation. (See also Note 12.)

The Company recognized a credit of $1,778 reported as the executive compensation credit in the accompanying consolidated statement of operations for the year ended December 31, 2013 for the reversal of stock-based compensation expense previously recorded for the performance-based RSUs scheduled to vest to Dr. Zandman's estate and Dr. Lior Yahalomi on January 1, 2014 at the time it was determined that achievement of the performance-based vesting criteria was no longer probable.

XML 84 R26.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements
12 Months Ended
Dec. 31, 2013
Fair Value Measurements [Abstract]  
Fair Value Measurements

Note 18 – Fair Value Measurements


The fair value measurement accounting guidance establishes a valuation hierarchy of the inputs used to measure fair value. This hierarchy prioritizes the inputs to valuation techniques used to measure fair value into three broad levels. The following is a brief description of those three levels:

Level 1: Observable inputs such as quoted prices (unadjusted) in active markets for identical assets or liabilities.

Level 2: Inputs other than quoted prices that are observable for the asset or liability, either directly or indirectly. These include quoted prices for similar assets or liabilities in active markets and quoted prices for identical or similar assets or liabilities in markets that are not active.

Level 3: Unobservable inputs that reflect the Company's own assumptions.

An asset or liability's classification within the hierarchy is determined based on the lowest level input that is significant to the fair value measurement.
 
The following table provides the financial assets and liabilities carried at fair value measured on a recurring basis as of December 31, 2013 and 2012:

 
 
Total Fair Value
  
Level 1
  
Level 2
  
Level 3
 
 
 
  
  
  
 
December 31, 2013
 
  
  
  
 
Assets:
 
  
  
  
 
Assets held in rabbi trusts
 
$
36,992
  
$
24,064
  
$
12,928
  
$
-
 
Available for sale securities
 
$
7,356
   
7,356
   
-
   
-
 
U.S. Defined Benefit Pension Plan Assets:
                
Equity securities
 
$
51,666
   
51,666
   
-
   
-
 
Fixed income securities
 
$
241,827
   
194,777
   
47,050
   
-
 
Real Estate Investment Trust securities
 
$
1,969
   
1,969
   
-
   
-
 
Cash
 
$
171
   
171
   
-
   
-
 
Non - U.S. Defined Benefit Pension Plan Assets:
                
Equity securities
 
$
9,911
   
9,911
   
-
   
-
 
Fixed income securities
 
$
16,117
   
16,117
   
-
   
-
 
Cash
 
$
22,831
   
22,831
   
-
   
-
 
 
 
$
388,840
  
$
328,862
  
$
59,978
  
$
-
 
Liabilities:
                
Embedded derivative - convertible debentures due 2040
 
$
(491
)
  
-
   
-
   
(491
)
Embedded derivative - convertible debentures due 2041
 
$
(349
)
  
-
   
-
   
(349
)
Embedded derivative - convertible debentures due 2042
 
$
(197
)
  
-
   
-
   
(197
)
 
 
$
(1,037
)
 
$
-
  
$
-
  
$
(1,037
)
 
                
December 31, 2012
                
Assets:
                
Assets held in rabbi trusts
 
$
33,751
  
$
21,954
  
$
11,797
  
$
-
 
Available for sale securities
 
$
7,580
   
7,580
   
-
   
-
 
U.S. Defined Benefit Pension Plan Assets:
                
Equity securities
 
$
153,829
   
153,829
   
-
   
-
 
Fixed income securities
 
$
99,669
   
42,006
   
57,663
   
-
 
Real Estate Investment Trust securities
  
6,518
   
6,518
   
-
   
-
 
Cash
 
$
5,850
   
5,850
   
-
   
-
 
Non - U.S. Defined Benefit Pension Plan Assets:
                
Equity securities
 
$
8,888
   
8,888
   
-
   
-
 
Fixed income securities
 
$
14,437
   
14,437
   
-
   
-
 
Cash
 
$
23,255
   
23,255
   
-
   
-
 
 
 
$
353,777
  
$
284,317
  
$
69,460
  
$
-
 
Liabilities:
                
Embedded derivative - convertible debentures due 2040
 
$
(622
)
  
-
   
-
   
(622
)
Embedded derivative - convertible debentures due 2041
 
$
(399
)
  
-
   
-
   
(399
)
Embedded derivative - convertible debentures due 2042
 
$
(282
)
  
-
   
-
   
(282
)
 
 
$
(1,303
)
 
$
-
  
$
-
  
$
(1,303
)

Note 18 – Fair Value Measurements (continued)

The Company maintains non-qualified trusts, referred to as "rabbi" trusts, to fund payments under deferred compensation and non-qualified pension plans. Rabbi trust assets consist primarily of marketable securities, classified as available-for-sale, and company-owned life insurance assets. The marketable securities held in the rabbi trusts are valued using quoted market prices on the last business day of the year. The company-owned life insurance assets are valued in consultation with the Company's insurance brokers using the value of underlying assets of the insurance contracts.  The fair value measurement of the marketable securities held in the rabbi trust is considered a Level 1 measurement and the measurement of the company-owned life insurance assets is considered a Level 2 measurement within the fair value hierarchy.

The Company maintains defined benefit retirement plans in certain of its U.S. and non-U.S. subsidiaries. The assets of the plans are measured at fair value.

Equity securities held by the U.S. defined benefit retirement plans consist of various mutual funds and exchange traded funds that are valued based on quoted market prices on the last business day of the year. The fair value measurement of the mutual funds and exchange traded funds securities is considered a Level 1 measurement within the fair value hierarchy.

Fixed income securities held by the U.S. defined benefit retirement plans consist of exchange traded funds, investments in a group annuity contract, and a short-term investment fund. The exchange traded funds are valued based on quoted market prices on the last business day of the year. The fair value measurement of the exchange traded funds securities is considered a Level 1 measurement within the fair value hierarchy. The group annuity contract consists of a general asset account and a pooled separate account. Units of the general asset account are valued based on a discounted cash flow model using the current yields of similar instruments with comparable durations and similar credit risk. The pooled separate accounts are valued based on the value of the underlying bond funds, which are valued at quoted market prices on the last business day of the year, with adjustments made to reflect the nature of how the investment is held. The fair value measurement of the group annuity contract is considered a Level 2 measurement within the fair value hierarchy. The short-term investment fund strictly invests in short-term investments, including commercial paper, certificates of deposit, U.S. government agency and instrumentality obligations, U.S. government obligations, corporate notes, and funding agreements. The maturity date of all investments held by the short-term investment fund is within one year from the financial statement date. There are no redemption restrictions on the plan's investment. The fair value of the short-term investment fund has been estimated using the net asset value per share of the investment. The fair value measurement of the short-term investment fund is considered a Level 2 measurement within the fair value hierarchy.

Real estate investments held by the U.S. defined benefit retirement plans consist of real estate investment trust securities that are valued at quoted market prices on the last business day of the year. The fair value measurement of the real estate investments is considered a Level 1 measurement within the fair value hierarchy.

Equity securities held by the non-U.S. defined benefit retirement plans consist of equity securities that are valued based on quoted market prices on the last business day of the year.   The fair value measurement of the equity securities is considered a Level 1 measurement within the fair value hierarchy.

Fixed income securities held by the non-U.S. defined benefit retirement plans consist of government bonds in the Philippines and India and corporate notes that are valued based on quoted market prices on the last business day of the year. The fair value measurement of the fixed income securities is considered a Level 1 measurement within the fair value hierarchy.

Cash held by the U.S. and non-U.S. defined benefit retirement plans consists of demand deposits on account in various financial institutions to fund current benefit payments. The carrying amount of the cash approximates its fair value.


Note 18 – Fair Value Measurements (continued)

The Company holds available for sale investments in debt securities that are intended to fund a portion of its pension and other postretirement benefit obligations outside of the U.S. The investments are valued based on quoted market prices on the last business day of the year. The fair value measurement of the investments is considered a Level 1 measurement within the fair value hierarchy.

The convertible senior debentures, due 2040, due 2041, and due 2042, issued by the Company on November 9, 2010, May 13, 2011, and May 31, 2012, respectively, contain embedded derivative features that GAAP requires to be bifurcated and remeasured each reporting period.  Each quarter, the change in the fair value of the embedded derivative features, if any, is recorded in the consolidated statements of operations. The Company uses a derivative valuation model to derive the value of the embedded derivative features. Key inputs into this valuation model are the Company's current stock price, risk-free interest rates, the stock dividend yield, the stock volatility, and the debentures' credit spread over London Interbank Offered Rate (LIBOR). The first three aforementioned inputs are based on observable market data and are considered Level 2 inputs while the last two aforementioned inputs are unobservable and thus require management's judgment and are considered Level 3 inputs. The fair value measurement is considered a Level 3 measurement within the fair value hierarchy.

The fair value of the long-term debt, excluding the derivative liability, at December 31, 2013 and 2012 is approximately $750,700 and $686,800, respectively, compared to its carrying value, excluding the derivative liability, of $363,874 and $391,628, respectively. The Company estimates the fair value of its long-term debt using a combination of quoted market prices for similar financing arrangements and expected future payments discounted at risk-adjusted rates, which are considered level 2 inputs.

At December 31, 2013 and 2012, the Company's short-term investments were comprised of time deposits with financial institutions that have maturities that exceed 90 days from the date of acquisition; however they all mature within one year from the respective balance sheet dates. The short-term investments are accounted for as held-to-maturity debt instruments, at amortized cost, which approximates their fair value. The investments are funded with excess cash not expected to be needed for operations prior to maturity; therefore, the Company believes it has the intent and ability to hold the short-term investments until maturity. At each reporting date, the Company performs an evaluation to determine if any unrealized losses are other-than-temporary. No other-than-temporary impairments have been recognized on these securities, and there are no unrecognized holding gains or losses for these securities during the periods presented. There have been no transfers to or from the held-to-maturity classification. All decreases in the account balance are due to returns of principal at the securities' maturity dates. Interest on the securities is recognized as interest income when earned.

At December 31, 2013 and 2012, the Company's cash and cash equivalents were comprised of demand deposits, time deposits with maturities of three months or less when purchased, and money market funds. The Company estimates the fair value of its cash, cash equivalents, and short-term investments using level 2 inputs. Based on the current interest rates for similar investments with comparable credit risk and time to maturity, the fair value of the Company's cash, cash equivalents, and short-term investments approximate the carrying amounts reported in the consolidated balance sheets.

The Company's financial instruments also include accounts receivable, short-term notes payable, and accounts payable. The carrying amounts for these financial instruments reported in the consolidated balance sheets approximate their fair values.

XML 85 R49.htm IDEA: XBRL DOCUMENT v2.4.0.8
Summary of Significant Accounting Policies (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Summary of Significant Accounting Policies [Abstract]      
Minimum ownership of entities that do not have a non-controlling interest (in hundredths) 100.00%    
Royalty revenues $ 6,362 $ 7,131 $ 6,633
Research and development expense 62,090 57,164 55,809
Grants recognized as reduction of cost of products sold 406 351 483
Deferred grant income 1,882 1,548  
Number of years maintaining employment levels per grants conditions 10 years    
Minimum number of months until maturity from original purchase date for a highly liquid investment to be considered a short-term investment (in months) 3 months    
Bad debt expense 62 (24) (93)
Property, Plant and Equipment [Line Items]      
Estimated cost to complete construction in progress 35,541    
Depreciation expense 155,064 153,801 165,022
Finite-Lived Intangible Assets [Line Items]      
Cash and investments restricted for potential insurance claims 7,927 7,752  
Outstanding claim accrual 0 0  
Recently Adopted Accounting Guidance In February 2013, the FASB issued Accounting Standards Update (“ASU”) No. 2013-02, Comprehensive Income (Topic 220), Reporting of Amounts Reclassified Out of Accumulated Other Comprehensive Income. The ASU adds new disclosure requirements for items reclassified out of accumulated other comprehensive income. The ASU does not amend any existing requirements for reporting net income or other comprehensive income in the financial statements. The ASU is effective for the Company for interim and annual periods beginning after January 1, 2013. Vishay adopted the ASU on January 1, 2013. The adoption of the ASU had no effect on the Company’s financial position, results of operations, or liquidity.    
Goodwill impairment charge $ 0 $ 0 $ 0
Minimum [Member] | Patents and Acquired Technology [Member]
     
Finite-Lived Intangible Assets [Line Items]      
Finite-Lived Intangible Assets, Useful Life 7 years    
Minimum [Member] | Capitalized Software [Member]
     
Finite-Lived Intangible Assets [Line Items]      
Finite-Lived Intangible Assets, Useful Life 3 years    
Minimum [Member] | Customer Relationships [Member]
     
Finite-Lived Intangible Assets [Line Items]      
Finite-Lived Intangible Assets, Useful Life 5 years    
Minimum [Member] | Non-competition Agreements [Member]
     
Finite-Lived Intangible Assets [Line Items]      
Finite-Lived Intangible Assets, Useful Life 4 years    
Maximum [Member] | Patents and Acquired Technology [Member]
     
Finite-Lived Intangible Assets [Line Items]      
Finite-Lived Intangible Assets, Useful Life 25 years    
Maximum [Member] | Capitalized Software [Member]
     
Finite-Lived Intangible Assets [Line Items]      
Finite-Lived Intangible Assets, Useful Life 10 years    
Maximum [Member] | Customer Relationships [Member]
     
Finite-Lived Intangible Assets [Line Items]      
Finite-Lived Intangible Assets, Useful Life 20 years    
Maximum [Member] | Non-competition Agreements [Member]
     
Finite-Lived Intangible Assets [Line Items]      
Finite-Lived Intangible Assets, Useful Life 10 years    
Machinery and Equipment [Member] | Minimum [Member]
     
Property, Plant and Equipment [Line Items]      
Useful Life 7 years    
Machinery and Equipment [Member] | Maximum [Member]
     
Property, Plant and Equipment [Line Items]      
Useful Life 10 years    
Building and Building Improvements [Member] | Minimum [Member]
     
Property, Plant and Equipment [Line Items]      
Useful Life 20 years    
Building and Building Improvements [Member] | Maximum [Member]
     
Property, Plant and Equipment [Line Items]      
Useful Life 40 years    
XML 86 R41.htm IDEA: XBRL DOCUMENT v2.4.0.8
Share-Based Compensation (Tables)
12 Months Ended
Dec. 31, 2013
Disclosure of Compensation Related Costs, Share-based Payments [Abstract]  
Summary of recognized stock-based compensation expense
The following table summarizes share-based compensation expense recognized:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Stock options
 
$
18
  
$
73
  
$
(83
)
Restricted stock units
  
510
   
3,378
   
6,693
 
Phantom stock units
  
108
   
93
   
222
 
Total
 
$
636
  
$
3,544
  
$
6,832
 

Schedule of unrecognized compensation cost, nonvested awards
Note 12 – Share-Based Compensation (continued)

The following table summarizes unrecognized compensation cost and the weighted average remaining amortization periods at December 31, 2013 (amortization periods in years):

 
 
Unrecognized Compensation Cost
  
Weighted Average Remaining Amortization Periods
 
 
 
  
 
Stock options
 
$
-
   
0.0
 
Restricted stock units
  
9,636
   
1.2
 
Phantom stock units
  
-
   
0.0
 
Total
 
$
9,636
     

Schedule of share based compensation, stock options, activity
Note 12 – Share-Based Compensation (continued)

The following table summarizes the Company's stock option activity (number of options in thousands):

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
Number of Options
  
Weighted Average Exercise Price
  
Number of Options
  
Weighted Average Exercise Price
  
Number of Options
  
Weighted Average Exercise Price
 
 
 
  
  
  
  
  
 
Outstanding:
 
  
  
  
  
  
 
Beginning of year
  
109
  
$
15.24
   
384
  
$
15.40
   
1,254
  
$
15.04
 
Granted
  
-
   
-
   
-
   
-
   
-
   
-
 
Exercised
  
-
   
-
   
(22
)
  
7.89
   
(651
)
  
14.87
 
Cancelled or forfeited
  
-
   
-
   
(253
)
  
16.12
   
(219
)
  
14.92
 
End of year
  
109
  
$
15.24
   
109
  
$
15.24
   
384
  
$
15.40
 
 
                        
Vested and expected to vest
  
109
       
109
       
384
     
 
                        
Exercisable:
                        
End of year
  
109
       
79
       
323
     

Stock options outstanding and exercisable summarized by ranges of exercise prices
The following table summarizes information concerning stock options outstanding and exercisable at December 31, 2013 (number of options in thousands, contractual life in years):

  
Options Outstanding
  
Options Exercisable
 
Exercise Price
  
Number of Options
  
Weighted Average Remaining
Contractual Life
  
Weighted Average Exercise Price
  
Number of Options
  
Weighted Average Exercise Price
 
  
  
  
  
  
 
$
11.54 - $12.90
   
32
   
2.85
  
$
12.73
   
32
  
$
12.73
 
$
16.29
   
77
   
3.39
   
16.29
   
77
   
16.29
 
Total
   
109
   
3.23
  
$
15.24
   
109
  
$
15.24
 

Unvested stock options
The following table summarizes information concerning unvested stock options (number of options in thousands):

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
Number of Options
  
Weighted Average Grant-date Fair Value
  
Number of Options
  
Weighted Average Grant-date Fair Value
  
Number of Options
  
Weighted Average Grant-date Fair Value
 
 
 
  
  
  
  
  
 
Unvested:
 
  
  
  
  
  
 
Beginning of year
  
30
  
$
10.14
   
61
  
$
9.96
   
253
  
$
9.33
 
Granted
  
-
   
-
   
-
   
-
   
-
   
-
 
Vested
  
(30
)
  
10.14
   
(31
)
  
9.79
   
(192
)
  
9.13
 
End of year
  
-
  
$
-
   
30
  
$
10.14
   
61
  
$
9.96
 

Restricted Stock Units Activity
RSU activity for the years ended December 31, 2013, 2012, and 2011 is presented below (number of RSUs in thousands):

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
Number of RSUs
  
Weighted Average Grant-date Fair Value
  
Number of
RSUs
  
Weighted Average Grant-date Fair Value
  
Number of
RSUs
  
Weighted Average Grant-date Fair Value
 
 
 
  
  
  
  
  
 
Outstanding:
 
  
  
  
  
  
 
Beginning of year
  
1,316
  
$
12.53
   
891
  
$
12.58
   
634
  
$
9.61
 
Granted
  
374
   
12.76
   
437
   
12.31
   
423
   
16.57
 
Vested*
  
(598
)
  
10.92
   
(12
)
  
8.29
   
(154
)
  
11.25
 
Cancelled or forfeited
  
(33
)
  
16.54
   
-
   
-
   
(12
)
  
13.26
 
End of year
  
1,059
  
$
13.40
   
1,316
  
$
12.53
   
891
  
$
12.58
 
 
                        
Expected to vest
  
570
       
1,040
       
891
     
______________
 
* The number of RSUs vested includes shares that the Company withheld on behalf of employees to satisfy the statutory tax withholding requirements.
 
Schedule of share-based compensation arrangement by share-based payment award, performance-based units, vested and expected to vest
The number of performance-based RSUs scheduled to vest on January 1, 2014 and January 1, 2015 is fixed based on the full achievement of the defined target performance criteria. The number of performance-based RSUs scheduled to vest on January 1, 2016 increases ratably based on the achievement of defined performance criteria between the established target and maximum levels.  RSUs with performance-based vesting criteria are expected to vest as follows (number of RSUs in thousands):

Vesting Date
 
Expected to Vest
  
Not Expected to Vest
  
Total
 
    January 1, 2014**
  
-
   
102
   
102
 
January 1, 2015
  
-
   
276
   
276
 
January 1, 2016
  
111
   
111
   
222
 
______________
 
** The performance vesting criteria for the performance-based RSUs with a vesting date of January 1, 2014 has not been achieved.
 
Phantom stock units activity under the 2007 Program
The following table summarizes the Company's phantom stock units activity for the years ended December 31, 2013, 2012, and 2011 (number of phantom stock units in thousands):

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
Number
of
Phantom
Stock Units
  
Grant-
date
Fair Value per Unit
  
Number
of
Phantom
Stock Units
  
Grant-
date
Fair Value per Unit
  
Number
of
Phantom
Stock Units
  
Grant-
date
Fair Value per Unit
 
 
 
  
  
  
  
  
 
Outstanding:
 
  
  
  
  
  
 
Beginning of year
  
97
  
   
87
  
   
116
  
 
Granted
  
10
  
$
10.75
   
10
  
$
9.33
   
15
  
$
14.78
 
Redeemed for common stock
  
-
       
-
       
(44
)
    
End of year
  
107
       
97
       
87
     
 
                        
Available for future grants
  
75
       
85
       
95
     
 
XML 87 R5.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Statements of Comprehensive Income (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Consolidated Statements of Comprehensive Income [Abstract]      
Net earnings $ 123,769 $ 123,531 $ 239,997
Foreign currency translation adjustment 23,537 14,567 (26,441)
Pension and other post-retirement actuarial items 49,038 (29,759) (29,207)
Unrealized gain (loss) on available-for-sale securities (719) 1,192 (1,065)
Other comprehensive income (loss) 71,856 (14,000) (56,713)
Comprehensive income 195,625 109,531 183,284
Less: comprehensive income attributable to noncontrolling interests 789 793 1,176
Comprehensive income attributable to Vishay stockholders $ 194,836 $ 108,738 $ 182,108
XML 88 R10.htm IDEA: XBRL DOCUMENT v2.4.0.8
Acquisition and Divestiture Activities
12 Months Ended
Dec. 31, 2013
Acquisition and Divestiture Activities [Abstract]  
Acquisition and Divestiture Activities
Note 2 - Acquisition and Divestiture Activities

As part of its growth strategy, the Company seeks to expand through targeted acquisitions of other manufacturers of electronic components that have established positions in major markets, reputations for product quality and reliability, and product lines with which the Company has substantial marketing and technical expertise.

Year ended December 31, 2013

MCB Industrie S.A.

On June 13, 2013, Vishay acquired MCB Industrie S.A. ("MCB Industrie") in France, a well-established manufacturer of specialty resistors and sensors, for $23,034, net of cash acquired. The products and technology portfolio acquired is expected to enable Vishay to expand its presence in the European industrial market. For financial reporting purposes, the results of operations for this business have been included in the Resistors & Inductors segment from June 13, 2013. The inclusion of this business did not have a material impact on the Company's consolidated results for the year ended December 31, 2013. Based on an estimate of their fair values, the Company allocated $5,433 of the purchase price to definite-lived intangible assets.  After allocating the purchase price to the assets acquired and liabilities assumed based on an estimation of their fair values at the date of acquisition, the Company recorded goodwill of $7,985 related to this acquisition.  The goodwill associated with this transaction is not deductible for income tax purposes.

Had this acquisition occurred as of the beginning of the periods presented in these consolidated financial statements, the pro forma statements of operations would not be materially different than the consolidated statements of operations presented.

Year ended December 31, 2012

HiRel Systems LLC

On January 13, 2012, Vishay acquired HiRel Systems LLC, a leading supplier of high reliability transformers, inductors, coils, and power conversion products, for $85,493, net of cash acquired. The products and technology portfolio acquired further enhanced the Company's inductors portfolio, particularly in the field of custom magnetics for medical, military, aerospace and aviation, and applications in the industrial and commercial field such as renewable energy and test and measurement equipment. For financial reporting purposes, the results of operations for this business have been included in the Resistors & Inductors segment from January 13, 2012. Based on an estimate of their fair values, the Company allocated $43,950 of the purchase price to definite-lived intangible assets. After allocating the purchase price to the assets acquired and liabilities assumed based on an estimation of their fair values at the date of acquisition, the Company recorded goodwill of $25,815 related to this acquisition. The goodwill associated with this transaction is deductible for income tax purposes.

Had this acquisition occurred as of the beginning of the periods presented in these consolidated financial statements, the pro forma statements of operations would not be materially different than the consolidated statements of operations presented.

Year ended December 31, 2011

Huntington Electric, Inc.

On September 28, 2011, Vishay acquired the resistor businesses of Huntington Electric, Inc., for approximately $19,335, net of cash acquired. For financial reporting purposes, the results of operations for these businesses have been included in the Resistors & Inductors segment from September 28, 2011. After allocating the purchase price to the assets acquired and liabilities assumed based on their fair values at the date of acquisition, the Company recorded goodwill of $9,051 related to this acquisition.  The goodwill associated with this transaction is deductible for income tax purposes.

Had this acquisition occurred as of the beginning of the periods presented in these consolidated financial statements, the pro forma statements of operations would not be materially different than the consolidated statements of operations presented.


 
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Accumulated Other Comprehensive Income (Loss) (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Beginning Balance $ (10,222) $ 3,778 $ 60,491
Other comprehensive income before reclassifications 76,995 (40,671) (82,116)
Tax effect (16,633) 15,984 17,543
Other comprehensive income before reclassifications, net of tax 60,362 (24,687) (64,573)
Amounts reclassified out of AOCI 17,093 16,059 12,175
Tax effect (5,599) (5,372) (4,315)
Amounts reclassified out of AOCI, net of tax 11,494 10,687 7,860
Other comprehensive income (loss) 71,856 (14,000) (56,713)
Ending Balance 61,634 (10,222) 3,778
Pension and Other Post-Retirement Actuarial Items [Member]
     
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Beginning Balance (178,956) (149,197) (119,990)
Other comprehensive income before reclassifications 52,545 (57,072) (54,053)
Tax effect (16,334) 16,626 16,975
Other comprehensive income before reclassifications, net of tax 36,211 (40,446) (37,078)
Amounts reclassified out of AOCI 19,112 16,059 12,192
Tax effect (6,285) (5,372) (4,321)
Amounts reclassified out of AOCI, net of tax 12,827 10,687 7,871
Other comprehensive income (loss) 49,038 (29,759) (29,207)
Ending Balance (129,918) (178,956) (149,197)
Currency Translation Adjustment [Member]
     
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Beginning Balance 167,461 152,894 179,335
Other comprehensive income before reclassifications 23,537 14,567 (26,441)
Tax effect 0 0 0
Other comprehensive income before reclassifications, net of tax 23,537 14,567 (26,441)
Amounts reclassified out of AOCI 0 0 0
Tax effect 0 0 0
Amounts reclassified out of AOCI, net of tax 0 0 0
Other comprehensive income (loss) 23,537 14,567 (26,441)
Ending Balance 190,998 167,461 152,894
Unrealized Gain (Loss) on Available-for-Sale Securities [Member]
     
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Beginning Balance 1,273 81 1,146
Other comprehensive income before reclassifications 913 1,834 (1,622)
Tax effect (299) (642) 568
Other comprehensive income before reclassifications, net of tax 614 1,192 (1,054)
Amounts reclassified out of AOCI (2,019) 0 (17)
Tax effect 686 0 6
Amounts reclassified out of AOCI, net of tax (1,333) 0 (11)
Other comprehensive income (loss) (719) 1,192 (1,065)
Ending Balance $ 554 $ 1,273 $ 81
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Related Party Transactions (Details)
12 Months Ended
Dec. 31, 2010
Common Class B [Member]
 
Class of Stock [Line Items]  
Ratio for stock dividend for Vishay Precision Group, Inc spinoff 1 share of VPG Class B common stock for every 14 shares of Vishay Class B common stock
Common Stock [Member]
 
Class of Stock [Line Items]  
Ratio for stock dividend for Vishay Precision Group, Inc spinoff 1 share of VPG common stock for every 14 shares of Vishay common stock
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Related Party Transactions
12 Months Ended
Dec. 31, 2013
Related Party Transactions [Abstract]  
Related Party Transactions
Note 19 – Related Party Transactions

Vishay Precision Group, Inc.

On July 6, 2010, Vishay completed the spin-off of its measurements and foil resistors businesses into an independent, publicly-traded company to be named Vishay Precision Group, Inc. through a tax-free stock dividend to Vishay's stockholders.  Vishay's common stockholders received 1 share of VPG common stock for every 14 shares of Vishay common stock they held on the record date, June 25, 2010, and Vishay's Class B common stockholders received 1 share of VPG Class B common stock for every 14 shares of Vishay Class B common stock they held on the record date.

Following the spin-off, VPG is an independent company and Vishay retains no ownership interest.

Relationship with VPG after Spin-off

Following the spin-off, VPG and Vishay operate separately, each as independent public companies. Vishay Intertechnology has no ownership interest in VPG. However, Ruta Zandman, solely or on a shared basis with Marc Zandman and Ziv Shoshani, all of whom are members of Vishay's Board of Directors, control a large portion of the voting power of both Vishay and VPG. Marc Zandman, Vishay's Executive Chairman of the Board and an executive officer of Vishay, serves as the Chairman of VPG. Ziv Shoshani, CEO of VPG, serves as a director of Vishay. Additionally, Timothy V. Talbert, a member of Vishay's Board of Directors is also a member of the Board of Directors of VPG.

In connection with the completion of the spin-off, Vishay and its subsidiaries entered into several agreements with VPG and its subsidiaries that govern the relationship of the parties following the spin-off. Among the agreements entered into with VPG and its subsidiaries were a transition services agreement, several lease agreements, and supply agreements. None of the agreements have had nor are expected to have a material impact on Vishay's financial position, results of operations, or liquidity.

Vishay also entered into a trademark license agreement with VPG pursuant to which Vishay granted VPG the license to use certain trademarks, service marks, logos, trade names, entity names, and domain names which include the term "Vishay." The license granted VPG the limited, exclusive, royalty-free right and license to use certain marks and names incorporating the term "Vishay" in connection with the design, development, manufacture, marketing, provision and performance of certain VPG products that do not compete with any products within Vishay's product range as constituted immediately following the separation and certain services provided in connection with the products. The license cannot be terminated except as a result of willful misconduct or liquidation bankruptcy of VPG.

Until the spin-off, VPG was included in Vishay's consolidated federal income tax returns and with Vishay and/or certain of Vishay's subsidiaries in applicable combined or unitary state and local income tax returns. In conjunction with the spin-off, Vishay and VPG entered a tax matters agreement under which Vishay generally will be liable for all U.S. federal, state, local, and foreign income taxes attributable to VPG with respect to taxable periods ending on or before the distribution date except to the extent that VPG has a liability for such taxes on its books at the time of the spin-off. Vishay is also principally responsible for managing any income tax audits by the various tax jurisdictions for pre-spin-off periods. Vishay has fully indemnified VPG of tax exposures arising prior to the spin-off.

Due to the common board members, transition services agreement, lease and supply agreements, and trademark license agreements with VPG, which, in the aggregate, represent significant continuing involvement, Vishay did not restate prior periods to present VPG as a discontinued operation upon completion of the spin-off. VPG's results are not included in Vishay's consolidated statements of operations, statements of cash flows, or balance sheets for any periods presented in the accompanying consolidated financial statements.


 
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Other Accrued Expenses (Tables)
12 Months Ended
Dec. 31, 2013
Other Accrued Expenses (Tables) [Abstract]  
Summary of other accrued expenses
Other accrued expenses consist of the following:

 
 
December 31,
 
 
 
2013
  
2012
 
 
 
  
 
Sales returns and allowances
 
$
34,465
  
$
32,703
 
Goods received, not yet invoiced
  
36,692
   
29,690
 
Other
  
75,513
   
86,267
 
 
 
$
146,670
  
$
148,660
 

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Share-Based Compensation
12 Months Ended
Dec. 31, 2013
Disclosure of Compensation Related Costs, Share-based Payments [Abstract]  
Stock-Based Compensation
Note 12 – Share-Based Compensation

The Company has various stockholder-approved programs which allow for the grant of share-based compensation to officers, employees, and non-employee directors.

The amount of compensation cost related to share-based payment transactions is measured based on the grant-date fair value of the equity instruments issued. The fair value of each option award is estimated on the date of grant using the Black-Scholes option-pricing model. The Company determines compensation cost for RSUs, phantom stock units, and restricted stock based on the grant-date fair value of the underlying common stock. Compensation cost is recognized over the period that an officer, employee, or non-employee director provides service in exchange for the award.

The following table summarizes share-based compensation expense recognized:

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
  
  
 
Stock options
 
$
18
  
$
73
  
$
(83
)
Restricted stock units
  
510
   
3,378
   
6,693
 
Phantom stock units
  
108
   
93
   
222
 
Total
 
$
636
  
$
3,544
  
$
6,832
 

The Company recognizes compensation cost for RSUs that are expected to vest and records cumulative adjustments in the period that the expectation changes. Stock-based compensation for the year ended December 31, 2013, as presented in the table above, includes the material reversal of stock-based compensation expense recognized for the performance-based RSUs scheduled to vest on January 1, 2014 recorded in the second fiscal quarter of 2013. $1,778 of these reversed costs had been originally reported as a separate line item upon cessation of employment of certain former executives in 2011, and accordingly, this adjustment is also reported as a separate line item in the accompanying consolidated statements of operations.  A portion of the stock-based compensation expense related to certain current executives that was reversed in the second fiscal quarter of 2013 was recognized in the fourth fiscal quarter of 2013 due to certain amendments to the performance-based RSUs granted to certain current executives in 2011 approved by the Compensation Committee of the Board of Director's in the fourth fiscal quarter of 2013.  Pursuant to their original terms, the performance-based RSUs would vest on January 1, 2014 only if all of the associated performance criteria were met for the three-year period ending December 31, 2013.  Pursuant to the amended terms, 75% of the performance-based RSUs of each of the certain current executives vested effective December 5, 2013 in light of the Compensation Committee of the Board of Director's assessment that the performance criteria would be achieved in substantial part by December 31, 2013.

Stock-based compensation expense for the year ended December 31, 2011, as presented in the table above, includes amounts associated with the acceleration of vesting of awards upon the passing of Vishay's former Executive Chairman of the Board of Directors, Dr. Felix Zandman, and the resignation of Vishay's former Chief Financial Officer, Dr. Lior Yahalomi. The associated expenses are reported as a component of the executive compensation charges reported in the accompanying consolidated statement of operations.  The stock-based compensation expense recognized for the performance-based RSUs scheduled to vest on January 1, 2014 was reversed in the second fiscal quarter of 2013, as described above.


Note 12 – Share-Based Compensation (continued)

The following table summarizes unrecognized compensation cost and the weighted average remaining amortization periods at December 31, 2013 (amortization periods in years):

 
 
Unrecognized Compensation Cost
  
Weighted Average Remaining Amortization Periods
 
 
 
  
 
Stock options
 
$
-
   
0.0
 
Restricted stock units
  
9,636
   
1.2
 
Phantom stock units
  
-
   
0.0
 
Total
 
$
9,636
     

2007 Stock Incentive Program

The Company's 2007 Stock Incentive Program (the "2007 Program") permits the grant of up to 3,000,000 shares of restricted stock, unrestricted stock, RSUs, and stock options, to officers, employees, and non-employee directors.  Such instruments are available for grant until May 22, 2017.

The 2007 Program was originally approved by stockholders of the Company on May 22, 2007, as the "2007 Stock Option Program." On May 28, 2008, the Company's stockholders approved amendments to the 2007 Stock Option Program, which was then renamed the "2007 Stock Incentive Program".

On February 23, 2011, the Board of Directors of the Company amended and restated the 2007 Program. The amendment eliminated share recycling, so that on the exercise of an option where the exercise price is paid via the tender of previously-owned shares or pursuant to an "immaculate cashless exercise," the total "gross" number of option shares exercised is removed from the pool of shares available for future issuance. Similarly, shares withheld to pay income taxes in connection with the exercise of an option are also removed from the pool. The amendment also restricts re-pricing and cash repurchases of options without the prior approval of stockholders. The 2007 Program was subsequently re-approved by the Company's stockholders at the 2013 Annual Stockholders Meeting held on May 23, 2013.

At December 31, 2013, the Company has reserved 766,000 shares of common stock for future grants of equity awards pursuant to the 2007 Program. If any outstanding options are forfeited by the holder or cancelled by the Company, the underlying shares would be available for regrant to others.

Stock Options

In addition to stock options outstanding pursuant to the 2007 Program, during the periods presented, the Company had stock options outstanding under previous stockholder-approved stock option programs.

Under the 1998 Stock Option Program, certain executive officers and key employees were granted options. On March 16, 2008, the stockholder approval for the 1998 Stock Option Program expired. While no additional options may be granted pursuant to this plan, at December 31, 2013, 99,000 options issued under the 1998 Program remain outstanding and may be exercised in future periods.

On November 2, 2001, Vishay acquired General Semiconductor, Inc., which became a wholly owned subsidiary of the Company. As a result of the acquisition, each outstanding option to acquire General Semiconductor common stock became exercisable for shares of Vishay common stock. Based on the conversion ratio in the acquisition of 0.563 of a Vishay share for each General Semiconductor share, the former General Semiconductor options become exercisable in the aggregate for 4,282,000 shares of Vishay common stock on the date of the acquisition. All such options were immediately vested and exercisable as a result of the merger but the terms of the options otherwise remained unchanged. As of November 2, 2011, the tenth anniversary of the acquisition, no options related to this plan were outstanding and no additional options may be granted from this plan.

Note 12 – Share-Based Compensation (continued)

The following table summarizes the Company's stock option activity (number of options in thousands):

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
Number of Options
  
Weighted Average Exercise Price
  
Number of Options
  
Weighted Average Exercise Price
  
Number of Options
  
Weighted Average Exercise Price
 
 
 
  
  
  
  
  
 
Outstanding:
 
  
  
  
  
  
 
Beginning of year
  
109
  
$
15.24
   
384
  
$
15.40
   
1,254
  
$
15.04
 
Granted
  
-
   
-
   
-
   
-
   
-
   
-
 
Exercised
  
-
   
-
   
(22
)
  
7.89
   
(651
)
  
14.87
 
Cancelled or forfeited
  
-
   
-
   
(253
)
  
16.12
   
(219
)
  
14.92
 
End of year
  
109
  
$
15.24
   
109
  
$
15.24
   
384
  
$
15.40
 
 
                        
Vested and expected to vest
  
109
       
109
       
384
     
 
                        
Exercisable:
                        
End of year
  
109
       
79
       
323
     

The following table summarizes information concerning stock options outstanding and exercisable at December 31, 2013 (number of options in thousands, contractual life in years):

  
Options Outstanding
  
Options Exercisable
 
Exercise Price
  
Number of Options
  
Weighted Average Remaining
Contractual Life
  
Weighted Average Exercise Price
  
Number of Options
  
Weighted Average Exercise Price
 
  
  
  
  
  
 
$
11.54 - $12.90
   
32
   
2.85
  
$
12.73
   
32
  
$
12.73
 
$
16.29
   
77
   
3.39
   
16.29
   
77
   
16.29
 
Total
   
109
   
3.23
  
$
15.24
   
109
  
$
15.24
 

The weighted-average remaining contractual life of all exercisable options is 3.23 years.


Note 12 – Share-Based Compensation (continued)

The fair value of each option award is estimated on the date of grant using the Black-Scholes option-pricing model.  There were no options granted in 2013, 2012, or 2011.

The pretax aggregate intrinsic value (the difference between the closing stock price on the last trading day of 2013 of $13.26 per share and the exercise price, multiplied by the number of in-the-money options) that would have been received by the option holders had all option holders exercised their options on December 31, 2013 is $17.  This amount changes based on changes in the market value of the Company's common stock.  No options were exercised during the year ended December 31, 2013.  During the years ended December 31, 2012 and 2011, 22,095 and 650,621 options, respectively, were exercised. The total intrinsic value of options exercised during the years ended December 31, 2012 and 2011 was $110 and $1,693, respectively.

The following table summarizes information concerning unvested stock options (number of options in thousands):

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
Number of Options
  
Weighted Average Grant-date Fair Value
  
Number of Options
  
Weighted Average Grant-date Fair Value
  
Number of Options
  
Weighted Average Grant-date Fair Value
 
 
 
  
  
  
  
  
 
Unvested:
 
  
  
  
  
  
 
Beginning of year
  
30
  
$
10.14
   
61
  
$
9.96
   
253
  
$
9.33
 
Granted
  
-
   
-
   
-
   
-
   
-
   
-
 
Vested
  
(30
)
  
10.14
   
(31
)
  
9.79
   
(192
)
  
9.13
 
End of year
  
-
  
$
-
   
30
  
$
10.14
   
61
  
$
9.96
 

Note 12 – Share-Based Compensation (continued)

Restricted Stock Units

Each RSU entitles the recipient to receive a share of common stock when the RSU vests.

RSU activity for the years ended December 31, 2013, 2012, and 2011 is presented below (number of RSUs in thousands):

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
Number of RSUs
  
Weighted Average Grant-date Fair Value
  
Number of
RSUs
  
Weighted Average Grant-date Fair Value
  
Number of
RSUs
  
Weighted Average Grant-date Fair Value
 
 
 
  
  
  
  
  
 
Outstanding:
 
  
  
  
  
  
 
Beginning of year
  
1,316
  
$
12.53
   
891
  
$
12.58
   
634
  
$
9.61
 
Granted
  
374
   
12.76
   
437
   
12.31
   
423
   
16.57
 
Vested*
  
(598
)
  
10.92
   
(12
)
  
8.29
   
(154
)
  
11.25
 
Cancelled or forfeited
  
(33
)
  
16.54
   
-
   
-
   
(12
)
  
13.26
 
End of year
  
1,059
  
$
13.40
   
1,316
  
$
12.53
   
891
  
$
12.58
 
 
                        
Expected to vest
  
570
       
1,040
       
891
     
______________
 
* The number of RSUs vested includes shares that the Company withheld on behalf of employees to satisfy the statutory tax withholding requirements.
 
The number of performance-based RSUs scheduled to vest on January 1, 2014 and January 1, 2015 is fixed based on the full achievement of the defined target performance criteria. The number of performance-based RSUs scheduled to vest on January 1, 2016 increases ratably based on the achievement of defined performance criteria between the established target and maximum levels.  RSUs with performance-based vesting criteria are expected to vest as follows (number of RSUs in thousands):

Vesting Date
 
Expected to Vest
  
Not Expected to Vest
  
Total
 
    January 1, 2014**
  
-
   
102
   
102
 
January 1, 2015
  
-
   
276
   
276
 
January 1, 2016
  
111
   
111
   
222
 
______________
 
** The performance vesting criteria for the performance-based RSUs with a vesting date of January 1, 2014 has not been achieved.
 
In the event of (i) the termination of the executive's employment by the Company without cause, by the executive for "good reason," or as a result of death or disability, the executive's outstanding RSUs shall immediately vest and the outstanding performance-based RSUs shall vest on their normal vesting date to the extent applicable performance criteria are realized; and (ii) a change of control of Vishay, all of such executive's outstanding RSUs and performance-based RSUs shall immediately vest.  In the event of voluntary termination by the executive (without "good reason") or termination for cause, the executive's outstanding RSUs and performance-based RSUs will be forfeited.


Note 12 – Share-Based Compensation (continued)

Phantom Stock Plan

The Company maintains a phantom stock plan for certain senior executives.  The Phantom Stock Plan authorizes the grant of up to 300,000 phantom stock units to the extent provided for in the Company's employment agreements with such senior executives.  Each phantom stock unit entitles the recipient to receive a share of common stock at the individual's termination of employment or any other future date specified in the individual's employment agreement. The phantom stock units are fully vested at all times.

If the Company declares dividends on its common stock, the dividend amounts with respect to the phantom stock units will be deemed reinvested in additional units of phantom stock.

The Board of Directors of the Company can amend or terminate the Phantom Stock Plan at any time, except that phantom stock units already granted to any individual cannot be adversely affected without the individual's consent. Furthermore, stockholder approval of an amendment is required if the amendment increases the number of units subject to the Phantom Stock Plan or otherwise materially amends the Phantom Stock Plan or if stockholder approval is otherwise required by applicable law or stock exchange rules.  If the Board of Directors does not terminate the Phantom Stock Plan, it will terminate when all phantom stock units have been awarded with respect to all 300,000 shares of common stock reserved for the Phantom Stock Plan.

The following table summarizes the Company's phantom stock units activity for the years ended December 31, 2013, 2012, and 2011 (number of phantom stock units in thousands):

 
 
Years ended December 31,
 
 
 
2013
  
2012
  
2011
 
 
 
Number
of
Phantom
Stock Units
  
Grant-
date
Fair Value per Unit
  
Number
of
Phantom
Stock Units
  
Grant-
date
Fair Value per Unit
  
Number
of
Phantom
Stock Units
  
Grant-
date
Fair Value per Unit
 
 
 
  
  
  
  
  
 
Outstanding:
 
  
  
  
  
  
 
Beginning of year
  
97
  
   
87
  
   
116
  
 
Granted
  
10
  
$
10.75
   
10
  
$
9.33
   
15
  
$
14.78
 
Redeemed for common stock
  
-
       
-
       
(44
)
    
End of year
  
107
       
97
       
87
     
 
                        
Available for future grants
  
75
       
85
       
95