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Consolidated Statements of Cash Flows (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2011
Jan. 02, 2011
Jan. 03, 2010
Cash flows from operating activities      
Net Income (Loss) $ 117,157 $ 278,020 $ 91,200
Adjustments to reconcile net income to net cash provided by operating activities:      
Depreciation of property, plant and equipment 255,975 252,457 295,871
Amortization of intangible assets 30,333 27,191 26,642
Goodwill impairment charges 11,923 24,634 8,492
Goodwill and other intangible asset impairment charges   27,477  
Goodwill and other long-lived asset impairment charges     25,387
Net pension benefit (4,726) (3,863) (8,069)
Multiemployer pension plan withdrawal charge 2,415 20,355 0
Early retirement programs expense 634 0 64,541
Foreign exchange (gain) loss 3,263 (6,705) (16,871)
Net (gain) loss on sales of businesses (2,975) 11,824 (2,253)
Loss on write-down of marketable equity securities 53,793 0 0
Equity in (earnings) losses of affiliates, including impairment charges, net of distributions 5,492 4,133 30,072
Provision for deferred income taxes 42,265 37,056 33
Net loss on sale or write-down of property, plant and equipment and other assets 9,294 15,094 23,524
Change in assets and liabilities      
Decrease in accounts receivable, net 27,895 14,648 55,970
(Increase) decrease in inventories (1,587) 8,571 24,195
Decrease in accounts payable and accrued liabilities (126,771) 40,892 831
Decrease in deferred revenue (9,186) (10,410) 25,178
Income taxes receivable/payable 16,002 (41,398) 534
(Increase) decrease in other assets and other liabilities, net (37,748) 18,251 17,198
Other (157) 123 (2,597)
Net cash provided by operating activities 393,291 693,716 651,386
Cash flows from investing activities      
Purchases of property, plant and equipment (216,381) (243,712) (257,758)
Investments in certain businesses, net of cash acquired (83,699) (13,345) (26,133)
Net proceeds from sales of businesses, property, plant and equipment and other assets 49,157 39,007 4,788
Purchase of marketable equity securities and other investments (8,165) (8,070) (10,520)
Other (1,640) 16,248 8,496
Net cash used in investing activities (260,728) (209,872) (281,127)
Cash Flows from Financing Activities      
Common shares repurchased (248,055) (404,816) (60,956)
Issuance (repayment) of commercial paper, net (109,671) 0 149,983
Dividends paid (75,493) (82,090) (81,772)
Issuance of debt 52,476 0 395,225
Principal payments on debt (1,285) 0 (400,868)
Other (24,275) (4,266) 5,079
Net cash used in financing activities (186,961) (491,172) (293,275)
Effect of currency exchange rate change (2,243) 2,509 8,573
Net (decrease) increase in cash and cash equivalents (56,641) (4,819) 85,557
Beginning cash and cash equivalents 437,740 442,559 357,002
Ending cash and cash equivalents 381,099 437,740 442,559
Supplemental Cash Flow Information [Abstract]      
Income Taxes 38,500 213,000 58,900
Interest Paid $ 32,650 $ 30,500 $ 26,600