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FAIR VALUE OF FINANCIAL INSTRUMENTS (Table)
3 Months Ended
Mar. 31, 2013
Fair Value Of Financial Instruments [Abstract]  
Schedule of Fair Value Hedging Instruments, Statements of Financial Performance and Financial Position, Location [Table Text Block]
   (In thousands)
    March 31,  December 31,
    2013  2012
Assets      
Designated for hedge accounting $ 323 $ 677
 Interest rate swaps      
Undesignated for hedge accounting      
 Forward exchange contracts $ 142 $ 250
 Total asset derivatives (A) $ 465 $ 927
        
Liabilities      
Designated for hedge accounting      
 Interest rate swaps $ 11,273 $ 1,419
Undesignated for hedge accounting      
 Forward exchange contracts $ 280 $ 170
 Total liability derivatives (B) $ 11,553 $ 1,589

   Gain/(Loss) on Swap Gain/(Loss) on Borrowings
   Three Months Ended Three Months Ended
   March 31, March 31,
Income Statement Classification 2013  2012  2013  2012
Other income, net$ (10,950) $ (12,713) $ 10,950 $ 12,713
Schedule of Other Derivatives Not Designated as Hedging Instruments, Statements of Financial Performance and Financial Position, Location [Table Text Block]
    (In thousands)
    Three Months Ended
    March 31,
Derivatives not designated as hedging instrument  2013  2012
Forward exchange contracts:       
 General and administrative expenses  $ (1,561) $ 976
Schedule of Carrying Values and Estimated Fair Values of Debt Instruments [Table Text Block]
  March 31, December 31,
  2013 2012
   Carrying Value  Estimated Fair Value  Carrying Value  Estimated Fair Value
             
Industrial revenue bonds, due 2023 $ 8,400 $ 8,400 $ 8,400 $ 8,400
Revolving credit agreement, due 2017   14,000   14,000   286,800   286,800
5.74% Senior notes due 2013   125,007   127,166   125,011   128,198
5.51% Senior notes due 2017   150,000   167,607   150,000   168,491
3.84% Senior notes due 2021   100,323   100,323   100,677   100,677
3.70% Senior notes due 2023   225,000   227,803   -   -
3.85% Senior notes due 2025   97,764   97,764   -   -
4.24% Senior notes due 2026   193,462   193,462   198,581   198,581
4.05% Senior notes due 2028   72,501   72,501   -   -
Other debt   1,463   1,463   10,746   10,746
Total debt $ 987,920 $ 1,010,489 $ 880,215 $ 901,893