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CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Thousands, unless otherwise specified
6 Months Ended
Jul. 01, 2012
Jul. 03, 2011
Cash Flows Provided from (Used by) Operating Activities    
Net Income $ 334,336 $ 290,134
Adjustments to Reconcile Net Income to Net Cash Provided from Operations    
Depreciation and amortization 109,635 102,792
Stock-based compensation expense, net of tax 16,110 15,189
Excess tax benefits from exercise of stock options (23,849) (7,117)
Deferred income taxes 1,999 (4,956)
Business realignment and impairment charges, net of tax 27,022 5,138
Contributions to pension plans (1,765) (2,595)
Changes in assets and liabilities, net of effects from business acquisitions:    
Accounts receivable - trade 57,487 93,115
Inventories (170,215) (118,202)
Accounts payable (8,605) 21,472
Other assets and liabilities (27,997) (108,278)
Net Cash Flows Provided from Operating Activities 314,158 286,692
Cash Flows Provided from (Used by) Investing Activities    
Capital Additions (139,488) (171,046)
Capitalized Software Additions (8,319) (8,933)
Proceeds from sales of property, plant and equipment 76 209
Business acquisition (172,856) (5,750)
Net Cash Flows (Used by) Investing Activities (336,587) (185,520)
Cash Flows Provided from (Used by) Financing Activities    
Net increase in short-term debt 95,130 10,658
Long-term borrowings 49 478
Repayment of long-term debt (2,134) (3,172)
Loan to affiliate (16,000) 0
Cash dividends paid (167,094) (152,689)
Exercise of stock options 185,600 135,040
Excess tax benefits from exercise of stock options 23,849 7,117
Contributions from noncontrolling interests in subsidiaries 1,470 0
Repurchase of Common Stock (218,345) (192,949)
Net Cash Flows (Used by) Financing Activities (81,475) (195,517)
(Decrease) in Cash and Cash Equivalents (103,904) (94,345)
Cash and Cash Equivalents, beginning of period 693,686 884,642
Cash and Cash Equivalents, end of period 589,782 790,297
Interest Paid 49,151 47,726
Income Taxes Paid $ 218,246 $ 193,698