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Employee Benefit Plans (Tables)
12 Months Ended
Dec. 31, 2012
Defined Benefit Pension Plans and Defined Benefit Postretirement Plans Disclosure [Abstract]  
Schedule Of Activity Of Defined Benefit Plans
             
(dollars in thousands)   2012     2011  
Change in Projected Benefit Obligation            
Balance at January 1 $ 46,553   $ 42,162  
Interest cost   1,971     2,099  
Benefits paid   (893 )   (937 )
Actuarial loss   3,697     6,262  
Settlement   (2,600 )   (3,033 )
Projected Benefit Obligation at December 31   48,728     46,553  
 
Change in Plan Assets            
Fair value at January 1   36,339     40,101  
Actual return on plan assets   4,140     (206 )
Employer contributions   564     414  
Benefits paid   (893 )   (937 )
Settlement   (2,600 )   (3,033 )
Fair value of Plan Assets at December 31   37,550     36,339  
Funded status at December 31   (11,178 )   (10,214 )
 
Amounts recognized in the statement of financial position            
at December 31:            
Accrued benefit liability $ (11,178 ) $ (10,214 )
Net amount recognized $ (11,178 ) $ (10,214 )
 
Amounts recognized in accumulated            
other comprehensive income at December 31:            
Net actuarial loss $ 20,868   $ 24,162  
Total $ 20,868   $ 24,162  

 

Schedule Of Net Periodic Benefit Cost
                   
(dollars in thousands)   2012     2011     2010  
Net Periodic Benefit Cost                  
Interest cost $ 1,971   $ 2,099   $ 1,990  
Expected return on plan assets   (2,345 )   (2,704 )   (1,960 )
Recognized actuarial loss   4,027     2,755     1,603  
Net periodic benefit cost $ 3,653   $ 2,150   $ 1,633  
Settlement cost   1,170     1,539     883  
Total net periodic benefit cost $ 4,823   $ 3,689   $ 2,516  
 
Other Changes in Plan Assets and                  
Benefit Obligations Recognized in Other                  
Comprehensive Income                  
Net actuarial (gain)/loss $ 1,903   $ 9,172   ($ 983 )
Amortization of net actuarial loss   (4,027 )   (2,755 )   (1,603 )
Settlement cost   (1,170 )   (1,539 )   (883 )
Total recognized in Other Comprehensive Income $ (3,294 ) $ 4,878   $ (3,469 )
Total recognized in net periodic benefit cost and                  
other comprehensive income $ 1,529   $ 8,567   $ (953 )

 

Summary Of Assumptions Used In Determining The Benefit Obligations And Net Periodic Benefit Cost
             
  2012   2011   2010  
Benefit obligations:            
Discount rate at the end of the period 4.00 % 4.55 % 5.50 %
Net periodic benefit cost:            
Discount rate at the beginning of the period 4.55 % 5.50 % 5.25 %
Expected return on plan assets 7.50   8.00   8.00  
Rate of compensation increase N/A   N/A   N/A  
Schedule Of Asset Allocation Of Retirement Plan
  Expected              
  Long-Term 2012 Target              
Asset Category Rate of Return Allocation   2012   2011   2010  
Equity securities 9.00% - 9.50% 40- 70 % % % %
Debt securities 4.00% - 5.85% 30- 60 % 38   34   27  
Cash equivalents 0- 15 % 1   5   5  
Total       100 % 100 % 100 %

 

Schedule Of Pension Plan Assets At Fair Value
                   
        Fair Value Measurements at December 31, 2012 Using    
            Significant      
        Quoted Prices in   Other Significant    
        Active Markets for   Observable Unobservable    
    Carrying   Identical Assets   Inputs Inputs    
(dollars in thousands)   Value   (Level 1)   (Level 2) (Level 3)    
 
Plan Assets                  
Large U.S. Equity $ 14,979 $ 0 $ 14,979   $ 0
International Equity   7,979   0   7,979     0
Short-Term Fixed Income   461   0   461     0
Fixed Income   14,131   0   14,131     0
Total Plan Assets $ 37,550 $ 0 $ 37,550   $ 0

 

As of December 31, 2011, the fair value of plan assets, by asset category, was as follows:

                   
        Fair Value Measurements at December 31, 2011 Using    
            Significant      
        Quoted Prices in   Other Significant    
        Active Markets for   Observable Unobservable    
    Carrying   Identical Assets   Inputs Inputs    
(dollars in thousands)   Value   (Level 1)   (Level 2) (Level 3)    
 
Plan Assets                  
Large U.S. Equity $ 15,390 $ 0 $ 15,390   $ 0
International Equity   6,846   0   6,846     0
Short-Term Fixed Income   1,870   0   1,870     0
Fixed Income   12,233   0   12,233     0
Total Plan Assets $ 36,339 $ 0 $ 36,339   $ 0

 

Schedule Of Expected Future Benefit Payments
     
(dollars in thousands)    
2013 $ 10,440
2014   4,080
2015   3,810
2016   3,730
2017   4,590
Years 2018 - 2021   15,250