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RESTRUCTURING ACTIVITIES (Details) (USD $)
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Sep. 30, 2012
Sep. 30, 2011
Dec. 31, 2011
Restructuring Cost and Reserve [Line Items]          
Facility Lease Commitment $ 1,900,000   $ 1,900,000    
Activity and liability balances related to restructuring charges [Roll Forward]          
Liability at December 31, 2011     0    
New Charges 1,778,000 0 2,160,000 0  
Cash Payment and Other Settlements     (1,001,000)    
Liability at September 30, 2012 1,159,000   1,159,000    
Accrued restructuring cost 1,159,000   1,159,000   0
Termination benefits [Member]
         
Activity and liability balances related to restructuring charges [Roll Forward]          
Liability at December 31, 2011     0    
New Charges     2,001,000    
Cash Payment and Other Settlements     (842,000)    
Liability at September 30, 2012 1,159,000   1,159,000    
Transportation of equipment [Member]
         
Activity and liability balances related to restructuring charges [Roll Forward]          
Liability at December 31, 2011     0    
New Charges     97,000    
Cash Payment and Other Settlements     (97,000)    
Liability at September 30, 2012 0   0    
Setup costs [Member]
         
Activity and liability balances related to restructuring charges [Roll Forward]          
Liability at December 31, 2011     0    
New Charges     38,000    
Cash Payment and Other Settlements     (38,000)    
Liability at September 30, 2012 0   0    
Other Restructuring costs [Member]
         
Activity and liability balances related to restructuring charges [Roll Forward]          
Liability at December 31, 2011     0    
New Charges     24,000    
Cash Payment and Other Settlements     (24,000)    
Liability at September 30, 2012 $ 0   $ 0