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Derivatives and Hedging (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Notional Amounts of Outstanding Derivative Positions [Table Text Block] The following tables provide information regarding the Company’s outstanding derivatives contracts as of, and for, the years ended (in thousands, except for number of outstanding contracts):
Derivative Contract Type   Number of
Outstanding
Contracts
  Contract
Notional
Amount
  Fair Value
Asset
(Liability) (3)
    Balance Sheet
Line Item
  OCI
Unrealized
(Loss), Net
Of Tax
 
Interest rate swap (1)     1   $ 200,000   $ (10,000 )   Other liabilities   $ (6,010 )
Foreign currency forwards (2)     68     76,100     4     Other current assets      
Total     69   $ 276,100   $ (9,996 )       $ (6,010 )
Derivative Contract Type   Number of
Outstanding
Contracts
  Contract
Notional
Amount
  Fair Value
Asset
(Liability) (3)
    Balance Sheet
Line Item
  OCI
Unrealized
(Loss), Net
Of Tax
 
Interest rate swap (1)     1   $ 200,000   $ (9,891 )   Other liabilities   $ (5,934 )
Interest rate swaps (4)     2     30,750     (98 )   Accrued liabilities      
Foreign currency forwards (2)     60     99,585     272     Other current assets      
Total     63   $ 330,335   $ (9,717 )       $ (5,934 )
Schedule of Derivative Instruments, Gain (Loss) in Statement of Financial Performance [Table Text Block] The following table provides information regarding amounts recognized in the Consolidated Statements of Operations for derivative contracts for the years ended December 31 (in thousands):
Amount recorded in:   2012     2011     2010  
Interest expense (1)   $ 3.6     $ 4.1     $ 10.7  
Other (income) expense, net (2)     (0.6 )     1.2       (2.8 )
Total expense   $ 3.0     $ 5.3     $ 7.9