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Fair Value Measurements (Tables)
6 Months Ended
Jun. 30, 2013
Fair Value Measurements [Abstract]  
Assets And Liabilities Measured At Fair Value On A Recurring Basis
  June 30, 2013 December 31, 2012
  Total Level 1 Level 2 Level 3 Total Level 1 Level 2 Level 3
Assets                                
Deferred compensation $ 5,373 $ 5,373 $ - $ - $ 4,540 $ 4,540 $ - $ -
Derivative instruments   -   -   -   -   223   -   223   -
Total assets $ 5,373 $ 5,373 $ - $ - $ 4,763 $ 4,540 $ 223 $ -
 
Liabilities                                
Contingent consideration $ 9,735 $ - $ - $ 9,735 $ 11,519 $ - $   - $ 11,519
Deferred compensation   8,457   8,457   -   -   7,015   7,015   -   -
Derivative instruments   180   -   180   -   -   -   -   -
Total liabilities $ 18,372 $ 8,457 $ 180 $ 9,735 $ 18,534 $ 7,015 $ - $ 11,519
Schedule Of Non-Recurring Losses Recognized Using Fair Value Measurements And The Carrying Value Of Any Assets And Liabilities Measured Using Fair Value Estimates
  2013 2012
  Carrying Non-Recurring   Carrying Non-Recurring
  Value Losses/(Gains)   Value Losses/(Gains)
Assets                
Vacant owned facilities $ 3,726 $ 100 $ 7,392 $ 282
Other intangible assets   -   -   642   600
Net assets of acquired                
businesses   1,076   -   1,345   -
Total assets $ 4,802 $ 100 $ 9,379 $ 882
Liabilities            
Vacant leased facilities $ - $ - $ 13 $ 10
Total liabilities $ - $ - $ 13 $ 10