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CONSOLIDATED STATEMENTS OF SHAREHOLDERS' EQUITY AND COMPREHENSIVE LOSS - USD ($)
$ in Thousands
Common Stock [Member]
Additional Paid-in Capital [Member]
Treasury Stock [Member]
AOCI Attributable to Parent [Member]
Retained Earnings [Member]
Total
Balance $ 567 $ 309,451 $ (217,555) $ (2,774) $ 90,245 $ 179,934
Balance (in Shares) 56,728,000   (25,103,000)      
Net income (loss)         8,277 8,277
Pension loss adjustment       2,655   2,655
Stock compensation   255       255
Exercise of equity grants $ 15 4,854       $ 4,869
Exercise of equity grants (in Shares) 1,477,000         (1,477,450)
Purchase of treasury stock     $ (5,393)     $ (5,393)
Purchase of treasury stock (in Shares)     (1,006,000)      
Issuance of stock to Directors $ 1 372       373
Issuance of stock to Directors (in Shares) 94,000          
Balance $ 583 314,932 $ (222,948) (119) 98,522 190,970
Balance (in Shares) 58,299,000   (26,109,000)      
Net income (loss)         1,778 1,778
Pension loss adjustment       (2,062)   (2,062)
Stock compensation   429       429
Exercise of equity grants   67       $ 67
Exercise of equity grants (in Shares) 39,000         (39,000)
Purchase of treasury stock     $ (3,464)     $ (3,464)
Purchase of treasury stock (in Shares)     (985,000)      
Cash Dividends Paid         (16,036) (16,036)
Amortization of unearned compensation – restricted stock   58       58
Balance $ 583 315,486 $ (226,412) (2,181) 84,264 171,740
Balance (in Shares) 58,338,000   (27,094,000)      
Net income (loss)         2,689 2,689
Pension loss adjustment       1,369   1,369
Stock compensation   424       424
Exercise of equity grants   19       $ 19
Exercise of equity grants (in Shares) 8,000         (8,000)
Purchase of treasury stock     $ (1,085)     $ (1,085)
Purchase of treasury stock (in Shares)     (317,000)      
Vested restricted shares $ 1 (69)       (68)
Vested restricted shares (in Shares) 50,000          
Amortization of unearned compensation – restricted stock   180       180
Balance $ 584 $ 316,040 $ (227,497) $ (812) $ 86,953 $ 175,268
Balance (in Shares) 58,396,000   (27,411,000)