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Equity and Noncontrolling Interest (Tables)
6 Months Ended
Jun. 30, 2020
Stockholders Equity [Abstract]  
Schedule of Stockholders Equity [Table Text Block]
Accumulated
Capital in
Other
Common
Excess of
Retained
Comprehensive
Noncontrolling
Stock
Par Value
Earnings
Loss
Interest
Total
Balance at March 31, 2020
$
17,752
$
888,533
$
376,853
$
(121,524)
$
418
$
1,162,032
Net (loss) income
—
—
(7,735)
—
13
(7,722)
Amounts reported in other comprehensive
 
income
—
—
—
12,260
1
12,261
Dividends ($
0.385
 
per share)
—
—
(6,853)
—
—
(6,853)
Share issuance and equity-based
compensation plans
48
7,575
—
—
—
7,623
Balance at June 30, 2020
$
17,800
$
896,108
$
362,265
$
(109,264)
$
432
$
1,167,341
Balance at March 31, 2019
$
13,334
$
96,832
$
413,992
$
(79,167)
$
1,372
$
446,363
Net income
—
—
15,591
—
58
15,649
Amounts reported in other comprehensive
 
income
—
—
—
286
24
310
Dividends ($
0.385
 
per share)
—
—
(5,135)
—
—
(5,135)
Share issuance and equity-based
compensation plans
4
770
—
—
—
774
Balance at June 30, 2019
$
13,338
$
97,602
$
424,448
$
(78,881)
$
1,454
$
457,961
Accumulated
Capital in
Other
Common
Excess of
Retained
Comprehensive
Noncontrolling
Stock
Par Value
Earnings
Loss
Interest
Total
Balance at December 31, 2019
$
17,735
$
888,218
$
412,979
$
(78,170)
$
1,604
$
1,242,366
Cumulative effect of an accounting change
—
—
(911)
—
—
(911)
Balance at January 1, 2020
17,735
888,218
412,068
(78,170)
1,604
1,241,455
Net (loss) income
—
—
(36,116)
—
50
(36,066)
Amounts reported in other comprehensive
 
loss
—
—
—
(31,094)
(131)
(31,225)
Dividends ($
0.770
 
per share)
—
—
(13,687)
—
—
(13,687)
Acquisition of noncontrolling interest
—
(707)
—
—
(340)
(1,047)
Distribution to noncontrolling interest
affiliate shareholders
—
—
—
—
(751)
(751)
Share issuance and equity-based
compensation plans
65
8,597
—
—
—
8,662
Balance at June 30, 2020
$
17,800
$
896,108
$
362,265
$
(109,264)
$
432
$
1,167,341
Balance at December 31, 2018
$
13,338
$
97,304
$
405,125
$
(80,715)
$
1,317
$
436,369
Cumulative effect of an accounting change
—
—
(44)
—
—
(44)
Balance at January 1, 2019
13,338
97,304
405,081
(80,715)
1,317
436,325
Net income
—
—
29,435
—
114
29,549
Amounts reported in other comprehensive
 
income
—
—
—
1,834
23
1,857
Dividends ($
0.755
 
per share)
—
—
(10,068)
—
—
(10,068)
Share issuance and equity-based
compensation plans
—
298
—
—
—
298
Balance at June 30, 2019
$
13,338
$
97,602
$
424,448
$
(78,881)
$
1,454
$
457,961
Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block]
Defined
Unrealized
Currency
Benefit
(Loss) Gain in
 
Translation
Pension
Available-for
 
-
Derivative
Adjustments
Plans
Sale Securities
Instruments
Total
Balance at March 31, 2020
$
(99,187)
$
(17,576)
$
(460)
$
(4,301)
$
(121,524)
Other comprehensive income (loss) before
 
reclassifications
10,550
(336)
2,128
(144)
12,198
Amounts reclassified from AOCI
—
600
(93)
—
507
Current period other comprehensive income (loss)
10,550
264
2,035
(144)
12,705
Related tax amounts
—
(51)
(427)
33
(445)
Net current period other comprehensive income (loss)
 
10,550
213
1,608
(111)
12,260
Balance at June 30, 2020
$
(88,637)
$
(17,363)
$
1,148
(4,412)
$
(109,264)
Balance at March 31, 2019
$
(49,753)
$
(29,845)
$
431
$
—
$
(79,167)
Other comprehensive (loss) income before
reclassifications
(543)
(79)
432
—
(190)
Amounts reclassified from AOCI
—
732
(43)
—
689
Current period other comprehensive (loss) income
(543)
653
389
—
499
Related tax amounts
—
(131)
(82)
—
(213)
Net current period other comprehensive (loss) income
(543)
522
307
—
286
Balance at June 30, 2019
$
(50,296)
$
(29,323)
$
738
$
—
$
(78,881)
Defined
Unrealized
Currency
Benefit
Gain (Loss) in
 
Translation
Pension
Available-for
 
-
Derivative
Adjustments
Plans
Sale Securities
Instruments
Total
Balance at December 31, 2019
$
(44,568)
$
(34,533)
$
1,251
$
(320)
$
(78,170)
Other comprehensive (loss) income before
reclassifications
(44,069)
492
(8)
(5,315)
(48,900)
Amounts reclassified from AOCI
—
24,966
(125)
—
24,841
Current period other comprehensive (loss) income
(44,069)
25,458
(133)
(5,315)
(24,059)
Related tax amounts
—
(8,288)
30
1,223
(7,035)
Net current period other comprehensive (loss) income
(44,069)
17,170
(103)
(4,092)
(31,094)
Balance at June 30, 2020
$
(88,637)
$
(17,363)
$
1,148
$
(4,412)
$
(109,264)
Balance at December 31, 2018
$
(49,322)
$
(30,551)
$
(842)
$
—
$
(80,715)
Other comprehensive (loss) income before
 
reclassifications
(974)
81
2,139
—
1,246
Amounts reclassified from AOCI
—
1,465
(139)
—
1,326
Current period other comprehensive (loss) income
(974)
1,546
2,000
—
2,572
Related tax amounts
—
(318)
(420)
—
(738)
Net current period other comprehensive (loss) income
(974)
1,228
1,580
—
1,834
Balance at June 30, 2019
$
(50,296)
$
(29,323)
$
738
$
—
$
(78,881)