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Benefit Plans (Details) (USD $)
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Information used in actuarial assumptions [Abstract]      
Minimum value of outstanding noncallable bonds used in hypothetical cash flow bond matching exercise $ 50,000,000    
Future earnings period used in determining the expected average rate of earnings (in years) 20 years    
Target Allocation of Assets [Abstract]      
Maximum investment in international oriented funds (in hundredths) 30.00%    
Number of international mutual funds 2    
Percent of international oriented funds equity allocation in emerging markets (in hundredths) 5.00%    
Percent of international oriented funds equity allocation in companies based outside of the United States, primarily Europe and the Pacific Basin (in hundredths) 25.00%    
Effect of 1% change in the health care trend rate assumption [Abstract]      
Effect of 1-percentage point increase on total service and interest cost component 506,000    
Effect of 1-percentage point increase on postretirement benefit obligation 2,772,000    
Effect of 1-percentage point decrease on total service and interest cost components (401,000)    
Effect of 1-percentage point decrease on postretirement benefit obligation (2,121,000)    
Profit sharing and 401(k) savings plan [Abstract]      
Discretionary profit sharing contribution as a percentage of participant's eligible compensation (in hundredths) 5.00%    
Matching contribution rate on employees' before-tax contributions, first contribution level (in hundredths) 80.00%    
Employee contributions subject to employer match, first contribution level 1,000    
Matching contribution rate on employees' before-tax contributions, second contribution level (in hundredths) 40.00%    
Employee contributions subject to employer match, second contribution level 2,000    
Profit sharing and 401(k) savings plan expenses 3,100,000 3,600,000 3,700,000
Pension and Supplemental Executive Retirement Plans [Member]
     
Components of Net Periodic Benefit Cost [Abstract]      
Company Service Cost 9,662,000 8,917,000 8,531,000
Interest Cost 16,481,000 16,098,000 15,535,000
Expected Return on Assets (18,211,000) (17,373,000) (14,502,000)
Other Adjustments 0 0 0
Subtotal 7,932,000 7,642,000 9,564,000
Amortization of Net Transition Obligation/(Asset) 0 0 0
Amortization of Net Prior Service Cost/(Credit) 665,000 661,000 650,000
Amortization of Net Losses/(Gains) 5,829,000 4,010,000 5,924,000
Total Amortization 6,494,000 4,671,000 6,574,000
Net Periodic Benefit Cost 14,426,000 12,313,000 16,138,000
Cost of settlements or curtailments 0 0 0
Total Expense for Year 14,426,000 12,313,000 16,138,000
Actuarial Value of Benefit Obligations [Abstract]      
Measurement Date 12/31/2012 12/31/2011  
Accumulated Benefit Obligation 331,985,000 297,145,000  
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Projected Accumulated Benefit Obligation (362,657,000) (318,048,000) (291,456,000)
Plan Assets at Fair Value 340,335,000 305,748,000 284,080,000
Funded Status - Overfunded/(Underfunded) (22,322,000) (12,300,000)  
Accumulated Other Comprehensive Income [Abstract]      
Net Actuarial (Gain)/Loss 106,661,000 95,298,000  
Net Prior Service Cost/(Credit) 1,775,000 2,278,000  
Net Transition Obligation/(Asset) 0 0  
Total at Year End 108,436,000 97,576,000 84,649,000
Change in Projected Benefit Obligation [Roll Forward]      
Benefit Obligation at Beginning of Year 318,048,000 291,456,000  
Company Service Cost 9,662,000 8,917,000 8,531,000
Interest Cost 16,481,000 16,098,000 15,535,000
Plan Participants' Contributions 0 0  
Net Actuarial (Gain)/Loss due to Assumption Changes 37,418,000 23,037,000  
Net Actuarial (Gain)/Loss due to Plan Experience 634,000 (6,544,000)  
Benefit Payments from Fund (19,483,000) [1] (14,692,000) [1]  
Benefit Payments Directly by Company (265,000) (316,000)  
Plan Amendments 162,000 92,000  
Other Adjustment 0 0  
Benefit Obligation at End of Year 362,657,000 318,048,000 291,456,000
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at Beginning of Year 305,748,000 284,080,000  
Company Contributions 15,265,000 20,316,000  
Plan Participants' Contributions 0 0  
Benefit Payments from Fund (19,483,000) [1] (14,692,000) [1]  
Benefit Payments paid directly by Company (265,000) (316,000)  
Actual Return on Assets 39,070,000 16,360,000  
Other Adjustment 0 0  
Fair Value of Plan Assets at End of Year 340,335,000 305,748,000 284,080,000
Change in Accumulated Other Comprehensive Income (AOCI) [Abstract]      
AOCI in Prior Year 97,576,000 84,649,000  
Increase/(Decrease) in AOCI [Abstract]      
Recognized during year - Prior Service (Cost)/Credit (665,000) (661,000)  
Recognized during year - Net Actuarial (Losses)/Gains (5,829,000) (4,010,000)  
Occurring during year - Prior Service Cost 162,000 92,000  
Occurring during year - Net Actuarial Losses/(Gains) 17,192,000 17,507,000  
AOCI in Current Year 108,436,000 97,576,000 84,649,000
Amortizations Expected to be Recognized During Next Fiscal Year Ending [Abstract]      
Amortization of Net Transition Obligation/(Asset) 0    
Amortization of Prior Service Cost/(Credit) 500,000    
Amortization of Net Losses/(Gains) 6,063,000    
Weighted-Average Assumptions Used to Determine Benefit Obligations at year end [Abstract]      
Discount Rate (in hundredths) 4.25% 5.25%  
Rate of Compensation Increase (in hundredths) 3.00% 3.00%  
Weighted-Average Assumptions Used to Determine Net Periodic Benefit Cost for Year [Abstract]      
Discount Rate (in hundredths) 5.25% 5.75%  
Expected Long-term Return on Plan Assets (in hundredths) 6.00% 6.00%  
Rate of Compensation Increase (in hundredths) 3.00% 3.00%  
Assets at Fair Value [Abstract]      
Total Assets at fair value 340,335,000 305,748,000 284,080,000
Company Contributions [Abstract]      
Current 15,265,000 20,316,000  
Current + 1 1,278,000    
Actual Benefit Payments [Abstract]      
Current 19,748,000    
Expected Benefit Payments [Abstract]      
Current + 1 10,253,000    
Current + 2 12,333,000    
Current + 3 13,258,000    
Current + 4 14,011,000    
Current + 5 15,357,000    
Current + 6 - 10 97,759,000    
Other Postretirement Benefits [Member]
     
Components of Net Periodic Benefit Cost [Abstract]      
Company Service Cost 1,226,000 1,090,000 1,126,000
Interest Cost 1,144,000 1,350,000 1,183,000
Expected Return on Assets (3,162,000) (3,299,000) (2,891,000)
Other Adjustments 0 0 0
Subtotal (792,000) (859,000) (582,000)
Amortization of Net Transition Obligation/(Asset) 0 0 0
Amortization of Net Prior Service Cost/(Credit) (6,217,000) (6,217,000) (6,138,000)
Amortization of Net Losses/(Gains) 797,000 632,000 764,000
Total Amortization (5,420,000) (5,585,000) (5,374,000)
Net Periodic Benefit Cost (6,212,000) (6,445,000) (5,956,000)
Cost of settlements or curtailments 0 0 0
Total Expense for Year (6,212,000) (6,445,000) (5,956,000)
Actuarial Value of Benefit Obligations [Abstract]      
Measurement Date 12/31/2012 12/31/2011  
Accumulated Benefit Obligation 16,284,000 25,007,000  
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Projected Accumulated Benefit Obligation (16,284,000) (25,007,000) (26,200,000)
Plan Assets at Fair Value 49,391,000 42,578,000 44,362,000
Funded Status - Overfunded/(Underfunded) 33,107,000 17,571,000  
Accumulated Other Comprehensive Income [Abstract]      
Net Actuarial (Gain)/Loss 1,985,000 14,109,000  
Net Prior Service Cost/(Credit) (38,587,000) (41,072,000)  
Net Transition Obligation/(Asset) 0 0  
Total at Year End (36,602,000) (26,964,000) (33,827,000)
Change in Projected Benefit Obligation [Roll Forward]      
Benefit Obligation at Beginning of Year 25,007,000 26,200,000  
Company Service Cost 1,226,000 1,090,000 1,126,000
Interest Cost 1,144,000 1,350,000 1,183,000
Plan Participants' Contributions 356,000 261,000  
Net Actuarial (Gain)/Loss due to Assumption Changes (6,517,000) 397,000  
Net Actuarial (Gain)/Loss due to Plan Experience (497,000) (3,643,000)  
Benefit Payments from Fund (661,000) [1] (560,000) [1]  
Benefit Payments Directly by Company (42,000) (87,000)  
Plan Amendments (3,732,000) 0  
Other Adjustment 0 0  
Benefit Obligation at End of Year 16,284,000 25,007,000 26,200,000
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at Beginning of Year 42,578,000 44,362,000  
Company Contributions 0 0  
Plan Participants' Contributions 356,000 261,000  
Benefit Payments from Fund (661,000) [1] (560,000) [1]  
Benefit Payments paid directly by Company (42,000) (87,000)  
Actual Return on Assets 7,474,000 (1,224,000)  
Other Adjustment (314,000) (173,000)  
Fair Value of Plan Assets at End of Year 49,391,000 42,578,000 44,362,000
Change in Accumulated Other Comprehensive Income (AOCI) [Abstract]      
AOCI in Prior Year (26,964,000) (33,827,000)  
Increase/(Decrease) in AOCI [Abstract]      
Recognized during year - Prior Service (Cost)/Credit 6,217,000 6,217,000  
Recognized during year - Net Actuarial (Losses)/Gains (797,000) (632,000)  
Occurring during year - Prior Service Cost (3,732,000) 0  
Occurring during year - Net Actuarial Losses/(Gains) (11,326,000) 1,278,000  
AOCI in Current Year (36,602,000) (26,964,000) (33,827,000)
Amortizations Expected to be Recognized During Next Fiscal Year Ending [Abstract]      
Amortization of Net Transition Obligation/(Asset) 0    
Amortization of Prior Service Cost/(Credit) (6,649,000)    
Amortization of Net Losses/(Gains) 0    
Weighted-Average Assumptions Used to Determine Benefit Obligations at year end [Abstract]      
Discount Rate (in hundredths) 3.85% 4.75%  
Weighted-Average Assumptions Used to Determine Net Periodic Benefit Cost for Year [Abstract]      
Discount Rate (in hundredths) 4.75% 5.50%  
Expected Long-term Return on Plan Assets (in hundredths) 7.50% 7.50%  
Assumed Health Care Cost Trend Rates at year end [Abstract]      
Health Care Cost Trend Rate Assumed for Next Year (in hundredths) 7.50% 8.00%  
Rate to Which the Cost Trend Rate is Assumed to Decline (Ultimate Trend Rate) (in hundredths) 5.00% 5.00%  
Year That the Rate Reaches the Ultimate Trend Rate 2018 2018  
Allocation of assets at year end [Abstract]      
Weighted-average asset allocations of plans (in hundredths) 100.00% 100.00%  
Assets at Fair Value [Abstract]      
Total Assets at fair value 49,391,000 42,578,000 44,362,000
Target Allocation of Assets [Abstract]      
Minimum period for which plan portfolio returns are expected to achieve stated objectives 5 years    
Company Contributions [Abstract]      
Current 0 0  
Current + 1 0    
Actual Benefit Payments [Abstract]      
Current 347,000    
Expected Benefit Payments [Abstract]      
Current + 1 670,000    
Current + 2 764,000    
Current + 3 782,000    
Current + 4 831,000    
Current + 5 932,000    
Current + 6 - 10 6,880,000    
Health care trend rate used for pre-65 benefits (in hundredths) 8.00%    
Age of retirees at which retirement benefits under the plan are terminated (in years) 65    
Health care trend rate used for pre-65 benefits in 2013 (in hundredths) 7.50%    
Health care trend rate used for pre-65 benefits in 2018 (in hundredths) 5.00%    
Other Postretirement Benefits [Member] | Domestic Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 34,720,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 34,720,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 34,720,000    
Other Postretirement Benefits [Member] | International Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 14,671,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 14,671,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 14,671,000    
Other Postretirement Benefits [Member] | Debt Securities [Member]
     
Allocation of assets at year end [Abstract]      
Weighted-average asset allocations of plans (in hundredths) 0.00% 0.00%  
Other Postretirement Benefits [Member] | Equity Securities [Member]
     
Allocation of assets at year end [Abstract]      
Weighted-average asset allocations of plans (in hundredths) 100.00% 100.00%  
Target Allocation of Assets [Abstract]      
Target asset allocations, minimum (in hundredths) 90.00%    
Target asset allocations, maximum (in hundredths) 100.00%    
Other Postretirement Benefits [Member] | Fixed Income [Member]
     
Target Allocation of Assets [Abstract]      
Target asset allocations, minimum (in hundredths) 0.00%    
Target asset allocations, maximum (in hundredths) 10.00%    
Other Postretirement Benefits [Member] | Other [Member]
     
Allocation of assets at year end [Abstract]      
Weighted-average asset allocations of plans (in hundredths) 0.00% 0.00%  
Other Postretirement Benefits [Member] | Level 1 [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 49,391,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 49,391,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 49,391,000    
Other Postretirement Benefits [Member] | Level 1 [Member] | Domestic Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 34,720,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 34,720,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 34,720,000    
Other Postretirement Benefits [Member] | Level 1 [Member] | International Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 14,671,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 14,671,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 14,671,000    
Other Postretirement Benefits [Member] | Level 2 [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Other Postretirement Benefits [Member] | Level 2 [Member] | Domestic Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Other Postretirement Benefits [Member] | Level 2 [Member] | International Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Other Postretirement Benefits [Member] | Level 3 [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Other Postretirement Benefits [Member] | Level 3 [Member] | Domestic Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Other Postretirement Benefits [Member] | Level 3 [Member] | International Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 340,335,000    
Change in Projected Benefit Obligation [Roll Forward]      
Lump sum pension plan benefit payments 12,000,000 8,200,000  
Maximum amount of eligible participant vested benefits for which lump sum payment can be elected 100,000 50,000  
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 340,335,000    
Allocation of assets at year end [Abstract]      
Weighted-average asset allocations of plans (in hundredths) 100.00% 100.00%  
Assets at Fair Value [Abstract]      
Total Assets at fair value 340,335,000    
Target Allocation of Assets [Abstract]      
Minimum period for which plan portfolio returns are expected to achieve stated objectives 5 years    
Pension Plan [Member] | Domestic Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 45,071,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 45,071,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 45,071,000    
Pension Plan [Member] | Common Stocks [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 54,210,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 54,210,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 54,210,000    
Pension Plan [Member] | Corporate Bond [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 130,643,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 130,643,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 130,643,000    
Pension Plan [Member] | U.S. Government Securities [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 25,859,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 25,859,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 25,859,000    
Pension Plan [Member] | Municipals [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 26,595,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 26,595,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 26,595,000    
Pension Plan [Member] | Foreign Bonds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 17,710,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 17,710,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 17,710,000    
Pension Plan [Member] | Foreign Stocks [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 768,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 768,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 768,000    
Pension Plan [Member] | International Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 39,479,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 39,479,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 39,479,000    
Pension Plan [Member] | Debt Securities [Member]
     
Allocation of assets at year end [Abstract]      
Weighted-average asset allocations of plans (in hundredths) 60.00% 62.00%  
Pension Plan [Member] | Equity Securities [Member]
     
Allocation of assets at year end [Abstract]      
Weighted-average asset allocations of plans (in hundredths) 40.00% 38.00%  
Target Allocation of Assets [Abstract]      
Target asset allocations, minimum (in hundredths) 0.00%    
Target asset allocations, maximum (in hundredths) 60.00%    
Pension Plan [Member] | Fixed Income [Member]
     
Target Allocation of Assets [Abstract]      
Target asset allocations, minimum (in hundredths) 40.00%    
Target asset allocations, maximum (in hundredths) 100.00%    
Pension Plan [Member] | Other [Member]
     
Allocation of assets at year end [Abstract]      
Weighted-average asset allocations of plans (in hundredths) 0.00% 0.00%  
Pension Plan [Member] | Cash Equivalents [Member]
     
Target Allocation of Assets [Abstract]      
Target asset allocations, minimum (in hundredths) 0.00%    
Target asset allocations, maximum (in hundredths) 10.00%    
Pension Plan [Member] | Level 1 [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 165,387,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 165,387,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 165,387,000    
Pension Plan [Member] | Level 1 [Member] | Domestic Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 45,071,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 45,071,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 45,071,000    
Pension Plan [Member] | Level 1 [Member] | Common Stocks [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 54,210,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 54,210,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 54,210,000    
Pension Plan [Member] | Level 1 [Member] | Corporate Bond [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 1 [Member] | U.S. Government Securities [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 25,859,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 25,859,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 25,859,000    
Pension Plan [Member] | Level 1 [Member] | Municipals [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 1 [Member] | Foreign Bonds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 1 [Member] | Foreign Stocks [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 768,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 768,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 768,000    
Pension Plan [Member] | Level 1 [Member] | International Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 39,479,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 39,479,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 39,479,000    
Pension Plan [Member] | Level 2 [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 174,948,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 174,948,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 174,948,000    
Pension Plan [Member] | Level 2 [Member] | Domestic Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 2 [Member] | Common Stocks [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 2 [Member] | Corporate Bond [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 130,643,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 130,643,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 130,643,000    
Pension Plan [Member] | Level 2 [Member] | U.S. Government Securities [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 2 [Member] | Municipals [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 26,595,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 26,595,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 26,595,000    
Pension Plan [Member] | Level 2 [Member] | Foreign Bonds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 17,710,000    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 17,710,000    
Assets at Fair Value [Abstract]      
Total Assets at fair value 17,710,000    
Pension Plan [Member] | Level 2 [Member] | Foreign Stocks [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 2 [Member] | International Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 3 [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 3 [Member] | Domestic Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 3 [Member] | Common Stocks [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 3 [Member] | Corporate Bond [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 3 [Member] | U.S. Government Securities [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 3 [Member] | Municipals [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 3 [Member] | Foreign Bonds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 3 [Member] | Foreign Stocks [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value 0    
Pension Plan [Member] | Level 3 [Member] | International Mutual Funds [Member]
     
Funded Status/Asset (Liability) on the Consolidated Balance Sheet [Abstract]      
Plan Assets at Fair Value 0    
Change in Plan Assets [Roll Forward]      
Fair Value of Plan Assets at End of Year 0    
Assets at Fair Value [Abstract]      
Total Assets at fair value $ 0    
[1] In 2012, includes lump sum payments of $12.0 million from our pension plan to eligible participants, which were former employees with vested benefits of $100 thousand or less. Additional former employees may elect this option in 2013. In 2011, includes lump sum payments of $8.2 million from our pension plan to eligible participants, which were former employees with vested benefits of $50 thousand or less.