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Fair Values of Pension Plan Assets (Parenthetical) (Detail)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Schedule Of Pension Plan Assets By Fair Value [Line Items]    
Maximum percentage of net assets invested in emerging market 30.00%  
Equity Hedge Based Funds
   
Schedule Of Pension Plan Assets By Fair Value [Line Items]    
Percentage of net assets invested in funds 28.00% 22.00%
Tactical Directional Based Funds
   
Schedule Of Pension Plan Assets By Fair Value [Line Items]    
Percentage of net assets invested in funds 18.00% 30.00%
Relative Value Based Funds
   
Schedule Of Pension Plan Assets By Fair Value [Line Items]    
Percentage of net assets invested in funds 25.00% 25.00%
Event Driven Strategy
   
Schedule Of Pension Plan Assets By Fair Value [Line Items]    
Percentage of net assets invested in funds 23.00% 17.00%
High Yield Fixed Income
   
Schedule Of Pension Plan Assets By Fair Value [Line Items]    
Percentage of net assets invested 80.00%  
Fixed Income Securities
   
Schedule Of Pension Plan Assets By Fair Value [Line Items]    
Percentage of net assets invested 80.00%  
Foreign Companies
   
Schedule Of Pension Plan Assets By Fair Value [Line Items]    
Percentage of net assets invested in foreign equity securities 80.00%  
Cash
   
Schedule Of Pension Plan Assets By Fair Value [Line Items]    
Percentage of net assets invested in funds 6.00% 6.00%
U.S. Russell 2500 Index | Small and Mid-Sized Companies | Equity Securities
   
Schedule Of Pension Plan Assets By Fair Value [Line Items]    
Percentage of net assets invested 80.00%