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Employee Benefits (Tables)
12 Months Ended
Dec. 31, 2013
Employee Benefits  
Summary of benefit payments under various defined benefit plans, which reflect expected future employee service, as appropriate, expected to be paid in the future periods
  SERP's   Defined
Benefit Plans
  Postretirement
Medical Plans
 
 
  (in millions)
 

2014

  $ 3.6   $ 3.5   $ 0.9  

2015

    1.3     3.7     0.9  

2016

    1.2     4.1     0.9  

2017

    13.1     4.0     1.1  

2018

    1.7     4.2     1.0  

2019 - 2023

    12.4     25.2     6.3  
Amounts in accumulated other comprehensive income that are expected to be recognized as components of net periodic benefit cost during 2014
  SERP's   Defined
Benefit Plans
  Postretirement
Medical Plans
 
 
  (in millions)
 

Actuarial loss

  $ 0.7   $ 0.4   $ 0.4  

Prior service (credit) cost

    (0.4 )   0.2     (1.7 )
               

Total

  $ 0.3   $ 0.6   $ (1.3 )
               
               
Schedule of Company's expense (credit) for Reliance-sponsored retirement plans
  Year Ended December 31,  
 
  2013   2012   2011  
 
  (in millions)
 

Master Plan

  $ 18.4   $ 19.0   $ 16.9  

Other Defined Contribution Plans

    7.8     4.8     3.9  

Employee Stock Ownership Plan

    1.4     1.4     1.4  

Deferred Compensation Plan

    0.6     0.5     0.5  

Supplemental Executive Retirement Plans

    3.2     2.9     2.0  

Defined Benefit Plans

    2.4     2.4     0.7  

Postretirement Medical Plans

    (0.7 )   (0.5 )   1.8  
               

 

  $ 33.1   $ 30.5   $ 27.2  
               
               
SERP's and Defined Benefit Plans
 
Employee Benefits  
Summary of the status of the funding of the plans, change in plan assets and items not yet recognized as a component of net periodic pension expense
  SERP's   Defined Benefit Plans  
 
  2013   2012   2013   2012  
 
  (in millions)
  (in millions)
 

Change in benefit obligation

                         

Benefit obligation at beginning of year

  $ 40.7   $ 36.2   $ 85.0   $ 78.1  

Service cost

    0.9     0.9     1.4     1.2  

Interest cost

    1.5     1.5     3.4     3.3  

Actuarial (gain) loss

    (3.1 )   3.4     (7.3 )   4.4  

Change in assumptions

            (1.4 )   0.8  

Benefits paid

    (1.3 )   (1.3 )   (2.9 )   (3.1 )

Assumed in acquisition

            3.5      

Plan amendments

            0.3     0.3  
                   

Benefit obligation at end of year

  $ 38.7   $ 40.7   $ 82.0   $ 85.0  

Change in plan assets

   
 
   
 
   
 
   
 
 

Fair value of plan assets

    N/A     N/A     58.9     53.1  

Acquired in acquisition

    N/A     N/A     2.5      

Actual return on plan assets

    N/A     N/A     9.7     5.9  

Employer contributions

    N/A     N/A     2.0     3.1  

Benefits paid

    N/A     N/A     (2.9 )   (3.2 )
                   

Fair value of plan assets at end of year

    N/A     N/A     70.2     58.9  

Funded status

   
 
   
 
   
 
   
 
 

Funded status of the plans

  $ (38.7 ) $ (40.7 ) $ (11.8 ) $ (26.1 )
                   
                   

Items not yet recognized as component of net periodic pension expense

   
 
   
 
   
 
   
 
 

Unrecognized net actuarial losses

  $ 8.8   $ 13.1   $ 10.5   $ 26.4  

Unamortized prior service (credit) cost

    (0.7 )   (1.2 )   1.5     1.3  
                   

 

  $ 8.1   $ 11.9   $ 12.0   $ 27.7  
                   
                   
Schedule of amounts recognized in the statement of financial position
  SERP's   Defined Benefit
Plans
 
 
  2013   2012   2013   2012  
 
  (in millions)
  (in millions)
 

Amounts recognized in the statement of financial position

                         

Current liabilities

  $ (3.6 ) $ (1.4 ) $   $  

Noncurrent liabilities

    (35.1 )   (39.3 )   (11.8 )   (26.1 )

Accumulated other comprehensive loss

    8.1     11.9     12.0     27.7  
                   

Net amount recognized

  $ (30.6 ) $ (28.8 ) $ 0.2   $ 1.6  
                   
                   
Schedule of details of net periodic pension (credit) expense
  SERP's   Defined Benefit Plans  
 
  Year Ended
December 31,
  Year Ended
December 31,
 
 
  2013   2012   2011   2013   2012   2011  
 
  (in millions)
  (in millions)
 

Service cost

  $ 0.9   $ 0.9   $ 0.7   $ 1.4   $ 1.2   $ 1.0  

Interest cost

    1.5     1.5     1.5     3.4     3.3     3.4  

Expected return on plan assets

                (4.4 )   (4.0 )   (4.3 )

Curtailment/settlement expense

                    0.2     0.1  

Prior service (credit) cost

    (0.5 )   (0.5 )   (0.4 )   0.2     0.2     0.1  

Amortization of net loss

    1.3     1.0     0.2     1.8     1.5     0.4  
                           

 

  $ 3.2   $ 2.9   $ 2.0   $ 2.4   $ 2.4   $ 0.7  
                           
                           
Schedule of assumptions used to determine net periodic benefit cost
  SERP's   Defined Benefit Plans  
 
  Year Ended
December 31,
  Year Ended
December 31,
 
 
  2013   2012   2011   2013   2012   2011  

Weighted average assumptions to determine net cost

                                     

Discount rate

    3.73 %   4.22 %   5.40 %   4.00 %   4.25 %   5.29 %

Expected long-term rate of return on plan assets

    N/A     N/A     N/A     7.30 %   7.43 %   7.95 %

Rate of compensation increase

    6.00 %   6.00 %   6.00 %   N/A     N/A     N/A  
Schedule of assumptions used to determine the benefit obligation
  SERP's   Defined
Benefit Plans
 
 
  December 31,   December 31,  
 
  2013   2012   2013   2012  

Weighted average assumptions to determine benefit obligations

                         

Discount rate

    4.05 %   3.64 %   4.70 %   3.89 %

Expected long-term rate of return on plan assets

    N/A     N/A     7.30 %   7.43 %

Rate of compensation increase

    6.00 %   6.00 %   N/A     N/A  
Postretirement Medical Plans
 
Employee Benefits  
Summary of the status of the funding of the plans, change in plan assets and items not yet recognized as a component of net periodic pension expense
  Year Ended
December 31,
 
 
  2013   2012  
 
  (in millions)
 

Change in benefit obligation

             

Benefit obligation at beginning of year

  $ 10.1   $ 11.9  

Service cost

    0.2     0.4  

Interest cost

    0.2     0.4  

Plan amendments

         

Curtailment

        (2.1 )

Benefit payments

    (0.2 )   (0.3 )

Actuarial gain

    (0.4 )   (0.2 )
           

Benefit obligation at end of year

  $ 9.9   $ 10.1  
           

Unfunded status

  $ (9.9 ) $ (10.1 )
           
           

Amounts recognized in the statement of financial position

             

Current liabilities

  $ (0.7 ) $ (0.7 )

Noncurrent liabilities

    (9.2 )   (9.3 )

Accumulated other comprehensive income

    (2.9 )   (3.7 )
           

Net amount recognized

  $ (12.8 ) $ (13.7 )
           
           

Items not yet recognized as component of net periodic pension expense

             

Unrecognized net actuarial losses

  $ 3.4   $ 4.3  

Unrecognized prior service credit

    (6.3 )   (8.0 )
           

Accumulated other comprehensive income

  $ (2.9 ) $ (3.7 )
           
           
Schedule of details of net periodic pension (credit) expense
  Year Ended
December 31,
 
 
  2013   2012   2011  
 
  (in millions)
 

Service cost

  $ 0.2   $ 0.3   $ 0.9  

Interest cost

    0.2     0.3     0.9  

Amortization of net loss

    0.6     0.6     0.4  

Amortization of prior service credit

    (1.7 )   (1.7 )   (0.4 )
               

 

  $ (0.7 ) $ (0.5 ) $ 1.8  
               
               
Schedule of assumptions used to determine net periodic benefit cost
  Year Ended December 31,  
 
  2013   2012   2011  

Weighted average assumptions to determine net cost

                   

Discount rate

    2.25 %   3.53 %   5.17 %

Health care cost trend rate

    9.00 %   9.50 %   10.00 %

Rate to which the cost trend rate is assumed to decline

    4.25 %   4.50 %   4.50 %

Year that the rate reaches the ultimate trend rate

    2032     2031     2030  
Schedule of assumptions used to determine the benefit obligation
  December 31,  
 
  2013   2012  

Weighted average assumptions to determine benefit obligations

             

Discount rate

    3.10 %   2.25 %

Health care cost trend rate

    9.00 %   9.00 %

Rate to which the cost trend rate is assumed to decline

    4.25 %   4.25 %

Year that the rate reaches the ultimate trend rate

    2033     2032  
Schedule of effects of one-percentage-point change in assumed health care cost trend rates
 
  Year Ended December 31,
2013
  Year Ended December 31,
2012
 
 
  1% Increase   1% Decrease   1% Increase   1% Decrease  
 
  (in millions)
  (in millions)
 

Effect on total service and interest cost components

  $ 0.1   $ (0.1 ) $ 0.1   $ (0.1 )

Effect on postretirement benefit obligation

    0.5     (0.5 )   0.6     (0.6 )
Defined Benefit Plans
 
Employee Benefits  
Schedule of information for defined benefit plans with an accumulated benefit obligation and projected benefit obligation in excess of plan assets
  Year Ended
December 31,
 
 
  2013   2012  
 
  (in millions)
 

Information for defined benefit plans with an accumulated benefit obligation and projected benefit obligation in excess of plan assets

             

Accumulated benefit obligation

  $ 80.6   $ 85.0  

Projected benefit obligation

    80.6     85.0  

Fair value of plan assets

    68.9     58.9  
Schedule of weighted-average asset allocations of the Company's Defined Benefit Plans by asset category
  December 31,  
 
  2013   2012  

Plan Assets

             

Equity securities

    61 %   61 %

Debt securities

    37 %   36 %

Other

    2 %   3 %
           

Total

    100 %   100 %
           
Schedule of fair value measurements of Defined Benefit Plan assets
  Level 1   Level 2   Level 3   Total  
 
  (in millions)
 

December 31, 2013:

                         

Common stock(1)

  $ 25.6   $   $   $ 25.6  

U.S. government, state, and agency

        6.3         6.3  

Corporate debt securities(2)

        8.4         8.4  

Mutual funds(3)

    27.9     0.4         28.3  

Interest and non-interest bearing cash

    1.6             1.6  
                   

 

  $ 55.1   $ 15.1   $   $ 70.2  
                   
                   

December 31, 2012:

                         

Common stock(1)

  $ 22.7   $   $   $ 22.7  

U.S. government, state, and agency

        8.1         8.1  

Corporate debt securities(2)

        7.9         7.9  

Mutual funds(3)

    18.0     0.6         18.6  

Interest and non-interest bearing cash

    1.6             1.6  
                   

 

  $ 42.3   $ 16.6   $   $ 58.9  
                   
                   

(1)
Comprised primarily of securities of large domestic and foreign companies. Valued at the closing price reported on the active market on which the individual securities are traded.

(2)
Valued using a combination of inputs including: benchmark yields, reported trades, broker/dealer quotes, issuer spreads, two-sided markets, benchmark securities, bids, offers, and reference data.

(3)
Level 1 assets are comprised of exchange traded funds, money market funds, and stock and bond funds. These assets are valued at closing price for exchange traded funds and Net Asset Value (NAV) for open-end and closed-end mutual funds. Level 2 assets are comprised of fixed income funds and pooled separate accounts and are valued at the net asset value per unit based on either the observable net asset value of the underlying investment or the net asset value of the underlying pool of securities.