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Condensed consolidating financial information (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2013
Jun. 30, 2012
Mar. 31, 2012
Jun. 30, 2013
Jun. 30, 2012
Dec. 31, 2012
Guarantor Obligations [Line Items]            
Percentage of subsidiary guarantor owned by company (in hundredths)       100.00%    
Assets:            
Cash and cash equivalents $ 127,531 $ 156,512   $ 127,531 $ 156,512  
Restricted cash 978     978   258
Accounts receivable — net 84,067     84,067   50,667
Due from affiliates 24,964     24,964   37,870
Inventories 224,707 [1]     224,707 [1]   159,925 [1]
Prepaid and other current assets 41,446     41,446   34,975
Deferred taxes - current portion 19,613     19,613   19,726
Total current assets 523,306     523,306   487,397
Investment in subsidiaries 0     0   0
Property, plant and equipment — net 1,230,031     1,230,031   1,188,214
Due from affiliates – less current portion 0     0   0
Other assets 97,838     97,838   100,715
TOTAL 1,851,175     1,851,175   1,776,326
Liabilities and shareholders' equity:            
Accounts payable, trade 103,867     103,867   75,370
Due to affiliates 67,345     67,345   39,737
Accrued and other current liabilities 81,172     81,172   40,099
Accrued employee benefits costs — current portion 18,020     18,020   18,683
Industrial revenue bonds 7,815     7,815   7,815
Total current liabilities 278,219     278,219   181,704
Senior notes payable 248,961     248,961   250,582
Accrued pension benefit costs — less current portion 63,748     63,748   67,878
Accrued postretirement benefits costs — less current portion 142,978     142,978   143,105
Other liabilities/intercompany loan 37,056     37,056   40,162
Deferred taxes 111,318     111,318   110,252
Total noncurrent liabilities 604,061     604,061   611,979
Shareholders' equity:            
Convertible preferred stock 1     1   1
Common stock 934     934   933
Additional paid-in capital 2,507,996     2,507,996   2,507,454
Treasury stock, at cost (49,924)     (49,924)   (49,924)
Accumulated other comprehensive income (loss) (139,163)     (139,163)   (151,192)
Retained earnings (accumulated deficit) (1,350,949)     (1,350,949)   (1,324,629)
Total shareholders’ equity 968,895     968,895   982,643
Total 1,851,175     1,851,175   1,776,326
Net sales:            
Third-party customers 220,950 184,022   409,464 372,861  
Related parties 110,987 139,597   243,747 276,948  
Sales Revenue – net 331,937 323,619   653,211 649,809  
Cost of goods sold 337,635 317,662   641,327 623,260  
Gross profit (loss) (5,698) 5,957   11,884 26,549  
Other operating expenses – net 3,018 3,817   4,114 7,538  
Selling, general and administrative expenses (income) 15,154 7,151   31,453 15,610  
Operating income (loss) (23,870) (5,011)   (23,683) 3,401  
Interest expense – third party (6,224) (5,946)   (12,300) (11,924)  
Interest expense – affiliates 0 0   0 0  
Interest income – third party 186 113   317 251  
Interest income – affiliates 0 2   0 62  
Net gain on forward and derivative contracts 204 1,450   15,711 (3,709)  
Gain on bargain purchase 2,042 0   2,042 0  
Loss on early extinguishment of debt (3,272) 0   (3,272) 0  
Other income (expense) - net (1,284) 161   (1,214) 467  
Income (loss) before income taxes and equity in earnings (loss) of subsidiaries and joint ventures (32,218) (9,231)   (22,399) (11,452)  
Income tax expense (2,791) (3,395)   (5,308) (6,216)  
Income (loss) before equity in earnings (loss) of subsidiaries and joint ventures (35,009) (12,626)   (27,707) (17,668)  
Equity in earnings (loss) of subsidiaries and joint ventures 436 349   1,387 990  
Net loss (34,573) (12,277)   (26,320) (16,678)  
Other comprehensive income before income tax effect 11,517 2,148   12,794 3,286  
Income tax effect (383) (383)   (765) (765)  
Other comprehensive income (loss) 11,134 1,765   12,029 2,521  
Comprehensive income (loss) (23,439) (10,512)   (14,291) (14,157)  
CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS            
Net cash provided by (used in) operating activities       22,976 (1,615)  
Purchase of property, plant and equipment       (16,565) (6,165)  
Nordural expansion — Helguvik       (2,559) (3,586)  
Purchase of carbon anode assets and improvements       (3,670) (14,524)  
Purchase of Sebree smelter       (48,058) 0  
Investments in and advances to joint ventures       0 (200)  
Payments received on advances to joint ventures       0 3,166  
Proceeds from sale of property, plant and equipment       515 68  
Restricted and other cash deposits       (720) 0  
Net cash used in investing activities       (71,057) (21,241)  
Financing activities:            
Repayment of debt     0 (249,604)    
Proceeds from issuance of debt       246,330 0  
Repayment of contingent obligation       0    
Borrowings under revolving credit facility       0 18,076  
Repayments under revolving credit facility       0 (18,076)  
Debt issuance costs       (3,926) 0  
Debt retirement costs       (1,208) 0  
Intercompany transactions       0 0  
Repurchase of common stock       0 (4,033)  
Issuance of common stock — net     0 44    
Net cash provided by (used in) financing activities       (8,364) (4,033)  
Net change in cash and cash equivalents       (56,445) (26,889)  
Cash and cash equivalents, beginning of the period     183,401 183,976 183,401  
Cash and cash equivalents, end of the period 127,531 156,512   127,531 156,512  
Senior unsecured notes due August 15, 2014 [Member]
           
Guarantor Obligations [Line Items]            
Interest rate (in hundredths) 7.50%     7.50%    
Combined Guarantor Subsidiaries [Member]
           
Assets:            
Cash and cash equivalents 0 0   0 0  
Restricted cash 0     0   258
Accounts receivable — net 75,509     75,509   38,328
Due from affiliates 601,495     601,495   604,008
Inventories 157,976     157,976   97,847
Prepaid and other current assets 4,994     4,994   4,421
Deferred taxes - current portion 0     0   0
Total current assets 839,974     839,974   744,862
Investment in subsidiaries 38,810     38,810   40,335
Property, plant and equipment — net 357,738     357,738   313,090
Due from affiliates – less current portion 0     0   0
Other assets 17,606     17,606   17,616
TOTAL 1,254,128     1,254,128   1,115,903
Liabilities and shareholders' equity:            
Accounts payable, trade 67,123     67,123   37,301
Due to affiliates 2,158,509     2,158,509   2,098,320
Accrued and other current liabilities 51,544     51,544   13,031
Accrued employee benefits costs — current portion 15,035     15,035   15,926
Industrial revenue bonds 7,815     7,815   7,815
Total current liabilities 2,300,026     2,300,026   2,172,393
Senior notes payable 0     0   0
Accrued pension benefit costs — less current portion 32,518     32,518   36,087
Accrued postretirement benefits costs — less current portion 136,554     136,554   137,184
Other liabilities/intercompany loan 58,329     58,329   65,377
Deferred taxes 0     0   0
Total noncurrent liabilities 227,401     227,401   238,648
Shareholders' equity:            
Convertible preferred stock 0     0   0
Common stock 60     60   60
Additional paid-in capital 355,467     355,467   303,659
Treasury stock, at cost 0     0   0
Accumulated other comprehensive income (loss) (134,056)     (134,056)   (146,862)
Retained earnings (accumulated deficit) (1,494,770)     (1,494,770)   (1,451,995)
Total shareholders’ equity (1,273,299)     (1,273,299)   (1,295,138)
Total 1,254,128     1,254,128   1,115,903
Net sales:            
Third-party customers 173,986 131,721   311,084 267,575  
Related parties 51,651 76,469   118,280 150,999  
Sales Revenue – net 225,637 208,190   429,364 418,574  
Cost of goods sold 250,395 223,297   461,580 430,233  
Gross profit (loss) (24,758) (15,107)   (32,216) (11,659)  
Other operating expenses – net 3,018 3,817   4,114 7,538  
Selling, general and administrative expenses (income) 11,755 8,238   24,644 16,217  
Operating income (loss) (39,531) (27,162)   (60,974) (35,414)  
Interest expense – third party (6,224) (5,946)   (12,300) (11,924)  
Interest expense – affiliates 14,521 16,030   29,017 32,248  
Interest income – third party 17 3   31 14  
Interest income – affiliates   0     0  
Net gain on forward and derivative contracts 204 1,450   15,711 (3,709)  
Gain on bargain purchase 2,042     2,042    
Loss on early extinguishment of debt (3,272)     (3,272)    
Other income (expense) - net (128) (6)   (9) 798  
Income (loss) before income taxes and equity in earnings (loss) of subsidiaries and joint ventures (32,371) (15,631)   (29,754) (17,987)  
Income tax expense (660) (432)   (7,762) (685)  
Income (loss) before equity in earnings (loss) of subsidiaries and joint ventures (33,031) (16,063)   (37,516) (18,672)  
Equity in earnings (loss) of subsidiaries and joint ventures (3,044) 386   (5,266) 156  
Net loss (36,075) (15,677)   (42,782) (18,516)  
Other comprehensive income before income tax effect 10,006 1,617   11,090 2,275  
Income tax effect (357) (373)   (748) (74)  
Other comprehensive income (loss) 9,649 1,244   10,342 2,201  
Comprehensive income (loss) (26,426) (14,433)   (32,440) (16,315)  
CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS            
Net cash provided by (used in) operating activities       34,027 (19,534)  
Purchase of property, plant and equipment       (5,240) (3,231)  
Nordural expansion — Helguvik       0 0  
Purchase of carbon anode assets and improvements       0 (14,524)  
Purchase of Sebree smelter       (48,058)    
Investments in and advances to joint ventures         0  
Payments received on advances to joint ventures         0  
Proceeds from sale of property, plant and equipment       0 10  
Restricted and other cash deposits       258    
Net cash used in investing activities       (53,040) (17,745)  
Financing activities:            
Repayment of debt       (3,274)    
Proceeds from issuance of debt       246,330    
Repayment of contingent obligation       (249,604)    
Borrowings under revolving credit facility         0  
Repayments under revolving credit facility         0  
Debt issuance costs       0    
Debt retirement costs       0    
Intercompany transactions       25,561 37,279  
Repurchase of common stock         0  
Issuance of common stock — net       0    
Net cash provided by (used in) financing activities       19,013 37,279  
Net change in cash and cash equivalents       0 0  
Cash and cash equivalents, beginning of the period     0 0 0  
Cash and cash equivalents, end of the period 0 0   0 0  
Combined Non-Guarantor Subsidiaries [Member]
           
Assets:            
Cash and cash equivalents 82,104 138,699   82,104 138,699  
Restricted cash 978     978   0
Accounts receivable — net 8,558     8,558   12,339
Due from affiliates 38,482     38,482   38,328
Inventories 66,731     66,731   62,078
Prepaid and other current assets 31,369     31,369   30,650
Deferred taxes - current portion 19,726     19,726   17,799
Total current assets 247,948     247,948   271,210
Investment in subsidiaries 0     0   0
Property, plant and equipment — net 871,435     871,435   874,559
Due from affiliates – less current portion 29,926     29,926   3,588
Other assets 52,291     52,291   45,474
TOTAL 1,201,600     1,201,600   1,194,831
Liabilities and shareholders' equity:            
Accounts payable, trade 35,551     35,551   37,627
Due to affiliates 129,236     129,236   105,945
Accrued and other current liabilities 24,620     24,620   31,332
Accrued employee benefits costs — current portion 0     0   0
Industrial revenue bonds 0     0   0
Total current liabilities 189,407     189,407   174,904
Senior notes payable 0     0   0
Accrued pension benefit costs — less current portion 0     0   0
Accrued postretirement benefits costs — less current portion 0     0   0
Other liabilities/intercompany loan 590,678     590,678   614,585
Deferred taxes 110,318     110,318   109,011
Total noncurrent liabilities 700,996     700,996   723,596
Shareholders' equity:            
Convertible preferred stock 0     0   0
Common stock 12     12   12
Additional paid-in capital 154,493     154,493   150,743
Treasury stock, at cost 0     0   0
Accumulated other comprehensive income (loss) (1,602)     (1,602)   (1,525)
Retained earnings (accumulated deficit) 158,294     158,294   147,101
Total shareholders’ equity 311,197     311,197   296,331
Total 1,201,600     1,201,600   1,194,831
Net sales:            
Third-party customers 46,964 52,301   98,380 105,286  
Related parties 59,336 63,128   125,467 125,949  
Sales Revenue – net 106,300 115,429   223,847 231,235  
Cost of goods sold 87,240 94,365   179,747 193,027  
Gross profit (loss) 19,060 21,064   44,100 38,208  
Other operating expenses – net 0 0   0 0  
Selling, general and administrative expenses (income) 3,399 (1,087)   6,809 (607)  
Operating income (loss) 15,661 22,151   37,291 38,815  
Interest expense – third party 0 0   0 0  
Interest expense – affiliates (14,521) (16,030)   (29,017) (32,248)  
Interest income – third party 169 110   286 237  
Interest income – affiliates   2     62  
Net gain on forward and derivative contracts 0 0   0 0  
Gain on bargain purchase 0     0    
Loss on early extinguishment of debt 0     0    
Other income (expense) - net (1,156) 167   (1,205) (331)  
Income (loss) before income taxes and equity in earnings (loss) of subsidiaries and joint ventures 153 6,400   7,355 6,535  
Income tax expense (2,131) (2,963)   2,454 (5,531)  
Income (loss) before equity in earnings (loss) of subsidiaries and joint ventures (1,978) 3,437   9,809 1,004  
Equity in earnings (loss) of subsidiaries and joint ventures 436 349   1,387 990  
Net loss (1,542) 3,786   11,196 1,994  
Other comprehensive income before income tax effect (46) (46)   (93) (93)  
Income tax effect 8 8   17 17  
Other comprehensive income (loss) (38) (38)   (76) (76)  
Comprehensive income (loss) (1,580) 3,748   11,120 1,918  
CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS            
Net cash provided by (used in) operating activities       (11,051) 17,919  
Purchase of property, plant and equipment       (10,751) (2,879)  
Nordural expansion — Helguvik       (2,559) (3,586)  
Purchase of carbon anode assets and improvements       (3,670) 0  
Purchase of Sebree smelter       0    
Investments in and advances to joint ventures         0  
Payments received on advances to joint ventures         0  
Proceeds from sale of property, plant and equipment       515 58  
Restricted and other cash deposits       (978)    
Net cash used in investing activities       (17,443) (6,407)  
Financing activities:            
Repayment of debt       0    
Proceeds from issuance of debt       0    
Repayment of contingent obligation             
Borrowings under revolving credit facility         0  
Repayments under revolving credit facility         0  
Debt issuance costs       0    
Debt retirement costs       0    
Intercompany transactions       582 (31,970)  
Repurchase of common stock         0  
Issuance of common stock — net       0    
Net cash provided by (used in) financing activities       582 (31,970)  
Net change in cash and cash equivalents       (27,912) (20,458)  
Cash and cash equivalents, beginning of the period     159,157 110,016 159,157  
Cash and cash equivalents, end of the period 82,104 138,699   82,104 138,699  
Century Aluminum Company [Member]
           
Assets:            
Cash and cash equivalents 45,427 17,813   45,427 17,813  
Restricted cash 0     0   0
Accounts receivable — net 0     0   0
Due from affiliates 2,387,611     2,387,611   2,391,249
Inventories 0     0   0
Prepaid and other current assets 5,083     5,083   8,063
Deferred taxes - current portion 0     0   0
Total current assets 2,438,121     2,438,121   2,473,272
Investment in subsidiaries (1,000,911)     (1,000,911)   (1,039,141)
Property, plant and equipment — net 1,258     1,258   916
Due from affiliates – less current portion 0     0   0
Other assets 32,793     32,793   37,027
TOTAL 1,471,261     1,471,261   1,472,074
Liabilities and shareholders' equity:            
Accounts payable, trade 1,193     1,193   442
Due to affiliates 196,918     196,918   193,788
Accrued and other current liabilities 12,681     12,681   1,967
Accrued employee benefits costs — current portion 2,985     2,985   2,757
Industrial revenue bonds 0     0   0
Total current liabilities 213,777     213,777   198,954
Senior notes payable 248,961     248,961   250,582
Accrued pension benefit costs — less current portion 31,230     31,230   31,791
Accrued postretirement benefits costs — less current portion 6,424     6,424   5,921
Other liabilities/intercompany loan 1,974     1,974   2,183
Deferred taxes 0     0   0
Total noncurrent liabilities 288,589     288,589   290,477
Shareholders' equity:            
Convertible preferred stock 1     1   1
Common stock 934     934   933
Additional paid-in capital 2,507,996     2,507,996   2,507,454
Treasury stock, at cost (49,924)     (49,924)   (49,924)
Accumulated other comprehensive income (loss) (139,163)     (139,163)   (151,192)
Retained earnings (accumulated deficit) (1,350,949)     (1,350,949)   (1,324,629)
Total shareholders’ equity 968,895     968,895   982,643
Total 1,471,261     1,471,261   1,472,074
Net sales:            
Third-party customers 0 0   0 0  
Related parties 0 0   0 0  
Sales Revenue – net 0 0   0 0  
Cost of goods sold 0 0   0 0  
Gross profit (loss) 0 0   0 0  
Other operating expenses – net 0 0   0 0  
Selling, general and administrative expenses (income) 0 0   0 0  
Operating income (loss) 0 0   0 0  
Interest expense – third party 0 0   0 0  
Interest expense – affiliates 0 0   0 0  
Interest income – third party 0 0   0 0  
Interest income – affiliates   0     0  
Net gain on forward and derivative contracts 0 0   0 0  
Gain on bargain purchase 0     0    
Loss on early extinguishment of debt 0     0    
Other income (expense) - net 0 0   0 0  
Income (loss) before income taxes and equity in earnings (loss) of subsidiaries and joint ventures 0 0   0 0  
Income tax expense 0 0   0 0  
Income (loss) before equity in earnings (loss) of subsidiaries and joint ventures 0 0   0 0  
Equity in earnings (loss) of subsidiaries and joint ventures (34,573) (12,277)   (26,320) (16,678)  
Net loss (34,573) (12,277)   (26,320) (16,678)  
Other comprehensive income before income tax effect 11,517 2,148   12,794 3,286  
Income tax effect (383) (383)   (765) (765)  
Other comprehensive income (loss) 11,134 1,765   12,029 2,521  
Comprehensive income (loss) (23,439) (10,512)   (14,291) (14,157)  
CONDENSED CONSOLIDATING STATEMENT OF CASH FLOWS            
Net cash provided by (used in) operating activities       0 0  
Purchase of property, plant and equipment       (574) (55)  
Nordural expansion — Helguvik       0 0  
Purchase of carbon anode assets and improvements       0 0  
Purchase of Sebree smelter       0    
Investments in and advances to joint ventures         (200)  
Payments received on advances to joint ventures         3,166  
Proceeds from sale of property, plant and equipment       0 0  
Restricted and other cash deposits       0    
Net cash used in investing activities       (574) 2,911  
Financing activities:            
Repayment of debt       (246,330)    
Proceeds from issuance of debt       0    
Repayment of contingent obligation       249,604    
Borrowings under revolving credit facility         18,076  
Repayments under revolving credit facility         (18,076)  
Debt issuance costs       (3,926)    
Debt retirement costs       (1,208)    
Intercompany transactions       (26,143) (5,309)  
Repurchase of common stock         (4,033)  
Issuance of common stock — net       44    
Net cash provided by (used in) financing activities       (27,959) (9,342)  
Net change in cash and cash equivalents       (28,533) (6,431)  
Cash and cash equivalents, beginning of the period     24,244 73,960 24,244  
Cash and cash equivalents, end of the period 45,427 17,813   45,427 17,813  
Reclassifications and Eliminations [Member]
           
Assets:            
Cash and cash equivalents 0     0    
Restricted cash 0     0   0
Accounts receivable — net 0     0   0
Due from affiliates (3,002,624)     (3,002,624)   (2,995,715)
Inventories 0     0   0
Prepaid and other current assets 0     0   (8,159)
Deferred taxes - current portion (113)     (113)   1,927
Total current assets (3,002,737)     (3,002,737)   (3,001,947)
Investment in subsidiaries 962,101     962,101   998,806
Property, plant and equipment — net (400)     (400)   (351)
Due from affiliates – less current portion (29,926)     (29,926)   (3,588)
Other assets (4,852)     (4,852)   598
TOTAL (2,075,814)     (2,075,814)   (2,006,482)
Liabilities and shareholders' equity:            
Accounts payable, trade 0     0   0
Due to affiliates (2,417,318)     (2,417,318)   (2,358,316)
Accrued and other current liabilities (7,673)     (7,673)   (6,231)
Accrued employee benefits costs — current portion 0     0   0
Industrial revenue bonds 0     0   0
Total current liabilities (2,424,991)     (2,424,991)   (2,364,547)
Senior notes payable 0     0   0
Accrued pension benefit costs — less current portion 0     0   0
Accrued postretirement benefits costs — less current portion 0     0   0
Other liabilities/intercompany loan (613,925)     (613,925)   (641,983)
Deferred taxes 1,000     1,000   1,241
Total noncurrent liabilities (612,925)     (612,925)   (640,742)
Shareholders' equity:            
Convertible preferred stock 0     0   0
Common stock (72)     (72)   (72)
Additional paid-in capital (509,960)     (509,960)   (454,402)
Treasury stock, at cost 0     0   0
Accumulated other comprehensive income (loss) 135,658     135,658   148,387
Retained earnings (accumulated deficit) 1,336,476     1,336,476   1,304,894
Total shareholders’ equity 962,102     962,102   998,807
Total (2,075,814)     (2,075,814)   (2,006,482)
Net sales:            
Third-party customers 0 0   0 0  
Related parties 0 0   0 0  
Sales Revenue – net 0 0   0 0  
Cost of goods sold 0 0   0 0  
Gross profit (loss) 0 0   0 0  
Other operating expenses – net 0 0   0 0  
Selling, general and administrative expenses (income) 0 0   0 0  
Operating income (loss) 0 0   0 0  
Interest expense – third party 0 0   0 0  
Interest expense – affiliates 0 0   0 0  
Interest income – third party 0 0   0 0  
Interest income – affiliates   0     0  
Net gain on forward and derivative contracts 0 0   0 0  
Gain on bargain purchase 0     0    
Loss on early extinguishment of debt 0     0    
Other income (expense) - net 0 0   0 0  
Income (loss) before income taxes and equity in earnings (loss) of subsidiaries and joint ventures 0 0   0 0  
Income tax expense 0 0   0 0  
Income (loss) before equity in earnings (loss) of subsidiaries and joint ventures 0 0   0 0  
Equity in earnings (loss) of subsidiaries and joint ventures 37,617 11,891   31,586 16,522  
Net loss 37,617 11,891   31,586 16,522  
Other comprehensive income before income tax effect (9,960) (1,571)   (10,997) (2,182)  
Income tax effect 349 365   731 57  
Other comprehensive income (loss) (9,611) (1,206)   (10,266) (2,125)  
Comprehensive income (loss) 28,006 10,685   21,320 14,397  
Financing activities:            
Cash and cash equivalents, beginning of the period       0    
Cash and cash equivalents, end of the period $ 0     $ 0    
[1] (1)The balance at June 30, 2013 includes inventory acquired with the purchase of Sebree. See Note 2 Acquisition of Sebree aluminum smelter for additional information about the Sebree acquisition.