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CONSOLIDATED BALANCE SHEETS (USD $)
In Thousands, unless otherwise specified
Mar. 31, 2014
Dec. 31, 2013
ASSETS    
Cash and cash equivalents $ 52,498 $ 84,088
Restricted cash 1,032 1,697
Accounts receivable — net 45,619 56,184
Due from affiliates 56,131 43,587
Inventories 252,099 239,615
Prepaid and other current assets 35,201 32,276
Deferred taxes 13,614 13,614
Total current assets 456,194 471,061
Property, plant and equipment — net 1,239,893 1,247,661
Other assets 90,768 91,474
TOTAL 1,786,855 1,810,196
LIABILITIES:    
Accounts payable, trade 99,975 108,490
Due to affiliates 74,379 53,582
Accrued and other current liabilities 51,644 69,466
Accrued employee benefits costs 8,429 8,410
Industrial revenue bonds 7,815 7,815
Total current liabilities 242,242 247,763
Senior notes payable 246,615 246,528
Accrued pension benefits costs — less current portion 39,981 39,848
Accrued postretirement benefits costs — less current portion 131,196 129,284
Other liabilities 36,984 37,743
Deferred taxes 106,721 106,218
Total noncurrent liabilities 561,497 559,621
COMMITMENTS AND CONTINGENCIES (NOTE 10)      
SHAREHOLDERS' EQUITY:    
Series A Preferred stock (one cent par value, 5,000,000 shares authorized; 160,000 issued and 79,365 outstanding at March 31, 2014; 160,000 issued and 79,620 outstanding at December 31, 2013) 1 1
Common stock (one cent par value, 195,000,000 shares authorized; 93,557,964 issued and 88,771,443 outstanding at March 31, 2014; 93,496,798 issued and 88,710,277 outstanding at December 31, 2013) 936 935
Additional paid-in capital 2,508,882 2,508,574
Treasury stock, at cost (49,924) (49,924)
Accumulated other comprehensive loss (91,733) (91,832)
Accumulated deficit (1,385,046) (1,364,942)
Total shareholders’ equity 983,116 1,002,812
TOTAL $ 1,786,855 $ 1,810,196