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Guarantor Financial Statements (Details 2) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Condensed Consolidating Statement of Cash Flows      
Net cash provided (used) by Operating activities $ 112,846 $ 140,307 $ 168,005
Investing activities      
Expenditures for purchases of plant, equipment and timberlands (58,752) (64,491) (36,491)
Proceeds from disposals plant, equipment and timberlands, net 10,272 4,491 564
Proceeds from timberland installment note receivable   43,170  
Repayments from (advances of) intercompany loans, net and other       
Acquisitions, net of cash acquired     (228,290)
Other (225)    
Total investing activities (48,705) (16,830) (264,217)
Financing activities      
Net (repayments of) proceeds from indebtedness 17,869 (114,056) 77,792
Payments of note offering costs (4,748) (1,672) (5,340)
Payment of dividends to shareholders (15,608) (16,611) (16,746)
Repurchases of common stock (5,675) (48,033)  
(Repayments) borrowings of intercompany loans, net       
Proceeds from stock options exercised and other 2,673 232 3,975
Total financing activities (5,489) (180,140) 59,681
Effect of exchange rate on cash 750 (848) (3,101)
Net increase (decrease) in cash 59,402 (57,511) (39,632)
Cash and cash equivalents at the beginning of period 38,277 95,788 135,420
Cash and cash equivalents at the end of period 97,679 38,277 95,788
Parent Company [Member]
     
Condensed Consolidating Statement of Cash Flows      
Net cash provided (used) by Operating activities 26,385 75,787 137,406
Investing activities      
Expenditures for purchases of plant, equipment and timberlands (23,064) (31,239) (23,367)
Proceeds from disposals plant, equipment and timberlands, net 662 627 124
Repayments from (advances of) intercompany loans, net and other 14,597 (11,924) (8,257)
Intercompany capital contributed     (143,520)
Other (225)    
Total investing activities (8,030) (42,536) (175,020)
Financing activities      
Net (repayments of) proceeds from indebtedness 17,869 (76,563) 81,000
Payments of note offering costs (4,748)    
Payment of dividends to shareholders (15,608) (16,611) (16,746)
Repurchases of common stock (5,675) (48,033)  
(Repayments) borrowings of intercompany loans, net 27,875 50,450 (40,292)
Proceeds from stock options exercised and other 2,673 232 3,975
Total financing activities 22,386 (92,197) 22,597
Effect of exchange rate on cash       
Net increase (decrease) in cash 40,741 (58,946) (15,017)
Cash and cash equivalents at the beginning of period 3,007 61,953 76,970
Cash and cash equivalents at the end of period 43,748 3,007 61,953
Guarantors [Member]
     
Condensed Consolidating Statement of Cash Flows      
Net cash provided (used) by Operating activities 5,360 1,705 (12,077)
Investing activities      
Expenditures for purchases of plant, equipment and timberlands (399) (124) (695)
Proceeds from disposals plant, equipment and timberlands, net 9,574 3,821 387
Repayments from (advances of) intercompany loans, net and other (4,518) (6,974) (105,294)
Intercompany capital contributed   (16,000) (24,995)
Other       
Total investing activities 4,657 (19,277) (130,597)
Financing activities      
Net (repayments of) proceeds from indebtedness       
Payments of note offering costs       
Payment of dividends to shareholders       
Repurchases of common stock       
(Repayments) borrowings of intercompany loans, net (8,600) 24,675 (425)
Intercompany capital received     143,520
Payment of inter-company dividend   4,300 (1,315)
Proceeds from stock options exercised and other       
Total financing activities (8,600) 20,375 141,780
Effect of exchange rate on cash       
Net increase (decrease) in cash 1,417 2,803 (894)
Cash and cash equivalents at the beginning of period 2,894 91 985
Cash and cash equivalents at the end of period 4,311 2,894 91
Non Guarantors [Member]
     
Condensed Consolidating Statement of Cash Flows      
Net cash provided (used) by Operating activities 81,101 67,115 43,991
Investing activities      
Expenditures for purchases of plant, equipment and timberlands (35,289) (33,128) (12,429)
Proceeds from disposals plant, equipment and timberlands, net 36 43 53
Proceeds from timberland installment note receivable   43,170  
Repayments from (advances of) intercompany loans, net and other (514) (7,600) 6,895
Acquisitions, net of cash acquired     (228,290)
Other       
Total investing activities (35,767) 2,485 (233,771)
Financing activities      
Net (repayments of) proceeds from indebtedness    (37,493) (3,208)
Payments of note offering costs       
Payment of dividends to shareholders       
Repurchases of common stock       
(Repayments) borrowings of intercompany loans, net (28,840) (48,627) 147,373
Intercompany capital received   16,000 24,995
Proceeds from stock options exercised and other       
Total financing activities (28,840) (70,120) 169,160
Effect of exchange rate on cash 750 (848) (3,101)
Net increase (decrease) in cash 17,244 (1,368) (23,721)
Cash and cash equivalents at the beginning of period 32,376 33,744 57,465
Cash and cash equivalents at the end of period 49,620 32,376 33,744
Adjustments/ Eliminations [Member]
     
Condensed Consolidating Statement of Cash Flows      
Net cash provided (used) by Operating activities    (4,300) (1,315)
Investing activities      
Expenditures for purchases of plant, equipment and timberlands       
Proceeds from disposals plant, equipment and timberlands, net       
Repayments from (advances of) intercompany loans, net and other (9,565) 26,498 106,656
Intercompany capital contributed   16,000 168,515
Acquisitions, net of cash acquired     0
Other       
Total investing activities (9,565) 42,498 275,171
Financing activities      
Net (repayments of) proceeds from indebtedness       
Payments of note offering costs       
Payment of dividends to shareholders       
Repurchases of common stock       
(Repayments) borrowings of intercompany loans, net 9,565 (26,498) (106,656)
Intercompany capital received   (16,000) (168,515)
Payment of inter-company dividend   (4,300) 1,315
Proceeds from stock options exercised and other       
Total financing activities 9,565 (38,198) (273,856)
Effect of exchange rate on cash       
Net increase (decrease) in cash       
Cash and cash equivalents at the beginning of period       
Cash and cash equivalents at the end of period