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Guarantor Financial Statements (Details 2) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Mar. 31, 2013
Mar. 31, 2012
Condensed Consolidating Statement of Cash Flows    
Net cash provided (used) by Operating activities $ 15,795 $ 9,743
Investing activities    
Expenditures for plant, equipment and timberlands (31,391) (14,152)
Proceeds from disposals of plant, equipment and timberlands, net 73 49
Repayments from (advances of) intercompany loans, net and other     
Intercompany capital contributed     
Other (175)  
Total investing activities (31,493) (14,103)
Financing activities    
Payments of note offering costs (108)  
Net (repayments of) proceeds from indebtedness   (5,000)
Repurchase of common stocks   (1,204)
Payment of dividends to shareholders (3,905) (3,898)
(Repayments) borrowings of intercompany loans, net     
Intercompany capital received     
(Payments for) proceeds from share-based compensation awards and other (586) 629
Total financing activities (4,599) (9,473)
Effect of exchange rate on cash (942) 455
Net increase (decrease) in cash (21,239) (13,378)
Cash and cash equivalents at the beginning of period 97,679 38,277
Cash and cash equivalents at the end of period 76,440 24,899
Parent Company [Member]
   
Condensed Consolidating Statement of Cash Flows    
Net cash provided (used) by Operating activities 7,688 (2,148)
Investing activities    
Expenditures for plant, equipment and timberlands (11,763) (4,597)
Proceeds from disposals of plant, equipment and timberlands, net    26
Repayments from (advances of) intercompany loans, net and other (1,100) 3,373
Intercompany capital contributed     
Other (175)  
Total investing activities (13,038) (1,198)
Financing activities    
Payments of note offering costs (108)  
Net (repayments of) proceeds from indebtedness   (5,000)
Repurchase of common stocks   (1,204)
Payment of dividends to shareholders (3,905) (3,898)
(Repayments) borrowings of intercompany loans, net 6,350 10,400
Intercompany capital received     
(Payments for) proceeds from share-based compensation awards and other (586) 602
Total financing activities 1,751 900
Effect of exchange rate on cash     
Net increase (decrease) in cash (3,599) (2,446)
Cash and cash equivalents at the beginning of period 43,748 3,007
Cash and cash equivalents at the end of period 40,149 561
Guarantors [Member]
   
Condensed Consolidating Statement of Cash Flows    
Net cash provided (used) by Operating activities 1,713 1,797
Investing activities    
Expenditures for plant, equipment and timberlands (57)  
Proceeds from disposals of plant, equipment and timberlands, net 73  
Repayments from (advances of) intercompany loans, net and other (1,264) (1,383)
Intercompany capital contributed (90)  
Other     
Total investing activities (1,338) (1,383)
Financing activities    
Payments of note offering costs     
Payment of dividends to shareholders     
(Repayments) borrowings of intercompany loans, net 1,100  
Intercompany capital received     
(Payments for) proceeds from share-based compensation awards and other     
Total financing activities 1,100  
Effect of exchange rate on cash     
Net increase (decrease) in cash 1,475 414
Cash and cash equivalents at the beginning of period 4,311 2,894
Cash and cash equivalents at the end of period 5,786 3,308
Non Guarantors [Member]
   
Condensed Consolidating Statement of Cash Flows    
Net cash provided (used) by Operating activities 6,394 10,094
Investing activities    
Expenditures for plant, equipment and timberlands (19,571) (9,555)
Proceeds from disposals of plant, equipment and timberlands, net    23
Repayments from (advances of) intercompany loans, net and other     
Intercompany capital contributed     
Other     
Total investing activities (19,571) (9,532)
Financing activities    
Payments of note offering costs     
Payment of dividends to shareholders     
(Repayments) borrowings of intercompany loans, net (5,086) (12,390)
Intercompany capital received 90  
(Payments for) proceeds from share-based compensation awards and other    27
Total financing activities (4,996) (12,363)
Effect of exchange rate on cash (942) 455
Net increase (decrease) in cash (19,115) (11,346)
Cash and cash equivalents at the beginning of period 49,620 32,376
Cash and cash equivalents at the end of period 30,505 21,030
Adjustments/ Eliminations [Member]
   
Condensed Consolidating Statement of Cash Flows    
Net cash provided (used) by Operating activities     
Investing activities    
Expenditures for plant, equipment and timberlands     
Proceeds from disposals of plant, equipment and timberlands, net     
Repayments from (advances of) intercompany loans, net and other 2,364 (1,990)
Intercompany capital contributed 90  
Other     
Total investing activities 2,454 (1,990)
Financing activities    
Payments of note offering costs     
Payment of dividends to shareholders     
(Repayments) borrowings of intercompany loans, net (2,364) 1,990
Intercompany capital received (90)  
(Payments for) proceeds from share-based compensation awards and other     
Total financing activities (2,454) 1,990
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