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Consolidated Statements of Cash Flows (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Operating activities      
Net income $ 67,158 $ 59,379 $ 42,694
Adjustments to reconcile to net cash provided by operations:      
Depreciation, depletion and amortization 68,196 69,500 69,313
Amortization of debt issue costs and original issue discount 1,305 3,177 8,838
Pension expense, net of unfunded benefits paid 12,787 10,427 2,127
Deferred income tax benefit (11,485) (2,209) 333
Gains on dispositions of plant, equipment and timberlands, net (1,726) (9,815) (3,950)
Share-based compensation 7,337 6,520 5,762
Change in operating assets and liabilities      
Accounts receivable (777) (3,379) 3,771
Inventories 2,704 (12,615) (7,280)
Prepaid and other current assets 7,965 (14,952) 2,115
Accounts payable 24,822 6,953 13,606
Environmental liabilities (510) (151) (57)
Accruals and other current liabilities (6,708) 15,134 (2,516)
Cellulosic biofuel and alternative fuel mixture credits 9,848 (6,728) 17,833
Other (7,281) (8,395) (12,282)
Net cash provided by operating activities 173,635 112,846 140,307
Investing activities      
Expenditures for purchases of plant, equipment and timberlands (103,047) (58,752) (64,491)
Proceeds from disposals of plant, equipment and timberlands, net 1,947 10,272 4,491
Proceeds from timberland installment sale note receivable     43,170
Acquisition, net of cash acquired (210,911)    
Other (425) (225)  
Net cash used by investing activities (312,436) (48,705) (16,830)
Financing activities      
Proceeds from note offerings   250,000  
Repayments of note offerings   (205,131) (103,563)
Net borrowings under (repayments of) revolving credit facility 126,139 (27,000) 27,000
Payments of borrowing costs (419) (4,748) (1,672)
Repayment of term loans     (36,695)
Repayment of short term debt     (798)
Proceeds from term loan 56,091    
Repurchases of common stock   (5,675) (48,033)
Payments of dividends (16,965) (15,608) (16,611)
(Payments) proceeds from share-based compensation awards and other (1,671) 2,673 232
Net cash provided (used) by financing activities 163,175 (5,489) (180,140)
Effect of exchange rate changes on cash 829 750 (848)
Net increase (decrease) in cash and cash equivalents 25,203 59,402 (57,511)
Cash and cash equivalents at the beginning of period 97,679 38,277 95,788
Cash and cash equivalents at the end of period 122,882 97,679 38,277
Cash paid for:      
Interest, net of amounts capitalized 17,231 14,400 24,191
Income taxes, net $ 15,588 $ 44,657 $ (8,344)