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Condensed Consolidating Financial Statements - Condensed Consolidating Statement of Cash Flows (Detail) - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2015
Jun. 30, 2014
Condensed Cash Flow Statements, Captions [Line Items]    
Net cash provided (used) by Operating activities $ 25,513 $ (21,366)
Investing activities    
Expenditures for purchases of plant, equipment and timberlands (44,575) (30,156)
Proceeds from disposal plant, equipment and timberlands, net 3,051 2,360
Other (1,600) (100)
Net cash used by investing activities (43,124) (27,896)
Financing activities    
Net proceeds from (repayments of) indebtedness (1,492) (25,425)
Payments of borrowing costs (1,329)  
Payment of dividends to shareholders (9,992) (9,164)
Repurchases of common stock   (9,158)
Payments related to share-based compensation awards and other (2,000) (1,816)
Net cash used by financing activities (14,813) (45,563)
Effect of exchange rate on cash (1,651) (41)
Net (decrease) increase in cash (34,075) (94,866)
Cash and cash equivalents at the beginning of period 99,837 122,882
Cash and cash equivalents at the end of period 65,762 28,016
Adjustments/ Eliminations [Member]    
Investing activities    
Repayments from intercompany loans (48,855)  
Advances of intercompany loans 38,690 3,450
Intercompany capital (contributed) returned (10,200)  
Net cash used by investing activities (20,365) 3,450
Financing activities    
Repayments of intercompany loans 48,855  
Borrowings of intercompany loans (38,690) (3,450)
Intercompany capital received (returned) 10,200  
Net cash used by financing activities 20,365 (3,450)
Parent Company [Member]    
Condensed Cash Flow Statements, Captions [Line Items]    
Net cash provided (used) by Operating activities (4,343) (15,054)
Investing activities    
Expenditures for purchases of plant, equipment and timberlands (30,241) (15,963)
Proceeds from disposal plant, equipment and timberlands, net 1,581 1,000
Intercompany capital (contributed) returned 10,500  
Other (1,600) (100)
Net cash used by investing activities (19,760) (15,063)
Financing activities    
Payments of borrowing costs (1,329)  
Payment of dividends to shareholders (9,992) (9,164)
Repayments of intercompany loans (9,158)  
Repurchases of common stock   (9,158)
Borrowings of intercompany loans 38,690 3,450
Payments related to share-based compensation awards and other (2,000) (1,816)
Net cash used by financing activities 16,211 (16,688)
Net (decrease) increase in cash (7,892) (46,805)
Cash and cash equivalents at the beginning of period 42,208 56,216
Cash and cash equivalents at the end of period 34,316 9,411
Guarantors [Member]    
Condensed Cash Flow Statements, Captions [Line Items]    
Net cash provided (used) by Operating activities (684) 1,773
Investing activities    
Proceeds from disposal plant, equipment and timberlands, net 1,213 1,355
Repayments from intercompany loans 48,855  
Advances of intercompany loans (38,690) (3,450)
Intercompany capital (contributed) returned (300)  
Net cash used by investing activities 11,078 (2,095)
Financing activities    
Intercompany capital received (returned) (10,600)  
Net cash used by financing activities (10,600)  
Net (decrease) increase in cash (206) (322)
Cash and cash equivalents at the beginning of period 514 501
Cash and cash equivalents at the end of period 308 179
Non Guarantors [Member]    
Condensed Cash Flow Statements, Captions [Line Items]    
Net cash provided (used) by Operating activities 30,540 (8,085)
Investing activities    
Expenditures for purchases of plant, equipment and timberlands (14,334) (14,193)
Proceeds from disposal plant, equipment and timberlands, net 257 5
Net cash used by investing activities (14,077) (14,188)
Financing activities    
Net proceeds from (repayments of) indebtedness (1,492) (25,425)
Repayments of intercompany loans (39,697)  
Intercompany capital received (returned) 400  
Net cash used by financing activities (40,789) (25,425)
Effect of exchange rate on cash (1,651) (41)
Net (decrease) increase in cash (25,977) (47,739)
Cash and cash equivalents at the beginning of period 57,115 66,165
Cash and cash equivalents at the end of period $ 31,138 $ 18,426