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Segment Reporting (Tables)
6 Months Ended
Jun. 30, 2013
Segment Reporting [Abstract]  
Schedule Of Segment Reporting Information By Segment
  Three Months SixMonths
  Ended June 30 Ended June 30
(In Thousands) 2013 2012 2013 2012
Net Sales                        
Film Products $ 158,266   $ 150,226   $ 312,651   $ 303,925  
Aluminum Extrusions   77,855     59,695     157,794     117,303  
Total net sales   236,121     209,921     470,445     421,228  
Add back freight   7,409     5,938     14,611     11,274  
Sales as shown in the Consolidated Statements of Income   243,530     215,859     485,056     432,502  
 
Operating Profit                        
Film Products:                        
Ongoing operations   18,727     13,441     35,734     28,907  
Plant shutdowns, asset impairments, restructurings and other   (107 )   (1,508 )   (209 )   (1,792 )
 
Aluminum Extrusions:                        
Ongoing operations   4,311     3,800     8,925     5,503  
Plant shutdowns, asset impairments, restructurings and other   (545 )   (1,086 )   (798 )   (2,147 )
 
Total   22,386     14,647     43,652     30,471  
Interest income   91     83     169     253  
Interest expense   715     1,017     1,405     2,024  
Gain on investment accounted for under fair value method   2,100     2,700     3,200     6,300  
Unrealized loss on investment property   (1,018 )   -     (1,018 )   -  
Stock option-based compensation costs   283     315     599     761  
Corporate expenses, net   7,487     6,000     15,644     12,272  
Income fromcontinuining operations before income taxes   15,074     10,098     28,355     21,967  
Income taxes from continuing operations   5,484     2,710     9,248     6,842  
Income fromcontinuing operations   9,590     7,388     19,107     15,125  
Loss from discontinued operations   (8,300 )   (35 )   (13,540 )   (4,774 )
Net income $ 1,290   $ 7,353   $ 5,567   $ 10,351  
Schedule Of Identifiable Assets By Segment
    June 30,   December 31,
(In Thousands)   2013   2012
Film Products $ 566,408 $ 551,842
Aluminum Extrusions   135,885   129,279
Subtotal   702,293   681,121
General corporate   52,600   53,222
Cash and cash equivalents   44,427   48,822
Total $ 799,320 $ 783,165