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Financial Instruments Terphane Foreign Exchange Average Forward Rate Contracts Table (Tables)
12 Months Ended
Dec. 31, 2018
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Derivative Instruments [Table Text Block]
Terphane Ltda. has the following outstanding foreign exchange average forward rate contracts to purchase Brazilian Real and sell U.S. Dollars:
USD Notional Amount (000s)
Average Forward Rate Contracted on USD/BRL
R$ Equivalent Amount (000s)
Applicable Month
Estimated % of Terphane Ltda. R$ Operating Cost Exposure Hedged
$2,025
3.6442
R$7,380
Jan-19
73%
$2,025
3.6527
R$7,397
Feb-19
75%
$2,025
3.6593
R$7,410
Mar-19
70%
$2,025
3.6690
R$7,430
Apr-19
72%
$2,025
3.6795
R$7,451
May-19
73%
$2,025
3.6904
R$7,473
Jun-19
72%
$1,800
3.8826
R$6,989
Jul-19
65%
$1,800
3.8950
R$7,011
Aug-19
68%
$1,800
3.9070
R$7,033
Sep-19
66%
$1,800
3.9203
R$7,056
Oct-19
67%
$1,800
3.9331
R$7,080
Nov-19
67%
$1,800
3.9455
R$7,102
Dec-19
73%
$22,950
3.7826
R$86,812
 
70%