XML 107 R41.htm IDEA: XBRL DOCUMENT v2.4.1.9
Pension Liabilities, Net (Tables)
12 Months Ended
Dec. 31, 2014
Pension Liabilities, Net [Abstract]  
Schedule Of Changes In Projected Benefit Obligations
 

December 31,

 

2013

 

2014

       

Accumulated benefit obligation

  $ 11,204   $ 3,243
       

Change in projected benefit obligation

       

Projected benefit obligation at beginning of year

    $ 9,709     $ 11,204

Liability assumed at the acquisition date of Nera

    -     -

Service cost

    36     37

Interest cost

    349     271

Plan settlements

    1,167     (7,007 )

Expenses paid

    (873 )     (548 )

Exchange rates differences

    (1,003 )     (963 )

Actuarial loss

    1,819     249
       

Projected benefit obligation at end of year

    $ 11,204     $ 3,243
       
Schedule Of Changes In Fair Value Of Plan Assets

Change in plan assets

       

Fair value of plan assets at beginning of year

    $ 7,396     $ 7,124

Acquisition of Nera

       

Actual return on plan assets

    245     146

Employer contributions to plan

    105     18

Plan settlements

    -     (7,053 )

Expenses paid

    (636 )     -

Exchange rates differences

    (619 )     (235 )

Actuarial gain

    633     -
       

Fair value of plan assets at end of year

    $ 7,124     $ -


Schedule Of Assumptions Used
 

December 31,

 

2013

 

2014

Weighted-average assumptions

     

Discount rate

  4.10 %   3.00 %

Expected return on plan assets

    4.40 %     3.80 %

Rate of compensation increase

    3.75 %     3.25 %
Schedule Of Net Benefit Costs
 

December 31,

 

2013

 

2014

Components of net periodic benefit cost

     

Service cost

  $ 36   $ 37

Interest cost

    349     271

Expected return on plan assets

    (245 )     (146 )

Exchange rates differences

    60     15

Settlement loss recognized

    1,167     -
       

Net periodic benefit cost

    $ 1,367     $ 177
Schedule Of Expected Benefit Payments
 

December 31,

 

2013

 

2014

       

2015

  $ 512   $ 480

2016

    617     396

2017

    555     241

2018

    384     150

2019 and thereafter

    1,078     692
       
    $ 3,146     $ 1,959
Schedule Of Allocation Of Plan Assets
 

December 31,

 

2013

 

2014

       

Bonds

  56 %   -

Real estate

    14 %     -

Cash

    20 %     -

Shares

    10 %     -
       
    100 %     -