Annual report pursuant to Section 13 and 15(d)

PENSION AND POSTRETIREMENT BENEFITS - Fair Value of Plan Assets (Details 9)

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PENSION AND POSTRETIREMENT BENEFITS - Fair Value of Plan Assets (Details 9) (Pension Plan, USD $)
In Thousands, unless otherwise specified
Dec. 31, 2013
Dec. 31, 2012
Fair value of plan assets measured on a recurring basis $ 20,290 $ 19,981
Percentage 100.00%  
Equity Mutual Funds
   
Fair value of plan assets measured on a recurring basis 14,738  
Percentage 72.60%  
Fixed Income Funds
   
Fair value of plan assets measured on a recurring basis 4,021  
Percentage 19.80%  
Cash and Cash Equivalents
   
Fair value of plan assets measured on a recurring basis 803  
Percentage 4.00%  
Other Investments
   
Fair value of plan assets measured on a recurring basis $ 728  
Percentage 3.60%