| Net income | 10.05M |
| Depreciation and amortization | 9.06M |
| Other adjustments | |
| Changes in current operating items | |
| Other assets and liabilities | |
| Net cash (used for)/provided by operating activities | 31.23M |
| Property, plant and equipment additions, net | -8.87M |
| Net cash used for investing activities | -8.87M |
| Payments of long-term debt | |
| Proceeds from/(Payments on) revolving credit facilities, net | |
| Cash dividends paid | -7.69M |
| Net issuance of common stock, under stock option plans | 797K |
| Purchase of common stock | 0 |
| Net cash used for financing activities | -19.34M |
| (Decrease)/Increase in Cash and Cash Equivalents | |
| Effect of Exchange Rates on Cash | -161K |
| Beginning of period | 24.28M |
| End of period | 27.13M |