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PACCAR Inc (PCAR) Gain on Cash Flow Hedge Ineffectiveness

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PACCAR Inc Gain on Cash Flow Hedge Ineffectiveness

PACCAR Inc (PCAR) reported Gain on Cash Flow Hedge Ineffectiveness of $400.00 thousand for the 3-month period ending 2011-06-30, per its 10-Q filed 2011-08-08.

Discontinued › Income Statement › Other Income

us-gaap:GainOnCashFlowHedgeIneffectiveness · last filed 2011-08-08

  • PACCAR Inc gain on cash flow hedge ineffectiveness for the quarter ending 2011-06-30 was $400.00K.
  • PACCAR Inc gain on cash flow hedge ineffectiveness for the quarter ending 2011-03-31 was $400.00K.
  • PACCAR Inc gain on cash flow hedge ineffectiveness for the quarter ending 2010-03-31 was $0.00.
  • PACCAR Inc gain on cash flow hedge ineffectiveness for fiscal 2010 was $2.30M, a 1050.00% increase from fiscal 2009.
  • PACCAR Inc gain on cash flow hedge ineffectiveness for fiscal 2009 was $200.00K.
Period endGain on Cash Flow Hedge Ineffectiveness 3 monthGain on Cash Flow Hedge Ineffectiveness 6 monthGain on Cash Flow Hedge Ineffectiveness 12 month
2011-06-30$400.00K
10-Q · filed 2011-08-08
$800.00K
10-Q · filed 2011-08-08
2011-03-31$400.00K
10-Q · filed 2011-05-06
2010-12-31$2.30M
10-K · filed 2011-03-01
2010-03-31$0.00
10-Q · filed 2011-05-06
2009-12-31$200.00K
10-K · filed 2011-03-01

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