Rendering

Component: (Network and Table)
Network
JC: Schedule: Reconciliation of Cash per Balance Sheet with Cash Flow Statement, by Item
(http://xasb.org/gaap/role/schedule/level4/ReconciliationOfCashDetailSchedule)
TableReconciling Item of Cash and Cash Equivalents [Table]
Slicers (applies to each fact value in each table cell)
Reconciling Item of Cash and Cash Equivalents [Line Items]Period [Axis]
2010-01-01 - 2010-12-31
2009-12-31
Reconciling Item, Type [Axis]Reconciling Item, Type [Axis]
Reconciling Item Type A [Member]Reconciling Item Type B [Member]All Reconciling Items of Cash and Cash Equivalents [Member]Reconciling Item Type A [Member]Reconciling Item Type B [Member]All Reconciling Items of Cash and Cash Equivalents [Member]