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Summary of Significant Accounting Policies - Fair Value Measurements (Details) (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2014
Dec. 31, 2013
Assets:    
Assets fair value $ 130,944 $ 161,541
Liabilities:    
Liabilities fair value   154
Level 1
   
Assets:    
Assets fair value 9,810 13,761
Level 2
   
Assets:    
Assets fair value 121,134 147,780
Liabilities:    
Liabilities fair value   154
Cash equivalents | Money Market Funds
   
Assets:    
Assets fair value 9,810 13,761
Cash equivalents | Commercial Paper
   
Assets:    
Assets fair value 13,248 19,629
Cash equivalents | Level 1 | Money Market Funds
   
Assets:    
Assets fair value 9,810 13,761
Cash equivalents | Level 2 | Commercial Paper
   
Assets:    
Assets fair value 13,248 19,629
Short-term Investments | Municipal Bonds
   
Assets:    
Assets fair value 19,317 29,106
Short-term Investments | Corporate Debt Securities
   
Assets:    
Assets fair value 62,105 76,786
Short-term Investments | Asset-backed securities
   
Assets:    
Assets fair value 12,437 4,209
Short-term Investments | U.S. Government Agency Bonds
   
Assets:    
Assets fair value 14,027 18,050
Short-term Investments | Level 2 | Municipal Bonds
   
Assets:    
Assets fair value 19,317 29,106
Short-term Investments | Level 2 | Corporate Debt Securities
   
Assets:    
Assets fair value 62,105 76,786
Short-term Investments | Level 2 | Asset-backed securities
   
Assets:    
Assets fair value 12,437 4,209
Short-term Investments | Level 2 | U.S. Government Agency Bonds
   
Assets:    
Assets fair value 14,027 18,050
Interest rate swap contract
   
Liabilities:    
Liabilities fair value   154 [1]
Interest rate swap contract | Level 2
   
Liabilities:    
Liabilities fair value   $ 154 [1]
[1] As of December 31, 2013, the fair value of the interest rate swap contract was classified on our Balance Sheet in other current liabilities.