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Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2011
Fair Value Measurements Tables [Abstract] 
Fair Value, Measurement Inputs, Disclosure [Text Block]
   Level 1 Level 2 Level 3 Total
          
 Assets:        
 Current derivative asset$ -$ 146,510$ -$ 146,510
 Non-current derivative asset$ -$ 17,149$ -$ 17,149
Schedule of Fair Value of Financial Instruments
   September 30, 2011 December 31, 2010
   Carrying Estimated Carrying Estimated
   Amount Fair Value Amount Fair Value
          
 Long-Term Debt:        
          
 5.45% Notes due 2015, issued 2008$ 100,000$ 111,002$ 100,000$ 108,572
 7.31% Notes due 2016, issued 2009  62,000  74,248  62,000  72,153
 4.98% Notes due 2017, issued 2010  116,000  127,118  116,000  119,385
 5.92% Notes due 2018, issued 2008  200,000  227,987  200,000  212,660
 7.77% Notes due 2019, issued 2009  173,000  216,361  173,000  203,051
 5.50% Notes due 2020, issued 2010  207,000  225,461  207,000  206,233
 4.51% Notes due 2020, issued 2010  315,000  316,205  315,000  284,207
 5.60% Notes due 2022, issued 2010  87,000  92,497  87,000  84,818
 4.66% Notes due 2022, issued 2010  35,000  34,340  35,000  30,989
 5.85% Notes due 2025, issued 2010  90,000  96,942  90,000  87,211
 4.91% Notes due 2025, issued 2010  175,000  171,555  175,000  152,064
          
  $ 1,560,000$ 1,693,716$ 1,560,000$ 1,561,343