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Investments and Fair Value Measurements (Details)
3 Months Ended 9 Months Ended 12 Months Ended
Sep. 30, 2018
USD ($)
item
Sep. 30, 2018
USD ($)
item
Sep. 30, 2017
USD ($)
Dec. 31, 2017
USD ($)
Cash, cash equivalents and investments [Abstract]        
Cash $ 16,288,000 $ 16,288,000   $ 43,610,000
Cash equivalents [Abstract]        
Certificates of deposit 1,747,000 1,747,000   742,000
Total cash and cash equivalents 18,035,000 18,035,000   44,352,000
Amortized cost 23,927,000 23,927,000   32,701,000
Cash, cash equivalents and investments, amortized costs 41,962,000 41,962,000   77,053,000
Gross Unrealized (Loss) (111,000) (111,000)   (93,000)
Fair Value 23,816,000 23,816,000   32,608,000
Cash, cash equivalents and investments, amortized costs   41,851,000   76,960,000
Contractual maturities on investments, amortized cost basis [Abstract]        
Due within 1 year 22,007,000 22,007,000   20,056,000
Due after 1 through 5 years 1,920,000 1,920,000   12,645,000
Investments, amortized cost 23,927,000 23,927,000   32,701,000
Contractual maturities on investments, fair value basis [Abstract]        
Due within 1 year 21,910,000 21,910,000   20,032,000
Due after 1 through 5 years 1,906,000 1,906,000   12,576,000
Investments, fair value 23,816,000 23,816,000   32,608,000
Realized gain on sale of available-for-sale securities     $ (77,000)  
Transfers between fair value measurements $ 0 $ 0    
GHI        
Contractual maturities on investments, fair value basis [Abstract]        
Proceeds from sales of investments     125,000  
Realized gain on sale of available-for-sale securities     (77,000)  
Cost of investment     $ 48,000  
Number of transactions | item 0 0    
Total Investments [Member]        
Cash equivalents [Abstract]        
Amortized cost $ 23,927,000 $ 23,927,000   32,701,000
Gross Unrealized (Loss) (111,000) (111,000)   (93,000)
Fair Value 23,816,000 23,816,000   32,608,000
Contractual maturities on investments, amortized cost basis [Abstract]        
Investments, amortized cost 23,927,000 23,927,000   32,701,000
Contractual maturities on investments, fair value basis [Abstract]        
Investments, fair value 23,816,000 23,816,000   32,608,000
Certificates of Deposit [Member]        
Cash equivalents [Abstract]        
Amortized cost 5,468,000 5,468,000   7,099,000
Gross Unrealized (Loss) (31,000) (31,000)   (24,000)
Fair Value 5,437,000 5,437,000   7,075,000
Contractual maturities on investments, amortized cost basis [Abstract]        
Investments, amortized cost 5,468,000 5,468,000   7,099,000
Contractual maturities on investments, fair value basis [Abstract]        
Investments, fair value 5,437,000 5,437,000   7,075,000
Corporate Bonds [Member]        
Cash equivalents [Abstract]        
Amortized cost 18,459,000 18,459,000   25,602,000
Gross Unrealized (Loss) (80,000) (80,000)   (69,000)
Fair Value 18,379,000 18,379,000   25,533,000
Contractual maturities on investments, amortized cost basis [Abstract]        
Investments, amortized cost 18,459,000 18,459,000   25,602,000
Contractual maturities on investments, fair value basis [Abstract]        
Investments, fair value $ 18,379,000 $ 18,379,000   $ 25,533,000