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DERIVATIVES AND HEDGING ACTIVITIES (Tables)
3 Months Ended 9 Months Ended 12 Months Ended
Sep. 30, 2012
Sep. 30, 2012
Dec. 31, 2011
Derivative Instruments And Hedging Activities Disclosure Abstract      
Schedule of derivatives expired  
Expired Derivatives
Nine Months Ended September 30, 2012
Type        Fixed  
Of Notional Effective   LIBOR Expiration
Hedge Amount Date Collar Rate Date
  (amounts        
  (in millions)        
            
Swap $ 100.0 May 28, 2008 n/a 3.62% May 28, 2012
Expired Derivatives
Year Ended December 31, 2011
Type        Fixed  
Of Notional Effective   LIBOR Expiration
Hedge Amount Date Collar Rate Date
  (amounts        
  (in millions)        
            
Swap $ 150.0 January 28, 2008 n/a 3.03% January 28, 2011
Collar   100.0 February 28, 2008[Cap 4.00%]February 28, 2011
   Floor 2.14%
Swap   125.0 March 28, 2008 n/a 2.91% September 28, 2011
    375.0        
Schedule of the gains (losses) related to the Company's cash flow hedge
  Three Months Ended
  September 30,
Description 2012  2011
  (amounts in thousands)
      
Type Of Derivative Designated As A Cash Flow Hedge  Interest Rate Interest Rate
       
Amount of Gain (Loss) Recognized In OCI $ - $ 1,679
       
Location Of Gain (Loss) Reclassified From      
Accumulated OCI To Statement Of Operations Interest Expense Interest Expense
       
Amount Of Gain (Loss) Reclassified From      
Accumulated OCI To Statement Of Operations $ - $ -
       
Location Of Gain (Loss) In Statement Of Operations Interest Expense Interest Expense
       
Amount Of Gain (Loss) In Statement Of Operations      
Due To Ineffectiveness $ - $ -
  Nine Months Ended
  September 30,
Description 2012 2011
  (amounts in thousands)
       
Type Of Derivative Designated As A Cash Flow Hedge  Interest Rate Interest Rate
       
Amount Of Gain (Loss) Recognized In Other      
Comprehensive Income (Loss) ("OCI") $ - $ 5,129
       
Location Of Gain (Loss) Reclassified From      
Accumulated OCI To Statement Of Operations Interest Expense Interest Expense
       
Amount Of Gain (Loss) Reclassified From       
Accumulated OCI To Statement Of Operations $ - $ -
       
Location Of Gain (Loss) In Statement Of Operations Interest Expense Interest Expense
       
Amount Of Gain (Loss) In Statement Of Operations      
Due To Ineffectiveness $ 1,346 $ -
 
Schedule of accumulated derivative gain (loss) recorded in the statements of other comprehensive income (loss)  
 Fair Value Of Accumulated
 Derivatives Outstanding
 September 30, December 31,
 2012 2011
 Assets (Liabilities)
      
 (amounts in thousands)
      
Beginning balance as of January 1$0 $(7,277)
Net unrealized gain (loss) on derivatives,     
net of taxes (benefit) 0  7,277
Ending balance$0 $0
      
 
Schedule of the fair value of the derivatives outstanding  
   Fair Value
   September 30, December 31,
 Balance Sheet 2012 2011
 Location Asset (Liability)
   (amounts in thousands)
Designated Derivatives       
Interest rate hedge transactionsCurrent liabilities $ - $ (1,346)