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FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)
9 Months Ended
Sep. 30, 2014
Fair Value Disclosures Abstract  
Schedule of recurring fair value measurements
  Value Measurements At Reporting Date
  September 30, December 31,
Description  2014 2013
       
Liabilities      
Deferred compensation - Level 1 (1) $ 10,614 $ 10,459
Schedule Of Carrying Value Of Financial Instruments
  September 30, December 31,
  2014 2013
  Carrying Fair Carrying Fair
  Value Value Value Value
  (amounts in thousands)
             
Credit Facility (1) $ 264,000 $ 263,340 $ 299,500 $ 301,559
Senior Notes (2) $ 217,850 $ 240,180 $ 217,624 $ 248,635
Letters of credit (3) $ 620   $ 370