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FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)
12 Months Ended
Dec. 31, 2014
Fair Value Disclosures Abstract  
Schedule of recurring fair value measurements
Value Measurements At Reporting Date
December 31,
Description 20142013
(amounts in thousands)
Liabilities
Deferred compensation - Level 1 (1)$11,017$10,459
Schedule Of Carrying Value Of Financial Instruments
December 31,December 31,
20142013
CarryingFairCarryingFair
ValueValueValueValue
(amounts in thousands)
Credit Facility (1)$262,000$261,345$299,500$301,559
Senior Notes (2)$217,929$237,134$217,624$248,635
Letters of credit (3)$620$370