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Fair Value of Financial Instruments (Schedule of Estimated Fair Value of Financial Instruments, by Balance Sheet Grouping) (Details) (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2012
Dec. 31, 2011
Sep. 30, 2011
Dec. 31, 2010
Assets:        
Cash and cash equivalents $ 240,650 $ 129,865 $ 266,312 $ 299,169
Cash and cash equivalents, fair value disclosure 240,650 129,865    
Available-for-sale securities 35,419 31,582    
Available-for-sale securities, fair value disclosure 35,419 31,582    
Trading securities 36,235 30,486    
Trading securities, fair value disclosure 36,235 30,486    
Receivables Facility and Other Debt, Type [Member] | Receivables Facility and Unsecured Debt [Member]
       
Liabilities:        
Other debt 343,052 41,143    
Other debt, fair value disclosure 343,052 41,143    
Credit Facility, Type of Debt [Member] | Credit Facility, Name [Member]
       
Liabilities:        
Credit Facility 4,356,562 5,979,383    
Credit Facility, fair value disclosure 4,360,411 5,780,877    
Senior Notes [Member] | Senior Notes at 8.875, Due 2015 [Member]
       
Liabilities:        
Senior notes   1,777,617    
Senior notes, fair value disclosure   1,842,322    
Senior Notes [Member] | Senior Notes at 8.0, Due 2019 [Member]
       
Liabilities:        
Senior notes 2,023,414 1,000,000    
Senior notes, fair value disclosure 2,202,500 995,000    
Senior Notes [Member] | Senior Notes at 7.125, Due 2020 [Member]
       
Liabilities:        
Senior notes 1,200,000      
Senior notes, fair value disclosure 1,278,000      
Senior Secured Notes [Member] | Senior Secured Notes At 5.125 Due 2018 [Member]
       
Liabilities:        
Senior notes 1,600,000      
Senior notes, fair value disclosure $ 1,658,000