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Senior Notes And Other Debt (Tables)
12 Months Ended
Dec. 31, 2012
Senior Notes and Other Debt [Abstract]  
Schedule of Debt
Senior notes and other debt consist of the following as of December 31, 2012 (the difference between the face value and the carrying value is unamortized discount):
(In thousands)
Interest Rate
 
Face Value
 
2012 Carrying Value
 
2011 Carrying Value
Senior notes due on:
 
 
 

 
 

 
 

February 15, 2013 (1)
5.875%
 
$
200,000

 
$
199,959

 
$
199,627

May 15, 2015
5.6%
 
200,000

 
199,559

 
199,373

August 15, 2019
6.15%
 
150,000

 
149,057

 
148,914

September 15, 2019
7.375%
 
300,000

 
298,292

 
298,038

September 15, 2020
5.375%
 
300,000

 
297,401

 
297,065

January 1, 2022
8.70%
 
76,503

 
75,962

 
75,924

March 15, 2022
4.625%
 
350,000

 
346,163

 

February 15, 2037
6.25%
 
250,000

 
247,347

 
247,236

Subsidiary debt (2)
Various
 
57,795

 
57,795

 
34,326

Total debt
 
 
$
1,884,298

 
$
1,871,535

 
$
1,500,503


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(1) These notes were fully paid at maturity on February 15, 2013.
(2) Subsidiary debt is due as follows: $17 million in 2013, $39 million in 2014, $1 million in 2015 and $1 million thereafter.