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FAIR VALUE OF FINANCIAL INSTRUMENTS (Financial Instruments Not Measured at Fair Value on a Recurring Basis) (Details) - USD ($)
$ in Thousands
Jun. 30, 2016
Dec. 31, 2015
Liabilities:    
Allowance, notes receivable $ 600 $ 200
Level 1 | Nonrecurring | Reported Value Measurement    
Assets:    
Cash 292,265 445,283
Level 1 | Nonrecurring | Estimate of Fair Value Measurement    
Assets:    
Cash 292,265 445,283
Level 2 | Nonrecurring | Reported Value Measurement    
Liabilities:    
Fixed-rate debt 1,108,453 1,141,381
Variable-rate debt 1,553,786 1,314,973
Level 2 | Nonrecurring | Estimate of Fair Value Measurement    
Liabilities:    
Fixed-rate debt 1,122,964 1,137,166
Variable-rate debt 1,553,786 1,314,973
Level 3 | Nonrecurring | Reported Value Measurement    
Assets:    
Notes receivable, net 69 1,664
Level 3 | Nonrecurring | Estimate of Fair Value Measurement    
Assets:    
Notes receivable, net $ 69 $ 1,664