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General - Fair Value Measurements (Details) - USD ($)
$ in Thousands
Jun. 30, 2016
Dec. 31, 2015
Assets    
Restricted cash $ 80,642 $ 133,597
Investments 287,658 326,165
Cash held in bank accounts by the Company, unrestricted 132,900 109,400
Cash held in bank accounts by the Company, restricted 20,900 50,800
Liabilities    
Contingent consideration 3,808 92,426
Level 2 | Term Loan    
Liabilities    
Fair value of debt 428,100  
Fair value measured on recurring basis    
Assets    
Total assets held at fair value 413,149 414,982
Liabilities    
Contingent consideration 3,808 92,426
Total liabilities held at fair value 3,808 92,426
Fair value measured on recurring basis | Other than cash held in bank accounts by Company    
Assets    
Cash and cash equivalents 65,785 6,009
Restricted cash 59,706 82,808
Fair value measured on recurring basis | U.S. Government and agency securities    
Assets    
Investments 5,132 5,514
Fair value measured on recurring basis | Obligations of government-sponsored enterprises    
Assets    
Investments 54,708 50,525
Fair value measured on recurring basis | Corporate debt securities    
Assets    
Investments 226,668 268,976
Fair value measured on recurring basis | Certificates of deposit    
Assets    
Investments 1,150 1,150
Fair value measured on recurring basis | Level 1    
Assets    
Total assets held at fair value 5,132 5,514
Fair value measured on recurring basis | Level 1 | U.S. Government and agency securities    
Assets    
Investments 5,132 5,514
Fair value measured on recurring basis | Level 2    
Assets    
Total assets held at fair value 408,017 409,468
Fair value measured on recurring basis | Level 2 | Other than cash held in bank accounts by Company    
Assets    
Cash and cash equivalents 65,785 6,009
Restricted cash 59,706 82,808
Fair value measured on recurring basis | Level 2 | Obligations of government-sponsored enterprises    
Assets    
Investments 54,708 50,525
Fair value measured on recurring basis | Level 2 | Corporate debt securities    
Assets    
Investments 226,668 268,976
Fair value measured on recurring basis | Level 2 | Certificates of deposit    
Assets    
Investments 1,150 1,150
Fair value measured on recurring basis | Level 3    
Liabilities    
Contingent consideration 3,808 92,426
Total liabilities held at fair value $ 3,808 $ 92,426