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Allowance for Credit Losses (Tables)
6 Months Ended
Jun. 30, 2011
Allowance for Credit Losses (Tables) [Abstract]  
Summarizes the Company's allowance for credit losses and recorded investment in financing receivables
                         
    Finance     Notes        
    Leases     Receivable     Total  
Allowance for credit losses
                       
Balance January 1, 2011
  $ 378     $ 470     $ 848  
Provision for credit losses
    9       1,652       1,661  
Recoveries
    94       5,454       5,548  
Write-offs
    (354 )     (5,956 )     (6,310 )
 
                 
 
                       
Balance individually evaluated for impairment
  $ 127     $ 1,620     $ 1,747  
Balance collectively evaluated for impairment
                 
 
                 
Balance June 30, 2011
  $ 127     $ 1,620     $ 1,747  
 
                 
 
                       
Recorded investment in financing receivables
                       
Balance individually evaluated for impairment
  $ 117,205     $ 16,540     $ 133,745  
Balance collectively evaluated for impairment
                 
 
                 
Balance June 30, 2011
  $ 117,205     $ 16,540     $ 133,745  
 
                 
Summarizes the Company's aging of past-due notes receivable
         
31-60 days past due
  $  
61-90 days past due
     
> 90 days past due
    1,357  
 
     
Total past due
  $ 1,357