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Financial Instruments and Fair Value Measurement (Details) (USD $)
3 Months Ended
Dec. 31, 2012
item
Sep. 30, 2012
Available-for-sale securities    
Number of limited partnerships that entity sold shares of the partnership 3  
Limited Liability Partnerships    
Realized gain on sale of investment securities $ 8,800,000  
Non-qualified Supplemental Savings Plan    
Assets held in Non-qualified Supplement Savings Plan, at Fair Value 8,400,000 8,200,000
Equity securities
   
Available-for-sale securities    
Cost 129,183,000 129,183,000
Gross unrealized gains 304,185,000 304,396,000
Estimated fair value $ 433,368,000 $ 433,579,000