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Debt (Details 2) (USD $)
1 Months Ended
Feb. 28, 2014
Mar. 31, 2014
Dec. 31, 2013
Dec. 16, 2013
Debt instrument        
Repayments of Long-term Debt $ 1,000,000      
June 2014 Senior Notes
       
Debt instrument        
Stated interest rate percentage   10.25%    
Unamortized premium       7,000,000
Amount of senior notes repurchased in cash tender offer 321,000      
November 2020 Senior Notes
       
Debt instrument        
Stated interest rate percentage   6.75%    
Senior notes, current     299,970,000  
Unamortized premium       10,000,000
Total debt, net       310,000,000
Amount of senior notes repurchased in cash tender offer 30,000      
September 2022 Senior Notes
       
Debt instrument        
Stated interest rate percentage   6.375%    
Senior notes, current   599,163,000    
Unamortized premium       7,000,000
Total debt, net       607,000,000
Amount of senior notes repurchased in cash tender offer 837,000      
Gross | June 2014 Senior Notes
       
Debt instrument        
Senior notes, current   204,936,000    
Fair value of current debt       $ 212,000,000