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Note 2 - Summary of Significant Accounting Policies (Detail) - Investment in Financial Instruments (USD $)
Sep. 30, 2012
Sep. 30, 2011
Aggregate Fair Value $ 102,956,000 $ 69,216,000
Amortized Cost Basis 50,492,000 44,684,000
Pretax Unrealized Gains 52,464,000 24,532,000
U.S. Treasury Notes and Bills [Member]
   
Aggregate Fair Value 800,000 13,100,000
Amortized Cost Basis 800,000 13,100,000
Common Stock [Member]
   
Aggregate Fair Value 94,061,000 48,393,000
Amortized Cost Basis 44,761,000 26,655,000
Pretax Unrealized Gains 49,300,000 21,738,000
Fixed Income Securities [Member]
   
Aggregate Fair Value 8,095,000 7,723,000
Amortized Cost Basis 4,931,000 4,929,000
Pretax Unrealized Gains $ 3,164,000 $ 2,794,000