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FAIR VALUE, OF FINANCIAL INSTRUMENTS (Details) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2012
Sep. 30, 2011
Carrying Amount [Member]
   
Assets:    
Receivables from managed entities $ 46,917 $ 54,815
Investments in commercial finance- loans held for investment 0 19,640
Total assets, fair value 46,917 74,455
Borrowings:    
Real Estate Debt Fair Value Disclosure 10,574 10,700
Senior Notes 10,000 16,263
Corporate secured credit facilities and note 0 8,743
Other debt 2,043 3,807
Commercial finance debt 0 183,146
Total liabilities, fair value 22,617 222,659
Estimated Fair Value [Member]
   
Assets:    
Receivables from managed entities 43,552 39,224
Investments in commercial finance- loans held for investment 0 19,550
Total assets, fair value 43,552 58,774
Borrowings:    
Real Estate Debt Fair Value Disclosure 10,729 10,700
Senior Notes 10,863 17,438
Corporate secured credit facilities and note 0 8,743
Other debt 1,715 2,909
Commercial finance debt 0 183,146
Total liabilities, fair value $ 23,307 $ 222,936