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Investments (Tables)
9 Months Ended
Sep. 30, 2012
Investments [Abstract]  
Schedule Of Fair Value Method Investments, Balance Sheets
(In Thousands) September 30,
2012
December 31,
2011
  September 30,
2012
December 31,
2011
Assets:         Liabilities & Equity:            
          Other current liabilities $ 1,960   $ 1,185  
Cash & cash equivalents $ 20,483 $ 9,625 Non-current liabilities   15,945     738  
Other current assets   3,824   4,894 Equity:            
Other tangible assets   2,041   691 Redeemable preferred stock   20,749     20,017  
Identifiable intangibles assets   1,988   1,868 Other   (10,318 )   (4,862 )
Total assets $ 28,336 $ 17,078 Total liabilities & equity $ 28,336   $ 17,078  
Schedule Of Fair Value Method Investments, Income Statements
  Three Months Ended
September 30,
Nine Months Ended
September 30,
  2012 2011 2012 2011
Revenues & Expenses:                    
Revenues $ - $ 2,255   $ -   $ 8,839  
Expenses and other, net   (3,089 ) (2,569 )   (8,026 ) (8,235 )
Income tax(expense) benefit   1,209   112     3,100   (181 )
Net income (loss) $ (1,880 ) $ (202 ) $ (4,926 ) $ 423