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Fair Values of Financial and Nonfinancial Instruments (Details) (USD $)
Dec. 31, 2012
Dec. 31, 2011
Loan
Fair value measurement for financial instruments    
Marketable securities, available-for-sale $ 388,020,000 $ 347,016,000
Mortgage loans held-for-sale, unpaid principal balance 103,400,000 79,700,000
Mortgage loans held-for-sale, difference between the aggregate fair value and the aggregate unpaid principal balance 4,600,000 2,700,000
Number of loans 90 days or more past due   2
Mortgage loans held-for-sale, aggregate carrying value of loans with payments 90 days or more past due 0 542,000
Mortgage loans held-for-sale, aggregate unpaid principal balance of loans with payments 90 days or more past due 0 623,000
Senior notes, net 1,128,481,000 820,016,000
U.S. Treasury securities
   
Fair value measurement for financial instruments    
Marketable securities, available-for-sale 3,099,000 1,555,000
Obligations of U.S. and local government agencies
   
Fair value measurement for financial instruments    
Marketable securities, available-for-sale 155,293,000 146,820,000
Corporate debt securities issued under U.S. government/agency-backed programs
   
Fair value measurement for financial instruments    
Marketable securities, available-for-sale 0 1,456,000
Corporate debt securities
   
Fair value measurement for financial instruments    
Marketable securities, available-for-sale 165,194,000 125,666,000
Asset-backed securities
   
Fair value measurement for financial instruments    
Marketable securities, available-for-sale 27,314,000 45,744,000
Time deposits
   
Fair value measurement for financial instruments    
Marketable securities, available-for-sale 0 25,500,000
Short-term pooled investments
   
Fair value measurement for financial instruments    
Marketable securities, available-for-sale 37,120,000 275,000
Total Fair Value
   
Fair value measurement for financial instruments    
Senior notes, net 1,300,000,000 824,600,000
Carrying value
   
Fair value measurement for financial instruments    
Senior notes, net 1,100,000,000 820,000,000
Recurring Measurement | Levels 1 and 2 | Obligations of U.S. and local government agencies
   
Fair value measurement for financial instruments    
Fair value of assets 155,293,000 146,820,000
Recurring Measurement | Levels 1 and 2 | Short-term pooled investments
   
Fair value measurement for financial instruments    
Fair value of assets 37,120,000 275,000
Recurring Measurement | Level 1 | U.S. Treasury securities
   
Fair value measurement for financial instruments    
Fair value of assets 3,099,000 1,555,000
Recurring Measurement | Level 2 | Mortgage loans held-for-sale
   
Fair value measurement for financial instruments    
Fair value of assets 107,950,000 82,351,000
Recurring Measurement | Level 2 | Mortgage interest rate lock commitments ("IRLCs")
   
Fair value measurement for financial instruments    
Fair value of assets 4,737,000 3,359,000
Recurring Measurement | Level 2 | Forward-delivery contracts
   
Fair value measurement for financial instruments    
Fair value of assets (369,000) (1,235,000)
Recurring Measurement | Level 2 | Corporate debt securities issued under U.S. government/agency-backed programs
   
Fair value measurement for financial instruments    
Fair value of assets 0 1,456,000
Recurring Measurement | Level 2 | Corporate debt securities
   
Fair value measurement for financial instruments    
Fair value of assets 165,194,000 125,666,000
Recurring Measurement | Level 2 | Asset-backed securities
   
Fair value measurement for financial instruments    
Fair value of assets 27,314,000 45,744,000
Recurring Measurement | Level 2 | Time deposits
   
Fair value measurement for financial instruments    
Fair value of assets $ 0 $ 25,500,000