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FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)
6 Months Ended
Jun. 30, 2011
FAIR VALUE OF FINANCIAL INSTRUMENTS  
Summary of estimated fair values of financial instruments
  •  

   
  As of June 30, 2011   As of December 31, 2010  
   
  Carrying
Value
  Fair
Value
  Carrying
Value
  Fair
Value
 
 

Cash equivalents

  $ 59,842   $ 59,842   $ 91,448   $ 91,448  
 

Marketable securities

    12,124     12,124     8,166     8,166  
 

Long-term debt

    (4,546,789 )   (4,766,900 )   (3,595,277 )   (4,174,561 )
Summary of marketable securities by major security type
  •  

   
  As of June 30, 2011   As of December 31, 2010  
   
   
   
  Gross
Unrealized
   
   
  Gross
Unrealized
 
   
  Cost
Basis
  Fair
Value
  Cost
Basis
  Fair
Value
 
   
  Gains   Losses   Gains   Losses  
 

Sanitas ordinary shares

  $ 9,319     9,170   $   $ (149 ) $       $   $  
 

Corporate bonds

    2,942     2,954     12         6,234     6,340     106      
 

Government-sponsored enterprise securities

                    1,825     1,826     1      
                                     
 

 

  $ 12,261   $ 12,124   $ 12   $ (149 ) $ 8,059   $ 8,166   $ 107   $