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Marketable Securities and Fair Value Measurements - Additional Information (Details) - USD ($)
3 Months Ended 12 Months Ended
Mar. 31, 2016
Mar. 31, 2015
Dec. 31, 2015
Fair Value Balance Sheet Grouping Financial Statement Captions [Line Items]      
Available-for-sale marketable securities $ 62,700,000    
Cash collateral 40,800,000    
Assets, fair value 65,718,000   $ 66,914,000
Realized gains or losses $ 0 $ 0  
Percentage of total fair value of available for sale securities in unrealized loss position 0.00%   81.00%
Transfers between Level I and Level II assets $ 0   $ 0
Level II      
Fair Value Balance Sheet Grouping Financial Statement Captions [Line Items]      
Assets, fair value 0   0
Carrying value of notes payable 494,500,000   499,600,000
Certificates of deposit      
Fair Value Balance Sheet Grouping Financial Statement Captions [Line Items]      
Assets, fair value 2,319,000   2,319,000
Certificates of deposit | Level II      
Fair Value Balance Sheet Grouping Financial Statement Captions [Line Items]      
Assets, fair value 0   0
U.S. treasuries      
Fair Value Balance Sheet Grouping Financial Statement Captions [Line Items]      
Assets, fair value 62,891,000   64,091,000
U.S. treasuries | Level II      
Fair Value Balance Sheet Grouping Financial Statement Captions [Line Items]      
Assets, fair value $ 0   $ 0
U.S. treasuries | Minimum      
Fair Value Balance Sheet Grouping Financial Statement Captions [Line Items]      
Contractual maturities 1 year   1 year
U.S. treasuries | Maximum      
Fair Value Balance Sheet Grouping Financial Statement Captions [Line Items]      
Contractual maturities 4 years   4 years