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Marketable Securities and Fair Value Measurements - Summary of Financial Assets Measured at Fair Value on Recurring Basis (Details) (USD $)
In Thousands, unless otherwise specified
Mar. 31, 2014
Dec. 31, 2013
Schedule Of Available For Sale Securities [Line Items]    
Total Fair Value $ 40,272 $ 39,331
Level I
   
Schedule Of Available For Sale Securities [Line Items]    
Total Fair Value 40,247 39,284
Level II
   
Schedule Of Available For Sale Securities [Line Items]    
Total Fair Value 25 47
Level III
   
Schedule Of Available For Sale Securities [Line Items]    
Total Fair Value   0
Certificate of Deposit
   
Schedule Of Available For Sale Securities [Line Items]    
Total Fair Value 2,859 2,858
Certificate of Deposit | Level I
   
Schedule Of Available For Sale Securities [Line Items]    
Total Fair Value 2,859 2,858
U.S. Treasuries
   
Schedule Of Available For Sale Securities [Line Items]    
Total Fair Value 36,880 35,918
U.S. Treasuries | Level I
   
Schedule Of Available For Sale Securities [Line Items]    
Total Fair Value 36,880 35,918
Mutual Funds
   
Schedule Of Available For Sale Securities [Line Items]    
Total Fair Value 508 508
Mutual Funds | Level I
   
Schedule Of Available For Sale Securities [Line Items]    
Total Fair Value 508 508
Interest Rate Cap
   
Schedule Of Available For Sale Securities [Line Items]    
Total Fair Value 25 47
Interest Rate Cap | Level II
   
Schedule Of Available For Sale Securities [Line Items]    
Total Fair Value $ 25 $ 47