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Fair-Value Measurements (Tables)
12 Months Ended
Dec. 31, 2011
Fair-Value Measurements [Abstract]  
Placement Of Assets And Liabilities Within The Fair Value Hierarchy Levels
     Fair Value at December 31, 2011      Fair Value at December 31, 2010  

Recurring Fair Value Measures

   Level 1     Level 2      Level 3      Level 1     Level 2      Level 3  

Commodity derivatives:

               

Assets

   $ 306      $ —         $ —         $ 507      $ —         $ —     

Liabilities

   $ (2,820   $ —         $ —         $ (2,474   $ —         $ —     
Reconciliation Of Changes In Fair Value Of The Beginning And Ending Balances For Our Derivatives Measured At Fair Value
     Year Ended December 31,  
     2010     2009  

Balance at beginning of period

   $ (1,688   $ (1,964

Realized and unrealized gains (losses)-

    

Reclassified into interest expense for settled contracts

     2,112        784   

Included in other comprehensive income (loss)

     (424     (508
  

 

 

   

 

 

 

Balance at end of period

   $ —        $ (1,688