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Aggregate Contractual Maturities of Indebtedness by Year (Parenthetical) (Detail) - USD ($)
$ in Thousands
Jun. 30, 2018
Dec. 31, 2017
Extinguishment Of Debt [Line Items]    
Unpaid Principal Balance $ 958,182 $ 1,419,653
Recourse Indebtedness    
Extinguishment Of Debt [Line Items]    
Unpaid Principal Balance 247,096 313,700
Recourse Indebtedness | 7.0% convertible senior notes    
Extinguishment Of Debt [Line Items]    
Unpaid Principal Balance [1] $ 871 $ 871
Convertible senior notes interest rate 7.00% 7.00%
Recourse Indebtedness | 4.0% convertible senior notes    
Extinguishment Of Debt [Line Items]    
Unpaid Principal Balance [2] $ 68,222 $ 110,513
Convertible senior notes interest rate 4.00% 4.00%
[1] Our 7.0% convertible senior notes are redeemable at par, at the option of the holder, in April 2021, and April 2026.
[2] Our 4.0% convertible senior notes are redeemable at par, at the option of the holder, in October 2018, October 2023, and October 2028.