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FAIR VALUE MEASUREMENT (Details) (Fair value measured on recurring basis, USD $)
In Thousands, unless otherwise specified
Sep. 30, 2012
Total
 
Financial assets:  
Cash equivalents and short-term investments $ 11,473
Available-for-sale securities 92,150
Trade receivables 77,044
Fair value of derivative financial instruments 3,613
Total financial assets 184,280
Maximum term of maturity from the date of purchase to classify marketable securities as cash equivalents 3 months
Minimum term of maturity from the date of purchase to classify marketable securities as short-term investments 3 months
Level 1
 
Financial assets:  
Available-for-sale securities 92,150
Total financial assets 92,150
Level 2
 
Financial assets:  
Cash equivalents and short-term investments 11,473
Trade receivables 77,044
Fair value of derivative financial instruments 3,613
Total financial assets $ 92,130