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FAIR VALUE MEASUREMENT (Details) (Fair value measured on recurring basis, USD $)
In Thousands, unless otherwise specified
Jun. 30, 2013
Dec. 31, 2012
Level 1
   
Financial assets:    
Available-for-sale securities $ 68,805 $ 44,719
Total financial assets 68,805 44,719
Level 2
   
Financial assets:    
Trade receivables 60,001 67,750
Fair value of derivative financial instruments 7,135 2,112
Total financial assets 67,136 69,862
Financial liabilities:    
Fair value of derivative financial instruments 1,968 277
Total
   
Financial assets:    
Trade receivables 60,001 67,750
Available-for-sale securities 68,805 44,719
Fair value of derivative financial instruments 7,135 2,112
Total financial assets 135,941 114,581
Financial liabilities:    
Fair value of derivative financial instruments $ 1,968 $ 277