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Fair Value Measurements Financial Instruments (Details) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
ASSETS:    
Notes receivable $ 8,800 $ 900
LIABILITIES:    
Convertible senior subordinated notes 57,500 0
Carrying (Reported) Amount, Fair Value Disclosure [Member]
   
ASSETS:    
Cash, cash equivalents and restricted cash 154,178 101,127
Mortgage loans held for sale 71,121 57,275
Split dollar life insurance policies 710 719
Notes receivable 8,787 851
Commitments to extend real estate loans 1 356
Forward sales of mortgage-backed securities 253 0
LIABILITIES:    
Notes payable - banks 67,957 52,606
Notes payable - other 11,105 5,521
Convertible senior subordinated notes 57,500 0
Senior notes 227,670 239,016
Best-efforts contracts for committed IRLCs and mortgage loans held for sale 3 470
Forward sales of mortgage-backed securities 0 129
Fair Value Disclosure, Off-balance Sheet Risks, Carying Value, Liability - Letters of Credit 0 0
Estimate of Fair Value, Fair Value Disclosure [Member]
   
ASSETS:    
Cash, cash equivalents and restricted cash 154,178 101,127
Mortgage loans held for sale 71,121 57,275
Split dollar life insurance policies 678 655
Notes receivable 7,460 753
Commitments to extend real estate loans 1 356
Forward sales of mortgage-backed securities 253 0
LIABILITIES:    
Notes payable - banks 67,957 52,606
Notes payable - other 11,148 6,076
Convertible senior subordinated notes 74,175 0
Senior notes 250,700 218,925
Best-efforts contracts for committed IRLCs and mortgage loans held for sale 3 470
Forward sales of mortgage-backed securities 0 129
Fair Value Disclosure, Off-balance Sheet Risks, Fair Value, Liability - Letters of credit $ 493 $ 792