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Fair Value Measurements Financial Instruments (Details) (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2014
Dec. 31, 2013
Carrying (Reported) Amount, Fair Value Disclosure [Member]
   
ASSETS:    
Cash, cash equivalents and restricted cash $ 26,066 $ 142,627
Mortgage loans held for sale 76,983 81,810
Split dollar life insurance policies 189 171
Notes receivable 4,406 3,151
Commitments to extend real estate loans (assets) 434 0
Best efforts contracts for committed IRLCs and mortgage loans held for sale - fair value disclosures (assets) 51 479
Forward sales of mortgage-backed securities 0 745
LIABILITIES:    
Note payable - banks 88,178 80,029
Notes payable - other 8,530 7,790
Convertible senior subordinated notes due 2017 - Fair Value Disclosure 57,500 57,500
Convertible senior subordinated notes due 2018 - Fair Value Disclosure 86,250 86,250
Senior notes 228,369 228,070
Commitments to extend real estate loans (Liabilities) 0 319
Forward sales of mortgage-backed securities 41 0
Off-Balance Sheet Letters of Credit 0 0
Estimate of Fair Value, Fair Value Disclosure [Member]
   
ASSETS:    
Cash, cash equivalents and restricted cash 26,066 142,627
Mortgage loans held for sale 76,983 81,810
Split dollar life insurance policies 189 171
Notes receivable 3,778 2,784
Commitments to extend real estate loans (assets) 434 0
Best efforts contracts for committed IRLCs and mortgage loans held for sale - fair value disclosures (assets) 51 479
Forward sales of mortgage-backed securities 0 745
LIABILITIES:    
Note payable - banks 88,178 80,029
Notes payable - other 8,012 7,452
Convertible senior subordinated notes due 2017 - Fair Value Disclosure 63,322 74,391
Convertible senior subordinated notes due 2018 - Fair Value Disclosure 86,142 95,845
Senior notes 240,350 248,975
Commitments to extend real estate loans (Liabilities) 0 319
Forward sales of mortgage-backed securities 41 0
Off-Balance Sheet Letters of Credit $ 595 $ 413