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Financial Instruments and Fair Value Measurement (Tables)
6 Months Ended
Jun. 30, 2011
Financial Instruments And Fair Value Measurement [Abstract]  
Assets and liabilities measured at fair value on recurring basis
                                 
            Quoted Price in     Significant     Significant  
            Active Markets for     Other Observable     Unobservable  
    Balance at     Identical Assets     Inputs     Inputs  
    June 30, 2011     (Level 1)     (Level 2)     (Level 3)  
Assets:
                               
Cash equivalents
  $ 4,954     $     $ 4,954     $  
Available-for-sale securities
    1,141,067       685       1,140,382        
Interest rate swaps
    14,336             14,336        
Warrants
    2,082                   2,082  
 
                       
Total assets
  $ 1,162,439     $ 685     $ 1,159,672     $ 2,082  
 
                       
 
                               
Liabilities:
                               
Forward currency contracts
  $ (77,144 )   $     $ (77,144 )   $  
Acquisition related contingent consideration
    (353,767 )     (268,711 )           (85,056 )
 
                       
Total liabilities
  $ (430,911 )   $ (268,711 )   $ (77,144 )   $ (85,056 )
 
                       
                                 
            Quoted Price in     Significant     Significant  
            Active Markets for     Other Observable     Unobservable  
    Balance at     Identical Assets     Inputs     Inputs  
    December 31, 2010     (Level 1)     (Level 2)     (Level 3)  
Assets:
                               
Cash equivalents
  $ 5,000     $     $ 5,000     $  
Available-for-sale securities
    1,250,173       4,268       1,242,402       3,503  
Warrants
    1,757                   1,757  
Warrants classified as held for sale
    1,904                   1,904  
Securities classified as held for sale
    19,863       3,655             16,208  
 
                       
Total assets
  $ 1,278,697     $ 7,923     $ 1,247,402     $ 23,372  
 
                       
 
                               
Liabilities:
                               
Forward currency contracts
  $ (18,436 )   $     $ (18,436 )   $  
Acquisition related contingent consideration
    (464,937 )     (212,042 )           (252,895 )
 
                       
Total liabilities
  $ (483,373 )   $ (212,042 )   $ (18,436 )   $ (252,895 )
 
                       
Fair value of Level 3 securities
                 
    Six-Month Periods Ended June 30,  
    2011     2010  
Assets:
               
Balance at beginning of period
  $ 23,372     $ 1,598  
Amounts acquired or issued
           
Net gains (losses) (realized and unrealized)
    1,187       (22 )
Settlements
    (22,477 )      
Transfers in and/or out of Level 3
           
 
           
Balance at end of period
  $ 2,082     $ 1,576  
 
           
                 
    Six-Month Periods Ended June 30,  
    2011     2010  
Liabilities:
               
Balance at beginning of period
  $ (252,895 )   $  
Amounts acquired or issued
          (230,201 )
Net accretion
    (12,161 )     (10,754 )
Settlements
           
Transfers in and/or out of Level 3
    180,000        
 
           
Balance at end of period
  $ (85,056 )   $ (240,955 )