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FAIR VALUE (Fair Value of Financial Instruments, Excluding Instruments Valued on a Recurring Basis) (Details) (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Sep. 30, 2012
Carrying Amount [Member]
   
Assets:    
Receivables from managed entities and related parties, net $ 30,618 $ 34,418
Total 30,618 34,418
Borrowings:    
Total 21,040 21,343
Carrying Amount [Member] | Corporate Secured Credit Facilities and Note [Member]
   
Borrowings:    
Corporate secured credit facilities and note 0 0
Carrying Amount [Member] | Real Estate Debt [Member]
   
Borrowings:    
Real estate debt 10,473 10,531
Carrying Amount [Member] | Senior Notes [Member]
   
Borrowings:    
Senior Notes 10,000 10,000
Carrying Amount [Member] | Other Debt [Member]
   
Borrowings:    
Other debt 567 812
Estimated Fair Value [Member]
   
Assets:    
Receivables from managed entities and related parties, net 30,618 34,418
Total 30,618 34,418
Borrowings:    
Total 23,693 23,730
Estimated Fair Value [Member] | Corporate Secured Credit Facilities and Note [Member]
   
Borrowings:    
Corporate secured credit facilities and note 0 0
Estimated Fair Value [Member] | Real Estate Debt [Member]
   
Borrowings:    
Real estate debt 11,398 11,554
Estimated Fair Value [Member] | Senior Notes [Member]
   
Borrowings:    
Senior Notes 11,728 11,364
Estimated Fair Value [Member] | Other Debt [Member]
   
Borrowings:    
Other debt $ 567 $ 812