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FAIR VALUE MEASUREMENTS (Details) (USD $)
Jun. 30, 2013
Jun. 30, 2012
Assets:    
Marketable equity securities $ 9,695,000 $ 15,015,000
Recurring basis | Carrying Amount
   
Assets:    
United States treasury bills 500,000,000  
Marketable equity securities 9,695,000  
Liabilities:    
Debt 370,000,000  
Amount of equity component of convertible notes 77,000,000  
Recurring basis | Fair value
   
Assets:    
United States treasury bills 500,000,000  
Marketable equity securities 9,695,000  
Total assets 509,695,000  
Liabilities:    
Debt 345,025,000  
Total liabilities 345,025,000  
Recurring basis | Level 1
   
Assets:    
United States treasury bills 500,000,000  
Marketable equity securities 9,695,000  
Total assets 509,695,000  
Liabilities:    
Debt 345,025,000  
Total liabilities $ 345,025,000