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Investments (Tables)
9 Months Ended
Sep. 30, 2014
Investments, Debt and Equity Securities [Abstract]  
Schedule Of Amortized Costs And Fair Value
The following table summarizes, by major security type, the amortized costs and fair value of the Company’s investments: 
 
September 30, 2014
 
December 31, 2013
(In thousands)
Cost Basis
 
Fair Value
 
Net unrealized loss in AOCI (1)
 
Cost Basis
 
Fair Value
 
Net unrealized loss in AOCI (1)
Short-term bond mutual funds
$
24,000

 
$
23,917

 
$
(83
)
 
$
8,000

 
$
7,985

 
$
(15
)
Certificates of deposit
1,101

 
1,101

 

 
1,070

 
1,070

 

Investment in ViSalus
9,750

 
9,750

 

 

 

 

Total investments
$
34,851

 
$
34,768

 
$
(83
)
 
$
9,070

 
$
9,055

 
$
(15
)
Schedule Of Gains And Losses
 
Three months ended
Nine months ended
 (In thousands)
September 30, 2014
September 30, 2013
September 30, 2014
September 30, 2013
Net proceeds
$

$
9,585

$
4,000

$
37,861

Realized losses
$

$
(48
)
$

$
(105
)