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Financial Instruments and Fair Value Disclosures (Tables)
6 Months Ended
Jun. 30, 2011
Financial Instruments and Fair Value Disclosures [Abstract]  
Fair values and related carrying values of our debt instruments
                                 
     
    June 30, 2011     December 31, 2010  
    Fair Value     Carrying Value     Fair Value     Carrying Value  
     
            (In millions)          
4.875% Senior Notes
  $ 271.1     $ 249.7     $ 270.0     $ 249.7  
5.15% Senior Notes
    274.0       249.8       271.1       249.7  
5.70% Senior Notes
    492.6       496.8       493.1       496.8  
5.875% Senior Notes
    558.2       499.4       550.9       499.4  
Assets and liabilities measured at fair value on a recurring basis
                                 
    June 30, 2011  
    Fair Value Measurements Using     Assets at Fair  
    Level 1     Level 2     Level 3     Value  
     
    (In thousands)  
Assets:
                               
Short-term investments
  $ 944,290     $     $     $ 944,290  
FOREX contracts
          8,410             8,410  
Mortgage-backed securities
          494             494  
     
Total assets
  $ 944,290     $ 8,904     $     $ 953,194  
     
                                 
    December 31, 2010  
    Fair Value Measurements Using     Assets at Fair  
    Level 1     Level 2     Level 3     Value  
     
    (In thousands)  
Assets:
                               
Short-term investments
  $ 1,042,224     $     $     $ 1,042,224  
FOREX contracts
          4,327             4,327  
Corporate bonds
          11,760             11,760  
Mortgage-backed securities
          606             606  
     
Total assets
  $ 1,042,224     $ 16,693     $     $ 1,058,917  
     
 
                               
Liabilities:
                               
FOREX contracts
  $     $ (121 )   $     $ (121 )