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Debt (Schedule Of Outstanding Debt Obligations) (Details) - USD ($)
$ in Thousands
Sep. 30, 2018
Dec. 31, 2017
Debt [Abstract]    
6.875% senior notes, due May 2022 [1] $ 380,224 $ 379,238
5.875% senior notes, due July 2025 [1] 395,238 394,725
3.278% insurance premium notes, due June 2019 9,673  
Other financing obligations 2,320 2,320
Notes payable 787,455 776,283
Revolving line of credit, due April 2022 236,000
Mortgage repurchase facilities 57,327 48,319
Total debt (Carrying amount) $ 1,080,782 $ 824,602
[1] The carrying value of senior notes reflects the impact of premiums, discounts, and issuance costs that are amortized to interest cost over the respective terms of the senior notes.