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Loans Receivable and Other Lending Investments, net (Securities) (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Mar. 31, 2014
Schedule of Debt Securities [Line Items]  
Face Value $ 150,216
Amortized Cost Basis 153,419
Estimated Fair Value 153,466
Net Carrying Amount 153,466
Municipal Bonds
 
Schedule of Debt Securities [Line Items]  
Available-for-sale Securities, Face Value 1,040
Available-for-sale Securities, Amortized Cost Basis 1,040
Available-for-sale Securities, Net Unrealized Gain (Loss) 47
Available-for-sale Securities, Estimated Fair Value and Net Carrying Value 1,087
Corporate Debt Securities
 
Schedule of Debt Securities [Line Items]  
Held-to-Maturity Securities, Face Value 149,176
Held-to-Maturity Securities, Amortized Cost Basis 152,379
Held-to-Maturity Securities, Net Unrealized Gain (Loss) 0
Held-to-Maturity Securities, Estimated Fair Value 152,379
Held-to-maturity Securities 152,379
Debt Securities
 
Schedule of Debt Securities [Line Items]  
Available-for-sale Securities, Net Unrealized Gain (Loss) $ 47