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Fair Value Measurements (Details) (USD $)
9 Months Ended 12 Months Ended
Sep. 30, 2012
Dec. 31, 2011
Available-for-sale securities    
Total cost of available-for-sale securities $ 153,000  
Unrealized gain on available-for-sale securities 128,000  
Unrealized losses on available-for-sale securities 1,000  
Aggregate net unrealized gain on available-for-sale securities 127,000  
Gross proceeds of available-for-sale securities 369,000  
Net realized gain on available-for-sale securities 9,000  
Impairment charge on available-for-sale securities   126,000
Recurring | Carrying and fair Value
   
Available-for-sale securities:    
Equity securities 280,000  
Financial liabilities:    
Derivative financial instruments 1,453,000  
Recurring | Level 1
   
Available-for-sale securities:    
Equity securities 280,000  
Recurring | Level 2
   
Financial liabilities:    
Derivative financial instruments 1,453,000  
Mortgages and loan payable
   
Fair Value of Financial Instruments    
Estimated fair value of debt instrument 217,039,000  
Excess of fair value over carrying value 6,494,000  
Blended or estimated market interest rate (as a percent) 4.75%  
Weighted average remaining term of the mortgages 6 years 10 months 24 days  
Line of credit
   
Fair Value of Financial Instruments    
Carrying amount of debt instrument $ 6,350,000