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Note 17 INTEREST EXPENSE (Tables)
3 Months Ended
Mar. 31, 2012
    2012     2011  
Match funded liabilities   $ 31,115     $ 20,784  
Secured borrowings – owed to securitization investors     256       196  
Lines of credit and other secured borrowings     14,222       15,238  
Debt securities:                
3.25% Convertible Notes     153       459  
10.875% Capital Trust Securities     710       710  
Escrow deposits     468       156  
    $ 46,924     $ 37,543