Quarterly report pursuant to Section 13 or 15(d)

Cash, Cash Equivalents and Available-For-Sale Securities (Details2)

v2.4.0.8
Cash, Cash Equivalents and Available-For-Sale Securities (Details2) (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2014
Dec. 31, 2013
Cash equivalents and available-for-sale securities    
Amortized Cost $ 148,142 $ 202,674
Gross Unrealized Gains 42 64
Gross Unrealized Losses (26) (17)
Fair Value Measurements Recurring [Member] | Fair Value Inputs Level2 [Member]
   
Cash equivalents and available-for-sale securities    
Fair Value 148,158 202,721
U S Treasury Securities [Member]
   
Cash equivalents and available-for-sale securities    
Amortized Cost 2,027 2,083
Gross Unrealized Gains 2 2
Fair Value 2,029 2,085
U S Treasury Securities [Member] | Fair Value Measurements Recurring [Member] | Fair Value Inputs Level2 [Member]
   
Cash equivalents and available-for-sale securities    
Fair Value 2,029 2,085
U S Government Sponsored Enterprises Debt Securities [Member]
   
Cash equivalents and available-for-sale securities    
Amortized Cost 52,082 67,160
Gross Unrealized Gains 19 29
Gross Unrealized Losses (8) (11)
Fair Value 52,093 67,178
U S Government Sponsored Enterprises Debt Securities [Member] | Fair Value Measurements Recurring [Member] | Fair Value Inputs Level2 [Member]
   
Cash equivalents and available-for-sale securities    
Fair Value 52,093 67,178
Corporate Bond Securities And Commercial Paper [Member]
   
Cash equivalents and available-for-sale securities    
Amortized Cost 94,033 133,431
Gross Unrealized Gains 21 33
Gross Unrealized Losses (18) (6)
Fair Value 94,036 133,458
Corporate Bond Securities And Commercial Paper [Member] | Fair Value Measurements Recurring [Member] | Fair Value Inputs Level2 [Member]
   
Cash equivalents and available-for-sale securities    
Fair Value $ 94,036 $ 133,458