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Debt Obligations (Details) - USD ($)
$ in Thousands
Jun. 30, 2018
Dec. 31, 2017
Principal outstanding repayable    
2018 $ 19,134  
2019 38,537  
2020 38,137  
2021 704,374  
2022 190,889  
Thereafter 258,405  
Total 1,249,476 $ 1,103,743
Less: unamortized debt issuance costs (16,629) (18,338)
Total debt obligations 1,232,847 1,085,405
Credit facility at a floating rate of interest of one-month LIBOR plus 2% and maturity date of April 2021    
Long Term Debt    
Maximum borrowing capacity under credit facility $ 890,000  
Fixed rate (as a percent) 2.10%  
Principal outstanding repayable    
Total $ 666,000 491,000
WEST III Series A 2017-1 term notes payable at a fixed rate of interest of 4.69%, maturing in August 2042. Secured by engines    
Long Term Debt    
Fixed rate (as a percent) 4.69%  
Principal outstanding repayable    
Total $ 282,686 289,295
WEST III Series B 2017-1 term notes payable at a fixed rate of interest of 6.36%, maturing in August 2042. Secured by engines    
Long Term Debt    
Fixed rate (as a percent) 6.36%  
Principal outstanding repayable    
Total $ 40,425 41,370
WEST II Series 2012-A term notes payable at a fixed rate of interest of 5.50%, maturing in September 2037, secured by engines    
Long Term Debt    
Fixed rate (as a percent) 5.50%  
Principal outstanding repayable    
Total $ 248,530 259,022
Note payable at fixed interest rates ranging from 2.60% to 2.97%, maturing in July 2024. Secured by an aircraft    
Principal outstanding repayable    
Total $ 11,835 12,720
Note payable at fixed interest rates ranging from 2.60% to 2.97%, maturing in July 2024. Secured by an aircraft | Minimum    
Long Term Debt    
Fixed rate (as a percent) 2.60%  
Note payable at fixed interest rates ranging from 2.60% to 2.97%, maturing in July 2024. Secured by an aircraft | Maximum    
Long Term Debt    
Fixed rate (as a percent) 2.97%  
Note payable at a variable interest rate of 2.25%, maturing in January 2018, secured by engines    
Long Term Debt    
Fixed rate (as a percent) 2.25%  
Principal outstanding repayable    
Total   $ 10,336
Revolving credit facility    
Long Term Debt    
Maximum borrowing capacity under credit facility $ 890,000  
Amount of debt available under accordion feature 1,000,000  
Line of credit facility outstanding amount $ 666,000