XML 50 R36.htm IDEA: XBRL DOCUMENT v3.21.2
Debt and Financing Arrangements (Tables)
6 Months Ended
Jun. 30, 2021
Debt and Financing Arrangements  
Schedule of Long-term debt

    

June 30, 

    

December 31, 

2021

2020

 

(In thousands)

Term loan due 2024 ($287.3 million face value)

$

286,638

$

288,033

Tax Exempt Bonds ($98.1 million face value)

98,075

53,090

Convertible Debt ($155.3 million face value)

118,394

115,367

Other

 

43,948

 

62,695

Debt issuance costs

 

(11,167)

 

(10,873)

535,888

508,312

Less: current maturities of debt

 

133,812

 

31,097

Long-term debt

$

402,076

$

477,215

Schedule of Interest Rate Derivatives

Below is a summary of the Company’s outstanding interest rate swap agreements designated as hedges as of June 30, 2021:

Notional Amount

(in millions)

    

Effective Date

    

Fixed Rate

    

Receive Rate

    

Expiration Date

$

100.0

June 30, 2021

 

2.315

%  

1-month LIBOR

June 30, 2023