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Debt and Financing Arrangements (Tables)
3 Months Ended
Mar. 31, 2019
Debt Disclosure [Abstract]  
Debt
 
 
March 31,
 
December 31,
 
 
2019
 
2018
 
 
(In thousands)
Term loan due 2024 ($294.0 million face value)
 
$
292,924

 
$
293,626

Other
 
25,849

 
30,449

Debt issuance costs
 
(5,830
)
 
(6,092
)
 
 
312,943

 
317,983

Less: current maturities of debt
 
15,210

 
17,797

Long-term debt
 
$
297,733

 
$
300,186

Schedule of Interest Rate Derivatives
Below is a summary of the Company’s outstanding interest rate swap agreements designated as hedges as of March 31, 2019:

Notional Amount (in millions)
Effective Date
Fixed Rate
Receive Rate
Expiration Date
 
 
 
 
 
$250.0
June 29, 2018
1.662%
1-month LIBOR
June 28, 2019
$250.0
June 28, 2019
2.025%
1-month LIBOR
June 30, 2020
$200.0
June 30, 2020
2.249%
1-month LIBOR
June 30, 2021
$100.0
June 30, 2021
2.315%
1-month LIBOR
June 30, 2023