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Credit Agreement and Senior Unsecured Notes (Tables)
9 Months Ended
Sep. 30, 2016
Debt Disclosure [Abstract]  
Schedule of Maturity Date and Amounts Outstanding Under Credit Agreement and Restated Prudential Note Purchase Agreement

As of September 30, 2016, the maturity date and amounts outstanding under the Credit Agreement and the Restated Prudential Note Purchase Agreement are as follows:

 

     Maturity Date    Amount  

Credit Agreement - Revolving Facility

   June 2018    $ 75,000,000   

Credit Agreement - Term Loan

   June 2020    $ 50,000,000   

Restated Prudential Note Purchase Agreement - Series A Notes

   February 2021    $ 100,000,000   

Restated Prudential Note Purchase Agreement - Series B Notes

   June 2023    $ 75,000,000