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Debt (Tables)
6 Months Ended
Jun. 25, 2020
Debt Disclosure [Abstract]  
Schedule of Long Term Debt
The following table summarizes the Company's long-term debt as of June 25, 2020 and December 26, 2019:
in thousandsJune 25, 2020December 26, 2019
Credit Facilities:
UBS Facility Term Loan B$144,263  $145,500  
UBS Facility Term Loan B-175,000  —  
Wells Facility Revolving Line of Credit—  —  
Total secured debt at par value219,263  145,500  
Less: unamortized discount and debt issuance costs9,728  2,894  
Net carrying amount209,535  142,606  
Less: current maturities2,558  —  
Total long-term debt$206,977  $142,606  
Total debt at fair value$203,915  $145,136  
Schedule of Maturities of Debt
The following table summarizes scheduled maturities of the Company’s debt, including current maturities, as of June 25, 2020:
in thousandsAmount
Twenty-seven weeks ending December 31, 2020$1,460  
20211,647  
20222,196  
20232,196  
20242,196  
Thereafter (1)209,568  
Total minimum debt payments$219,263  
(1)Thereafter maturities are comprised of $137.8 million due under the term loan B facility and $71.8 million due under the term loan B-1 facility through February 14, 2027.