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Debt (Tables)
12 Months Ended
Dec. 31, 2020
Debt [Abstract]  
Schedule Of Outstanding Debt Obligations

December 31,

December 31,

2020

2019

6.750% senior notes, due May 2027(1)

$

494,768

$

494,307

5.875% senior notes, due July 2025(1)

396,821

396,120

Other financing obligations

3,286

6,277

Notes payable

894,875

896,704

Revolving line of credit, due April 2023

68,700

Mortgage repurchase facilities

259,050

174,095

Total debt

$

1,153,925

$

1,139,499

(1) The carrying value of senior notes reflects the impact of premiums, discounts, and issuance costs that are amortized to interest cost over the respective terms of the senior notes.

Schedule Of Aggregate Annual Maturities Of Debt

2021

$

262,296

2022

40

2023

2024

2025

400,000

Thereafter

500,000

Total

1,162,336

Less: Discount and deferred financing costs, net on senior notes

(8,411)

Carrying amount

$

1,153,925