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DEBT - Schedule of Financial Covenants (Details) - Line of Credit - Subsequent Event
Oct. 27, 2020
Second Lien Notes  
Debt instrument  
Consolidated Total Net Leverage Ratio 3.45
Current Ratio 0.85
After December 31, 2021 | Second Lien Notes  
Debt instrument  
Consolidated Total Net Leverage Ratio 2.875
Revolving Credit Facility  
Debt instrument  
Consolidated Total Net Leverage Ratio 3.00
Current Ratio 1.00
Revolving Credit Facility | After December 31, 2021  
Debt instrument  
Consolidated Total Net Leverage Ratio 2.50