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Outstanding Loans and Security Agreements (Tables)
6 Months Ended
Jun. 30, 2020
Debt Disclosure [Abstract]  
Schedule of debt
The following is a summary of our debt as of June 30, 2020 (in thousands):
 Unpaid
Principal
Balance
Net Carrying ValueUnused
Borrowing
Capacity
Interest
Rate
Maturity DatesEntityRecourse
 CurrentLong-
Term
Total
LIBOR + 4% term loan due November 2020
$714  $697  $—  $697  $—  LIBOR plus
margin
November 2020CompanyYes
10% convertible promissory notes due December 2021
249,299  —  263,405  263,405  —  10.0%December 2021CompanyYes
10% notes due July 2024
86,000  14,000  69,497  83,497  —  10.0%July 2024CompanyYes
10.25% senior secured notes due March 2027
70,000  —  68,437  68,437  —  10.25%March 2027CompanyYes
Total recourse debt406,013  14,697  401,339  416,036  —  
7.5% term loan due September 2028
35,675  2,567  30,078  32,645  —  7.5%September 
2028
PPA IIIaNo
6.07% senior secured notes due March 2030
79,466  3,511  75,054  78,565  —  6.1%March 2030PPA IVNo
LIBOR + 2.5% term loan due December 2021
119,472  5,289  113,184  118,473  —  LIBOR plus
margin
December 2021PPA VNo
Letters of Credit due December 2021—  —  —  —  968  2.25%December 2021PPA VNo
Total non-recourse debt234,613  11,367  218,316  229,683  968  
Total debt$640,626  $26,064  $619,655  $645,719  $968  

The following is a summary of our debt as of December 31, 2019 (in thousands):
 Unpaid
Principal
Balance
Net Carrying ValueUnused
Borrowing
Capacity
Interest
Rate
Maturity DatesEntityRecourse
 CurrentLong-
Term
Total
LIBOR + 4% term loan due November 2020
$1,571  $1,536  $—  $1,536  $—  LIBOR
plus margin
November 2020CompanyYes
5% convertible promissory note due December 2020
33,104  36,482  —  36,482  —  5.0%December 2020CompanyYes
6% convertible promissory notes due December 2020
289,299  273,410  —  273,410  —  6.0%December 2020CompanyYes
10% notes due July 2024
93,000  14,000  75,962  89,962  —  10.0%July 2024CompanyYes
Total recourse debt416,974  325,428  75,962  401,390  —  
7.5% term loan due September 2028
38,337  3,882  31,087  34,969  —  7.5%September 2028PPA IIIaNo
6.07% senior secured notes due March 2030
80,988  3,151  76,865  80,016  —  6.1%March 2030PPA IVNo
LIBOR + 2.5% term loan due December 2021
121,784  5,122  115,315  120,437  —  LIBOR plus
margin
December 2021PPA VNo
Letters of Credit due December 2021—  —  —  —  1,220  2.25%December 2021PPA VNo
Total non-recourse debt241,109  12,155  223,267  235,422  1,220  
Total debt$658,083  $337,583  $299,229  $636,812  $1,220  
Schedule of repayment
The following table presents detail of our outstanding loan principal repayment schedule as of June 30, 2020 (in thousands):
Remainder of 2020$20,373  
2021395,201  
202238,480  
202344,768  
202439,615  
Thereafter102,189  
$640,626