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Outstanding Loans and Security Agreements (Tables)
6 Months Ended
Jun. 30, 2022
Debt Disclosure [Abstract]  
Schedule of Debt
The following is a summary of our debt as of June 30, 2022 (in thousands, except percentage data):
 Unpaid
Principal
Balance
Net Carrying ValueInterest
Rate
Maturity DatesEntityRecourse
 CurrentLong-
Term
Total
10.25% Senior Secured Notes due March 2027
$67,980 $12,434 $54,690 $67,124 10.25%March 2027CompanyYes
2.5% Green Convertible Senior Notes due August 2025
230,000  223,848 223,848 2.5%August 2025CompanyYes
Total recourse debt297,980 12,434 278,538 290,972 
3.04% Senior Secured Notes due June 30, 2031
129,061 9,643 117,586 127,229 3.04%June 2031PPA VNo
6.07% Senior Secured Notes due March 2030
71,687 5,091 65,969 71,060 6.07%March 2030PPA IVNo
Total non-recourse debt200,748 14,734 183,555 198,289 
Total debt$498,728 $27,168 $462,093 $489,261 

The following is a summary of our debt as of December 31, 2021 (in thousands, except percentage data):
 Unpaid
Principal
Balance
Net Carrying ValueInterest
Rate
Maturity DatesEntityRecourse
 CurrentLong-
Term
Total
10.25% Senior Secured Notes due March 2027
$70,000 $8,348 $60,620 $68,968 10.25%March 2027CompanyYes
2.5% Green Convertible Senior Notes due August 2025
230,000 — 222,863 222,863 2.5%August 2025CompanyYes
Total recourse debt300,000 8,348 283,483 291,831 
3.04% Senior Secured Notes due June 30, 2031
134,644 9,376 123,255 132,631 3.04%June 2031PPA VNo
7.5% Term Loan due September 2028
31,070 3,436 25,570 29,006 7.5%September 
2028
PPA IIIaNo
6.07% Senior Secured Notes due March 2030
73,955 4,671 68,591 73,262 6.07%March 2030PPA IVNo
Total non-recourse debt239,669 17,483 217,416 234,899 
Total debt$539,669 $25,831 $500,899 $526,730 
Both note purchase and credit agreements require us to maintain a debt service reserve, the balances of which are presented below (in millions):
June 30,December 31,
20222021
   
3.04% Senior Secured Notes due June 30, 2031
$8.0 $8.0 
7.5% Term Loan due September 2028
— 3.6 
6.07% Senior Secured Notes due March 2030
9.3 9.1 
Schedule of Repayment and Interest Expense
The following table presents details of our outstanding loan principal repayment schedule as of June 30, 2022 (in thousands):
Remainder of 2022$12,524 
202328,503 
202431,872 
2025265,494 
202639,078 
Thereafter121,257 
$498,728