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BUSINESS SEGMENT INFORMATION (Tables)
3 Months Ended
Mar. 31, 2020
BUSINESS SEGMENT INFORMATION  
Schedule of operating segment revenues by major service lines

Three months ended

March 31, 

(in thousands)

    

2020

    

2019

Technical Services:

 

  

 

  

Pressure Pumping

$

96,765

$

147,759

Downhole Tools

 

85,908

 

109,671

Coiled Tubing

 

16,239

 

20,178

Nitrogen

 

9,931

 

11,308

Snubbing

 

2,304

 

3,463

All other

 

16,553

 

21,700

Total Technical Services

$

227,700

$

314,079

Support Services:

 

 

Rental Tools

$

10,404

$

13,936

All other

 

5,673

 

6,641

Total Support Services

$

16,077

$

20,577

Total Revenues

$

243,777

$

334,656

Schedule of revenue by geographical location

Three months ended

March 31, 

(in thousands)

    

2020

    

2019

United States revenues

$

227,994

$

313,968

International revenues

 

15,783

 

20,688

Total revenues

$

243,777

$

334,656

Schedule of segment reporting information by segment

Three months ended

March 31, 

(in thousands)

    

2020

    

2019

Revenues:

 

  

 

  

Technical Services

$

227,700

$

314,079

Support Services

 

16,077

 

20,577

Total revenues

$

243,777

$

334,656

Operating (loss) income:

 

 

Technical Services

$

(12,207)

$

(4,457)

Support Services

 

1,547

 

3,137

Corporate Expenses

 

(3,330)

 

(4,345)

Impairment and Other Charges (1)

(205,536)

Gain on disposition of assets, net

 

819

 

3,504

Total operating loss

$

(218,707)

$

(2,161)

Interest expense

 

(113)

 

(89)

Interest income

 

334

 

800

Other (expense) income , net

 

(308)

 

445

Loss before income taxes

$

(218,794)

$

(1,005)

(1)Relates exclusively to Technical Services

As of and for the three months ended

Technical

Support

March 31, 2020

    

Services

    

Services

    

Corporate

    

Total

(in thousands)

 

  

 

  

 

  

 

  

Depreciation and amortization

$

36,995

$

2,228

$

70

$

39,293

Capital expenditures

 

20,338

 

4,681

 

 

25,019

Identifiable assets

$

654,354

(1)  

$

70,022

$

173,254

$

897,630

(1)Reflects impact of impairment charges recorded during the three months ended March 31, 2020.

As of and for the three months ended

Technical

Support

March 31, 2019

    

Services

    

Services

    

Corporate

    

Total

(in thousands)

Depreciation and amortization

$

39,902

$

2,511

$

92

$

42,505

Capital expenditures

 

59,889

 

2,069

 

322

 

62,280

Identifiable assets

$

969,036

$

82,111

$

175,345

$

1,226,492