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Borrowings (Tables)
12 Months Ended
Dec. 31, 2018
Debt Disclosure [Abstract]  
Schedule of Borrowings
Borrowings at December 31, 2018 and 2017 consisted of the following:
 
2018
 
2017
 
(In thousands)
Revolving Facility
$

 
$
10,740

4.50% Senior Notes, due December 2020
300,000

 
300,000

4.20% Senior Notes, due December 2021
350,000

 
350,000

3.20% Senior Notes, due June 2023
100,000

 
100,000

3.37% Senior Notes, due June 2025
100,000

 
100,000

Other borrowings
1,078

 
1,446

Total borrowings
851,078

 
862,186

Less current portion
483

 
258

Less deferred debt issuance costs
1,593

 
2,204

Less unaccreted debt discount
667

 
936

Total long-term borrowings
$
848,335

 
$
858,788

Schedule of Maturities of Borrowings
Total borrowings at December 31, 2018 have scheduled maturities as follows:
(In thousands)
 
2019
$
483

2020
300,595

2021
350,000

2022

2023
100,000

Thereafter
100,000

Total borrowings
$
851,078