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Fair Value of Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2013
Fair Value of Financial Instruments  
Schedule of assets and liabilities measured at fair value on a recurring basis

 

 
  December 31, 2013  
 
  Fair Value
Measurements Using
   
 
 
  Total Fair
Value
 
(in thousands)
  Level 1   Level 2   Level 3  

Assets:

                         

Interest rate cap

  $   $ 1   $   $ 1  
                   
                   

Liabilities:

                         

Interest rate swaps

  $   $ 3,080   $   $ 3,080  
                   
                   

 

 
  December 31, 2012  
 
  Fair Value
Measurements Using
   
 
 
  Total Fair
Value
 
(in thousands)
  Level 1   Level 2   Level 3  

Assets:

                         

Interest rate cap

  $   $ 12   $   $ 12  
                   
                   

Liabilities:

                         

Interest rate swaps

  $   $ 6,615   $   $ 6,615  
                   
                   
Schedule of carrying amounts and fair values of debt

The carrying amounts and fair values of the Company's debt are presented below (in thousands):

 
  December 31, 2013   December 31, 2012  
(in thousands)
  Carrying
Amount
  Fair Value   Carrying
Amount
  Fair Value  

2011 Term Loan A

  $ 401,052   $ 403,517   $ 756,974   $ 758,867  

2011 Term Loan B

  $ 968,581   $ 959,838   $ 1,127,770   $ 1,135,293  

9.875% Senior Notes

  $ 496,831   $ 431,250   $ 496,510   $ 500,000  

8.50% Senior Notes

  $ 450,000   $ 374,625   $   $  

9.50% Senior Secured Notes

  $ 447,492   $ 474,750   $   $