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Long-term Debt (Tables)
6 Months Ended
Jun. 30, 2016
Debt Disclosure [Abstract]  
Obligations
The following table is a summary of long-term debt obligations, net (in thousands):    
Obligations (in thousands)
 
June 30, 2016
 
December 31, 2015
Senior secured second-priority notes (maturing December 15, 2021)
 
$
120,569

 
$

Senior secured third-priority notes (maturing May 15, 2018)
 
28,497

 
175,000

Revolving line of credit
 
15,000

 

Equipment capital leases
 
6,068

 
9,762

Other debt
 
685

 
1,558

Costs associated with issuances of debt (1)
 
(5,318
)
 
(3,328
)
Total
 
165,501

 
182,992

Current portion of long-term debt and lease obligations
 
(20,371
)
 
(7,912
)
Non-current portion of long-term debt and lease obligations
 
$
145,130

 
$
175,080


(1) 
Represents debt issuance costs presented as a direct deduction from the carrying amount of the associated debt liability.
Debt Instrument Redemption
On or after December 15, 2019, the Company may on one or more occasions redeem all or a part of the Second Lien Notes at the redemption prices set forth below, plus accrued and unpaid interest and special interest, if any, on the Second Lien Notes redeemed during the twelve-month period beginning on December 15th of the years indicated below:
Date
 
Percentage
2019
 
105.500%
2020
 
103.500%
2021 and thereafter
 
100.000%
On or after May 15, 2015, the Company may on one or more occasions redeem all or a part of the Third Lien Notes at the redemption prices set forth below, plus accrued and unpaid interest and special interest, if any, on the Third Lien Notes redeemed during the twelve-month period beginning on May 15th of the years indicated below:
Date
 
Percentage
2015
 
104.063%
2016
 
102.031%
2017 and thereafter
 
100.000%