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Debt (Tables)
12 Months Ended
Dec. 31, 2019
Debt Instruments [Abstract]  
Schedule of Long-term Debt Instruments
The following describes all of our currently outstanding unsecured senior notes issued and sold in private placements (collectively, the "Senior Notes"):
(Principal Amount in thousands)
 
 
 
 
 
 
 
 
 
 
 
Issue Date
 
Due Date
 
Series
 
Principal Amount
 
Coupon Rate
 
Senior Note Agreement
 
 
 
 
 
 
 
 
 
 
 
12/11/2013
 
12/11/2023
 
2023 Series A Notes
 
$
75,000

 
3.94
%
 
NY Life 2013 Note Agreement
12/11/2013
 
12/11/2025
 
2025 Series B Notes
 
$
75,000

 
4.04
%
 
NY Life 2013 Note Agreement
9/4/2014
 
9/4/2026
 
2026 Senior Notes
 
$
75,000

 
3.72
%
 
NY Life 2014 Note Agreement
7/21/2014
 
7/21/2021
 
2021 Series A Notes
 
$
50,000

 
3.32
%
 
Prudential 2015 Amended Agreement
7/21/2014
 
7/21/2024
 
2024 Series B Notes
 
$
75,000

 
3.76
%
 
Prudential 2015 Amended Agreement
6/18/2015
 
6/18/2025
 
2025 Series C Notes
 
88,857

 
1.785
%
 
Prudential 2015 Amended Agreement
2/12/2015
 
2/12/2022
 
2022 Series A Notes
 
$
75,000

 
3.25
%
 
MetLife 2014 Note Agreement, as Amended
2/12/2015
 
2/12/2027
 
2027 Series B Notes
 
$
75,000

 
3.72
%
 
MetLife 2014 Note Agreement, as Amended
3/14/2019
 
3/14/2029
 
2029 Series C Notes
 
$
100,000

 
4.19
%
 
MetLife 2014 Note Agreement, as Amended

Schedule of Annual Principal Payments on Long-Term Debt
Annual principal payments on long-term debt at December 31, 2019, are as follows:
(in thousands)
 
 
Years Ending December 31,
 
Amount

 
 

2020
 
$

2021
 
50,000

2022
 
75,000

2023
 
75,000

2024
 
75,000

Thereafter
 
424,422


 
$
699,422