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Debt (Tables)
12 Months Ended
Dec. 31, 2016
Debt Disclosure [Abstract]  
Schedule of Debt
As of December 31, the Company’s indebtedness was comprised as follows:
 
2016
 
2015
Revolving credit facility
$
54,425

 
$

6.50% Notes due 2024
900,000

 

6.75% Notes due 2020

 
735,000

Original issue premium

 
5,838

Debt issuance costs
(18,420
)
 
(12,625
)
  
936,005

 
728,213

Obligations under capital leases
431

 
670

  
936,436

 
728,883

Less:
 
 
  

Current portion
228

 
470

  
$
936,208

 
$
728,413

Schedule Of Future Principal Repayments Of Long Term Debt Including Capital Lease Obligations
Future principal repayments, including capital lease obligations, for the years ended December 31, and in aggregate, are as follows:
 
 
 
Period
 
Amount
2016
 
$
228

2017
 
91

2018
 
86

2019
 
22

2020
 
54,429

2021 and thereafter
 
900,000

  
 
$
954,856

Schedule of Future Minimum Lease Payments for Capital Leases
Future minimum capital lease payments for the years ended December 31 and in aggregate, are as follows:
Period
 
Amount
2016
 
$
248

2017
 
102

2018
 
93

2019
 
23

2020
 
5

2021 and thereafter
 

  
 
471

Less: imputed interest
 
(40
)
  
 
431

Less: current portion
 
(228
)
  
 
$
203