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Debt Level 3 (Tables)
12 Months Ended
Dec. 31, 2014
Debt Instrument [Line Items]  
Schedule of Debt [Table Text Block]
Debt as of December 31 was as follows:
 
2014
 
2013
 
(In thousands)
3.125% Senior Convertible Notes due July 2014
$

 
$
86,416

6.75% Senior Notes due April 2015

 
136,465

6.75% Senior Notes due April 2016
197,377

 
197,377

3.375% Senior Convertible Notes due July 2016
134

 
45,119

7.0% Senior Notes due June 2017
295,000

 
295,000

7.625% Senior Notes due October 2018
250,000

 
250,000

6.5% Senior Notes due April 2019

 
200,000

7.0% Senior Notes due May 2019

 
250,000

4.5% Senior Notes due November 2020
200,000

 
200,000

8.0% Senior Notes due November 2021
150,000

 
150,000

5.375% Senior Notes due January 2022
425,000

 
425,000

5.375% Senior Notes due May 2024
550,000

 

7.5% Senior Notes due April 2027
200,000

 
200,000

Term Loan due July 2018
370,000

 
600,000

Bank credit facility due July 2018
235,000

 
30,000

Obligations under capital leases
181,002

 
189,697

Mortgage notes and other debt, maturities through 2050
4,117

 
4,752

Unamortized (discounts) premiums and other, net
(2,905
)
 
42,084

Total debt
3,054,725

 
3,301,910

Less:
 
 
 
Current maturities of debt, capital lease obligations, and mortgage notes
(91,584
)
 
(153,738
)
Current maturities of unamortized discounts (premiums) and other, net
653

 
(22,624
)
Total current maturities
(90,931
)
 
(176,362
)
Total long-term debt
$
2,963,794

 
$
3,125,548

Schedule of Maturities of Long-term Debt [Table Text Block]
The aggregate maturities of our debt for the five years subsequent to December 31, 2014 and thereafter (in thousands) are as follows:
 
Aggregate Maturities of Debt
2015
$
90,931

2016
223,449

2017
315,414

2018
858,277

2019
9,003

2020 and thereafter
1,557,651

 
$
3,054,725

Schedule of Cash Flow, Supplemental Disclosures [Table Text Block]
Cash interest payments for the three years ended December 31 (in thousands) were as follows:
Payments in 2014
$
175,327

Payments in 2013
$
125,022

Payments in 2012
$
131,723

 
Years Ended December 31,
 
2014
 
2013
 
2012
 
(In thousands)
Options exercised by attestation
$
761

 
$
3,004

 
$

Shares repurchased
(761
)
 
$
(3,004
)
 
$

Schedule of future cash interest payments [Table Text Block]
Cash interest payments forecasted as of December 31, 2014 for the five years subsequent to December 31, 2014 and thereafter (in thousands) are as follows:
Payments in 2015
$
154,408

Payments in 2016
$
144,134

Payments in 2017
$
128,986

Payments in 2018
$
114,305

Payments in 2019
$
96,830

Payments in 2020 and thereafter
$
324,075