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Debt Level 3 (Tables)
12 Months Ended
Dec. 31, 2020
Debt Instrument [Line Items]  
Schedule of Debt [Table Text Block]
The components of Debt are:
Years Ended December 31,
20202019
 (In thousands)
8.0% Senior Notes due November 2021$150,000 $150,000 
5.375% Senior Notes due May 2024 — 850,000 
7.5% Senior Notes due April 2027152,710 153,465 
4.625% Senior Notes due December 2027550,000 550,000 
5.125% Senior Notes due June 2029750,000 750,000 
3.375% Senior Notes due August 2030850,000 — 
Term Loan due May 2024601,250 633,750 
Bank Credit Facility due May 2024525,000 295,000 
Obligations under finance leases148,864 185,252 
Mortgage notes and other debt, maturities through 205051,766 45,104 
Unamortized premiums and discounts, net(317)5,634 
Unamortized debt issuance costs(36,739)(34,854)
Total debt$3,742,534 $3,583,351 
Less: Current maturities of long-term debt(228,352)(69,821)
Total long-term debt$3,514,182 $3,513,530 
Schedule of Maturities of Long-term Debt [Table Text Block]
The following table summarizes the aggregate maturities of our debt for the five years subsequent to December 31, 2020 and thereafter, excluding unamortized premiums and debt issuance costs (in thousands):
2021$228,355 
202260,752 
202370,152 
20241,038,963 
202538,823 
2026 and thereafter2,305,489 
Total debt maturities$3,742,534 
Schedule of Cash Flow, Supplemental Disclosures [Table Text Block]
Cash interest payments for the three years ended December 31 were as follows (in thousands):

Payments in 2020
$152,524 
Payments in 2019
$190,672 
Payments in 2018
$179,865 
Schedule of future cash interest payments [Table Text Block] ash interest payments for the five years subsequent to December 31, 2020 and thereafter are as follows (in thousands):
Payments in 2021
$135,299 
Payments in 2022
123,677 
Payments in 2023
122,791 
Payments in 2024
112,518 
Payments in 2025
105,164 
Payments in 2026 and thereafter
331,096 
Total expected cash interest payments$930,545