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LONG-TERM OBLIGATIONS LONG-TERM OBLIGATIONS (Tables)
9 Months Ended
Sep. 30, 2019
Debt Disclosure [Abstract]  
Schedule of Long-Term Debt
Long-term debt consisted of the following for the periods indicated (amounts in millions):
 
September 30, 2019
 
December 31, 2018
$175.0 million Term Loan; interest rate at Base Rate plus Applicable Rate or Eurodollar Rate plus Applicable Rate (3.6% at September 30, 2019); due February 4, 2024
$
172.8

 
$

$550.0 million Revolving Credit Facility; interest only payments; interest rate at Base Rate plus Applicable Rate or Eurodollar Rate plus Applicable Rate (3.5% at September 30, 2019); due February 4, 2024
67.0

 
7.5

Promissory notes
0.8

 
1.1

Finance leases
3.7

 
2.3

Principal amount of long-term obligations
244.3

 
10.9

Deferred debt issuance costs
(3.7
)
 
(3.5
)
 
240.6

 
7.4

Current portion of long-term obligations
(9.0
)
 
(1.6
)
Total
$
231.6

 
$
5.8


Schedule of Commitment Fee Under Credit Facilities We are also subject to a commitment fee and letter of credit fee under the terms of the Amended Credit Agreement, as presented in the table below.

Pricing Tier
Consolidated Leverage Ratio
Commitment Fee
Letter of Credit Fee
Eurodollar Rate Loans
Base Rate Loans
I
≥ 3.00 to 1.0
0.35%
1.75%
2.00%
1.00%
II
< 3.00 to 1.0 but ≥ 2.00 to 1.0
0.30%
1.50%
1.75%
0.75%
III
< 2.00 to 1.0 but ≥ 0.75 to 1.0
0.25%
1.25%
1.50%
0.50%
IV
< 0.75 to 1.0
0.20%
1.00%
1.25%
0.25%