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Borrowings (Tables)
9 Months Ended
Jun. 30, 2015
Debt Disclosure [Abstract]  
Schedule of long-term debt
As of June 30, 2015 and September 30, 2014, we had the following debt, net of discounts:
(In thousands)
Maturity Date
 
June 30, 2015
 
September 30, 2014
8 1/8% Senior Notes
June 2016
 
$
172,879

 
$
172,879

6 5/8% Senior Secured Notes
April 2018
 
300,000

 
300,000

9 1/8% Senior Notes
May 2019
 
235,000

 
235,000

5 3/4% Senior Notes
June 2019
 
325,000

 
325,000

7 1/2% Senior Notes
September 2021
 
200,000

 
200,000

7 1/4% Senior Notes
February 2023
 
200,000

 
200,000

TEU Senior Amortizing Notes
July 2015
 
1,712

 
6,703

Unamortized debt discounts
 
 
(3,829
)
 
(4,399
)
Total Senior Notes, net
 
 
$
1,430,762

 
$
1,435,183

Junior Subordinated Notes
July 2036
 
57,287

 
55,737

Cash Secured Loans
November 2017
 
22,368

 
22,368

Revolving Credit Facility
September 2016
 
20,000

 

Other secured notes payable
Various Dates
 
23,790

 
22,145

Total debt, net
 
 
$
1,554,207

 
$
1,535,433