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Fresh Start Reporting - Change in Cash and Cash Equivalents (Details) - USD ($)
$ in Thousands
1 Months Ended 5 Months Ended 6 Months Ended
Aug. 31, 2020
Sep. 30, 2020
Aug. 31, 2020
Sep. 30, 2019
DIP Facility        
Fresh-Start Adjustment [Line Items]        
Repayment of credit facilities   $ 0 $ (213,418) $ 0
Proceeds from credit facilities   0 206,700 0
Predecessor Second Lien Notes        
Fresh-Start Adjustment [Line Items]        
Repayment of notes   0 (1,199) 0
Payment to holders of Predecessor second lien notes that elected the cash option $ (1,199)      
Predecessor First Lien Notes        
Fresh-Start Adjustment [Line Items]        
Repayment of notes   0 (280,844) 0
Term Loans        
Fresh-Start Adjustment [Line Items]        
Proceeds from credit facilities   0 213,418 0
Senior Secured First Lien Notes due 2024        
Fresh-Start Adjustment [Line Items]        
Proceeds from 10.0% first lien notes   $ 0 280,844 $ 0
Reorganization Adjustments        
Fresh-Start Adjustment [Line Items]        
Payment to fund professional fee escrow account (21,500)      
Payment of other professional and administrative fees (11,828)      
Payment to holders of Predecessor common stock (1,000)      
Adjustments to cash and cash equivalents (18,289)   (18,289)  
Reorganization Adjustments | ABL Credit Facility        
Fresh-Start Adjustment [Line Items]        
Proceeds from ABL Credit Facility, net of debt issuance costs 26,861      
Reorganization Adjustments | DIP Facility        
Fresh-Start Adjustment [Line Items]        
Repayment of credit facilities (213,418)      
Payments of accrued interest (494)      
Reorganization Adjustments | Predecessor Second Lien Notes        
Fresh-Start Adjustment [Line Items]        
Payment to holders of Predecessor second lien notes that elected the cash option (1,199)      
Reorganization Adjustments | Predecessor First Lien Notes        
Fresh-Start Adjustment [Line Items]        
Repayment of notes (280,844)      
Payments of accrued interest (9,129)   $ (9,129)  
Reorganization Adjustments | Term Loans        
Fresh-Start Adjustment [Line Items]        
Proceeds from credit facilities 213,418      
Reorganization Adjustments | Senior Secured First Lien Notes due 2024        
Fresh-Start Adjustment [Line Items]        
Proceeds from 10.0% first lien notes $ 280,844