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8. Debt and Lines of Credit (Tables)
6 Months Ended
Jun. 30, 2015
Debt Disclosure [Abstract]  
Debt consists

Debt consists of the following (in thousands):

      June 30,     December 31,
      2015     2014
Midcap Credit Facility   $ 7,941    $ 7,345 
4.25% Convertible Notes     102,136      -  
8.00% Convertible Notes     -       65,000 
Treximet Notes     220,000      220,000 
     Total outstanding debt     330,077      292,345 
Less current portion     17,954      7,345 
     Long term debt outstanding   $ 312,123    $ 285,000 

 

 

 

 

Future maturity schedule of the outstanding debt and line of credit

The following table represents the future maturity schedule of the outstanding debt and line of credit (in thousands):

2015         $ 17,954 
2016           -  
2017           -  
2018           -  
2019           -  
Thereafter           339,987 
     Total maturities         $ 357,941