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Bank note payable (Tables)
9 Months Ended
Sep. 30, 2012
Bank note payable  
Schedule of actual amount of applicable facility fee, LIBOR rate or base rate determined based on total leverage ratio

 

 

Leverage Ratio

 

 

Facility Fee

 

 

LIBOR Margin

 

 

Base Rate Margin

 

< 25%

 

 

20.0 bps

 

 

135.0 bps

 

 

35.0 bps

 

> 25% and < 35%

 

 

25.0 bps

 

 

140.0 bps

 

 

40.0 bps

 

> 35% and < 45%

 

 

30.0 bps

 

 

145.0 bps

 

 

45.0 bps

 

> 45% and < 55%

 

 

35.0 bps

 

 

165.0 bps

 

 

65.0 bps

 

> 55%

 

 

40.0 bps

 

 

190.0 bps

 

 

90.0 bps