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Debt (Details)
1 Months Ended 12 Months Ended
Jan. 21, 2022
USD ($)
Jan. 31, 2022
USD ($)
Jan. 31, 2017
USD ($)
$ / shares
Dec. 31, 2021
USD ($)
$ / shares
Dec. 31, 2020
USD ($)
$ / shares
Dec. 31, 2019
USD ($)
Dec. 30, 2021
USD ($)
Nov. 30, 2021
USD ($)
Mar. 31, 2021
USD ($)
Debt                  
Long-term Debt, Gross       $ 3,293,600,000 $ 2,990,971,000        
Less: deferred financing costs       30,805,000 22,270,000        
Long-term debt       3,262,795,000 2,968,701,000        
Gain (Loss) on debt repurchase       13,400,000 69,200,000 $ 11,500,000      
Payment of accrued and unpaid interest       161,932,000 157,437,000 174,357,000      
Letter of Credit                  
Debt                  
Revolving credit facility       83,240,000          
Maximum borrowing capacity       $ 620,552,000          
Guarantor Subsidiaries                  
Debt                  
Redemption price of debt instrument (as a percent)       100.00%          
Redemption price of principal amount of debt instrument including accrued and unpaid interest (as a percent)       101.00%          
2018 revolving credit facility                  
Debt                  
Revolving credit facility       $ 460,000,000 672,500,000   $ 460,000,000.0    
Weighted average interest rate (as a percent)             3.72%    
Collateralized assets, net value             $ 1,230,000,000    
Senior Unsecured Notes [Member]                  
Debt                  
Principal amount redeemed       105,900,000 372,000,000.0 468,300,000      
Repayment of long-term debt including accrued and unpaid interest       $ 93,800,000 300,900,000 $ 461,100,000      
4.625% senior notes due September 2021                  
Debt                  
Senior Notes         $ 86,329,000        
Interest rate on senior notes (as a percent)       4.625% 4.625%        
Repayment of long-term debt including accrued and unpaid interest         $ 379,700,000        
5.50% senior notes due January 2023                  
Debt                  
Senior Notes       $ 24,446,000 $ 28,443,000        
Interest rate on senior notes (as a percent)       5.50% 5.50%        
Repayment of long-term debt including accrued and unpaid interest         $ 407,700,000        
5.10% senior notes due September 2023                  
Debt                  
Senior Notes       $ 82,703,000 $ 121,077,000        
Interest rate on senior notes (as a percent)       5.10% 5.10%        
Repayment of long-term debt including accrued and unpaid interest         $ 165,500,000        
0.75% senior exchangeable notes due January 2024                  
Debt                  
Senior Notes       $ 259,839,000 279,700,000        
Interest rate on senior notes (as a percent)     0.75% 0.75%          
5.75% senior notes due February 2025                  
Debt                  
Senior Notes       $ 548,458,000 610,818,000        
Interest rate on senior notes (as a percent)       5.75%          
7.25% senior notes due January 2026                  
Debt                  
Interest rate on senior notes (as a percent)       7.25%          
Guaranteed Notes [Member]                  
Debt                  
Principal amount redeemed         952,900,000        
6.50% senior priority guaranteed notes due February 2025                  
Debt                  
Senior Notes       $ 50,485,000 50,485,000        
Interest rate on senior notes (as a percent)       6.50%         6.50%
6.50% senior priority guaranteed notes due February 2025 | Subsequent Event                  
Debt                  
Interest rate on senior notes (as a percent)   6.50%              
Payment of debt principal   $ 50,500,000              
9.00% senior priority guaranteed notes due February 2025                  
Debt                  
Senior Notes       $ 218,082,000 192,032,000        
Interest rate on senior notes (as a percent)       9.00%         9.00%
7.25% senior guaranteed notes due January 2026                  
Debt                  
Senior Notes       $ 559,978,000 $ 559,978,000        
Interest rate on senior notes (as a percent)       7.25% 7.25%        
7.375% senior priority guaranteed notes due May 2027                  
Debt                  
Senior Notes       $ 700,000,000          
Aggregate amount of senior notes               $ 700,000,000.0  
Interest rate on senior notes (as a percent)       7.375%       7.375%  
7.50% senior guaranteed notes due January 2028                  
Debt                  
Senior Notes       $ 389,609,000 $ 389,609,000        
Interest rate on senior notes (as a percent)       7.50% 7.50%        
2022 Credit Agreement                  
Debt                  
Maximum borrowing capacity $ 350,000,000.0                
Accordion feature 100,000,000.0                
Maximum amount of grower basket for term loans $ 100,000,000.0                
Percentage of property, plant and equipment to be owned by the revolver guarantor and its subsidiaries 90.00%                
Threshold percentage of outstanding principal amount of relevant debt to remaining outstanding 50.00%                
Threshold amount beyond which the debt instrument covenant restricts the company's ability to incur liens $ 150,000,000.0                
Threshold amount beyond which the debt instrument covenant restricts the company's subsidiaries to incur debt 100,000,000.0                
2022 Credit Agreement | Maximum                  
Debt                  
Additional indebtedness secured by liens permitted under the credit agreement 150,000,000.0                
2022 Credit Agreement | Letter of Credit                  
Debt                  
Maximum borrowing capacity $ 100,000,000.0                
Tender Offer                  
Debt                  
Gain (Loss) on debt repurchase         $ 2,700,000        
Debt Exchange Transactions                  
Debt                  
Future contractual interest payments       $ 81,000,000.0          
Aggregate principal amount exchanged                 $ 566,800,000
Aggregate principal amount exchanged       40,000,000 526,823,000        
Aggregate principal amount of debt issued in exchanges       26,050,000 242,517,000        
Aggregated net gain (loss)       $ 22,000 $ 161,808,000        
Per share amount of the aggregate gain | $ / shares       $ 0.00 $ 19.30        
Debt Exchange Transactions | 4.625% senior notes due September 2021                  
Debt                  
Senior Notes         $ 38,209,000        
Debt Exchange Transactions | 5.50% senior notes due January 2023                  
Debt                  
Senior Notes         3,733,000        
Debt Exchange Transactions | 5.10% senior notes due September 2023                  
Debt                  
Senior Notes         19,422,000        
Debt Exchange Transactions | 0.75% senior exchangeable notes due January 2024                  
Debt                  
Long-term Debt       $ 287,300,000          
Senior Notes       35,000,000 250,678,000        
Aggregate amount of senior notes     $ 575,000,000.0            
Interest rate on senior notes (as a percent)     0.75%            
Debt exchangeable notes     $ 411,200,000            
Equity component     $ 163,800,000            
Exchange rate of common shares     0.8018            
Principal amount of notes     $ 1,000            
Exchange price per common share (in dollars per share) | $ / shares     $ 1,247.19            
Debt Exchange Transactions | 5.75% senior notes due February 2025                  
Debt                  
Senior Notes       5,000,000 164,368,000        
Debt Exchange Transactions | 6.50% senior priority guaranteed notes due February 2025                  
Debt                  
Aggregate amount of senior notes                 $ 50,500,000
Interest rate on senior notes (as a percent)                 6.50%
Debt Exchange Transactions | 9.00% senior priority guaranteed notes due February 2025                  
Debt                  
Aggregate amount of senior notes                 $ 218,100,000
Interest rate on senior notes (as a percent)                 9.00%
Debt Exchange Transactions | 7.25% senior guaranteed notes due January 2026                  
Debt                  
Senior Notes         40,022,000        
Debt Exchange Transactions | 7.50% senior guaranteed notes due January 2028                  
Debt                  
Senior Notes         $ 10,391,000        
Gains Losses on Extinguishment of Debt, Exchange Transactions                  
Debt                  
Gain (Loss) on debt repurchase       $ 161,800,000