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Debt Obligations, Debt Covenants (Details) - USD ($)
1 Months Ended
Apr. 30, 2018
Jan. 31, 2018
Oct. 31, 2017
Jul. 31, 2017
Apr. 30, 2017
Mar. 31, 2018
CLO V            
Debt Covenants            
Current overcollateralization ratio for cash flow triggers (as a percent) 130.72% 130.72% 130.72% 130.72% 130.72%  
Limit overcollateralization ratio for cash flow triggers (as a percent) 129.72%          
Current interest coverage ratio for cash flow triggers (as a percent) 190.24%          
Limit interest coverage ratio for cash flow triggers (as a percent) 120.00%          
CLO VI            
Debt Covenants            
Current overcollateralization ratio for cash flow triggers (as a percent) 129.87% 129.87% 129.87% 129.87% 129.87%  
Limit overcollateralization ratio for cash flow triggers (as a percent) 128.87%          
Current interest coverage ratio for cash flow triggers (as a percent) 203.07%          
Limit interest coverage ratio for cash flow triggers (as a percent) 120.00%          
CLO VII            
Debt Covenants            
Current overcollateralization ratio for cash flow triggers (as a percent) 129.03% 129.03% 129.03% 129.03%    
Limit overcollateralization ratio for cash flow triggers (as a percent) 128.03%          
Current interest coverage ratio for cash flow triggers (as a percent) 211.84%          
Limit interest coverage ratio for cash flow triggers (as a percent) 120.00%          
CLO VIII            
Debt Covenants            
Current overcollateralization ratio for cash flow triggers (as a percent) 129.03% 129.03% 129.03%      
Limit overcollateralization ratio for cash flow triggers (as a percent) 128.03%          
Current interest coverage ratio for cash flow triggers (as a percent) 329.34%          
Limit interest coverage ratio for cash flow triggers (as a percent) 120.00%          
CLO IX            
Debt Covenants            
Current overcollateralization ratio for cash flow triggers (as a percent) 134.69% 134.68%        
Limit overcollateralization ratio for cash flow triggers (as a percent) 133.68%          
Current interest coverage ratio for cash flow triggers (as a percent) 259.18%          
Limit interest coverage ratio for cash flow triggers (as a percent) 120.00%          
Junior subordinated notes            
Debt Covenants            
Amount payable on default of senior debt           $ 0