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Long-Term Debt (Tables)
12 Months Ended
Dec. 31, 2021
Debt Disclosure [Abstract]  
Schedule of long-term debt
Long-term debt consists of the following: 
 December 31, 2021December 31, 2020
PrincipalDebt Issuance CostTotalPrincipalDebt Issuance CostTotal
(In thousands)
Euro Tranche$96,662 $(713)$95,949 $104,159 $(996)$103,163 
4.25% Senior Notes
400,000 (5,835)394,165 400,000 (6,995)393,005 
5.25% Senior Notes
329,789 (3,526)326,263 355,366 (4,221)351,145 
ABL Facility— — — — — — 
KFPC Loan Agreement17,853 — 17,853 52,730 (18)52,712 
KFPC Revolving Facilities49,873 — 49,873 37,003 — 37,003 
Finance lease obligations3,163 — 3,163 835 — 835 
Total debt897,340 (10,074)887,266 950,093 (12,230)937,863 
Less current portion of total debt68,694 — 68,694 72,347 — 72,347 
Long-term debt$828,646 $(10,074)$818,572 $877,746 $(12,230)$865,516 
Schedule of principal payments on outstanding total debt
Debt Maturities. The principal payments on our outstanding total debt as of December 31, 2021, are as follows:
Principal
Payments
December 31,(In thousands)
2022$68,694 
20231,056 
20241,112 
2025496,683 
2026329,795 
Thereafter— 
Total debt$897,340