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STOCK BASED COMPENSATION (Tables)
6 Months Ended
Jun. 30, 2020
Share-based Payment Arrangement [Abstract]  
Schedule of Nonvested Share Activity
A summary of the status of restricted stock awards as of June 30, 2020 and 2019 and the changes during the periods then ended is presented below:
Three Months Ended June 30, 2020Three Months Ended June 30, 2019
SharesWeighted- Average Fair Value at Grant DateSharesWeighted- Average Fair Value at Grant Date
Non-vested at beginning of the period4,289,607  $2.52  5,246,578  $2.13  
Granted393,000  $2.39  412,290  $3.10  
Forfeited(117,502) $2.74  (114,375) $2.65  
Vested(411,934) $2.70  (995,414) $1.66  
Non-vested at end of period4,153,171  $2.48  4,549,079  $2.31  


Six Months Ended June 30, 2020Six Months Ended June 30, 2019
SharesWeighted- Average Fair Value at Grant DateSharesWeighted- Average Fair Value at Grant Date
Non-vested at beginning of the period3,994,787  $2.46  4,518,932  $2.32  
Granted1,860,500  $2.73  1,867,790  $2.54  
Forfeited(280,298) $2.91  (227,625) $3.08  
Vested(1,421,818) $2.67  (1,610,018) $2.51  
Non-vested at end of period4,153,171  $2.48  4,549,079  $2.31  
A summary of the status of PSUs as of June 30, 2020 and 2019 and the changes during the periods then ended is presented below:
Three Months Ended June 30, 2020Three Months Ended June 30, 2019
SharesWeighted- Average Fair Value at
Grant Date
SharesWeighted- Average Fair Value at
Grant Date
Non-vested at beginning of the period1,627,011  $2.51  1,672,500  $2.46  
Granted—  $—  60,000  $3.00  
Forfeited(24,852) $2.73  (10,000) $2.35  
Vested(14,552) $3.00  —  $—  
Non-vested at end of period1,587,607  $2.50  1,722,500  $2.48  
Six Months Ended June 30, 2020Six Months Ended June 30, 2019
SharesWeighted- Average Fair Value at
Grant Date
SharesWeighted- Average Fair Value at
Grant Date
Non-vested at beginning of the period1,664,650  $2.53  1,255,000  $3.45  
Granted911,460  $2.82  740,000  $2.40  
Forfeited(665,927) $3.28  (272,500) $6.74  
Vested(322,576) $1.95  —  $—  
Non-vested at end of period1,587,607  $2.50  1,722,500  $2.48  
Weighted Average Remaining Contractual Life
A summary of the status of options previously granted as of June 30, 2020 and 2019, and the changes during the periods then ended, is presented below:
 Three Months Ended June 30, 2020
 OptionsWeighted-Average Exercise PriceAggregate Intrinsic Value
Options outstanding at beginning of the period110,000  $7.40  $—  
Forfeited—  $—  $—  
Options outstanding at end of period110,000  $7.40  $—  
Exercisable at end of period110,000  $7.40  $—  

Three Months Ended June 30, 2019
OptionsWeighted-Average Exercise PriceAggregate Intrinsic Value
Options outstanding at beginning of the period233,000  $8.19  $—  
Forfeited(40,000) $7.73  $—  
Options outstanding at end of period193,000  $8.28  $—  
Exercisable at end of period193,000  $8.28  $—  

Six Months Ended June 30, 2020
OptionsWeighted-Average Exercise PriceAggregate Intrinsic Value
Options outstanding at beginning of the period190,000  $8.28  $—  
Forfeited(80,000) $9.48  $—  
Options outstanding at end of period110,000  $7.40  $—  
Exercisable at end of period110,000  $7.40  $—  
Six Months Ended June 30, 2019
OptionsWeighted-Average Exercise PriceAggregate Intrinsic Value
Options outstanding at beginning of the period327,000  $8.35  $—  
Forfeited(134,000) $8.45  $—  
Options outstanding at end of period193,000  $8.28  $—  
Exercisable at end of period193,000  $8.28  $—  
T
Schedule of Exercise Price Range he following table summarizes information about options outstanding as of June 30, 2020:
Exercise PriceOptions Outstanding and ExercisableWeighted-
Average
Remaining
Contractual Life
  (in years)
$  7.00 - $  7.99
100,000  0.6
$  8.00 - $  8.99
10,000  1.3
110,000