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Long-term Debt, Line of Credit and Derivatives (Tables)
3 Months Ended
Mar. 31, 2019
Debt Disclosure [Abstract]  
Schedule of Debt
The Company's obligations under debt arrangements consisted of the following:
 
March 31, 2019
 
December 31, 2018
 
Principal
Debt Issuance Costs(1)
Total
 
Principal
Debt Issuance Costs(1)
Total
Term loan - current
$
3,000

$
(50
)
$
2,950

 
$
3,000

$
(54
)
$
2,946

    Total current debt
3,000

(50
)
2,950

 
3,000

(54
)
2,946

Revolving line of credit
23,000

(372
)
22,628

 
22,000

(213
)
21,787

Term loan - long-term
54,750

(886
)
53,864

 
55,500

(1,168
)
54,332

    Total long-term debt
77,750

(1,258
)
76,492

 
77,500

(1,381
)
76,119

    Total debt
$
80,750

$
(1,308
)
$
79,442

 
$
80,500

$
(1,435
)
$
79,065


(1) Total debt issuance costs, include underwriter fees, legal fees and syndication fees and fees related to the execution of the Fourth and Fifth Amendments to the Credit Agreement.
Debt Maturity Schedule
The table below outlines the total remaining payment amounts annually for the term loan through maturity of the Credit Facility:
  
2019
2,250

2020
3,750

2021
4,500

2022
5,250

2023
42,000

 
$
57,750