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Note 10 - Long-Term Debt (Tables)
3 Months Ended
Mar. 31, 2013
Schedule of Debt [Table Text Block]
   
December 31,
2012
   
March 31,
2013
 
   
(In thousands)
 
Senior Unsecured Notes Payable (a)
  $ 250,000     $ 250,000  
Senior Secured Revolving Credit Facility, Bank of America, N.A. (b)
    99,926       100,115  
Working capital facilities, Barclays (c)
    34,459       31,632  
Various subordinated unsecured notes payable; maturing at various dates from 2011 through 2014 (d)
    575       584  
      384,960       382,331  
Less current portion
    6,258       6,719  
    $ 378,702     $ 375,612  
Schedule of Guarantor Obligations [Table Text Block]
Pricing Tier
 
Consolidated Senior Secured Leverage Ratio
 
Commitment
Fee/Unused
Line Fee
 
Letter of Credit Fee
 
Eurocurrency Rate Loans
 
Base Rate Loans
1
 
≥ 2.50 to 1.0
 
0.50%
 
3.75%
 
3.75%
 
2.75%
2
 
 ≥ 2.00 to 1.0 but < 2.50 to 1.0
 
0.45%
 
3.50%
 
3.50%
 
2.50%
3
 
≥ 1.50 to 1.0 but < 2.00 to 1.0
 
0.40%
 
3.25%
 
3.25%
 
2.25%
4
 
≥ 1.00 to 1.0 but < 1.50 to 1.0
 
0.35%
 
3.00%
 
3.00%
 
2.00%
5
 
< 1.00 to 1.0
 
0.30%
 
2.75%
 
2.75%
 
1.75%
Schedule of Maturities of Long-term Debt [Table Text Block]
   
Amount
 
Nine months ended December 31, 2013
  $ 6,719  
Year ended December 31:
       
2014
    25,497  
2015
    —  
2016
    100,115  
2017
    —  
Thereafter
    250,000  
Total
  $ 382,331