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Note 10 - Long-term Debt (Tables)
9 Months Ended
Sep. 30, 2015
Debt Disclosure [Abstract]  
Schedule of Debt [Table Text Block]
   

December 31,

2014

   

September 30,

2015

 

Senior Unsecured Notes Payable (a)

  $ 250,000     $ 500,000  

Senior Secured Revolving Credit Facility, Bank of America, N.A. (b)

    143,853        

Working capital facilities, Barclays (c)

    40,396       38,838  
      434,249       538,838  

Less current portion

    40,396        
    $ 393,853     $ 538,838  
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     4.00

to 1.0

          0.45

%

    2.75

%

    2.75

%

    1.75

%

2     3.50

to 1.0 but < 

4.00 to 1.0       0.40

%

    2.50

%

    2.50

%

    1.50

%

3     3.00

to 1.0 but < 

3.50 to 1.0       0.35

%

    2.25

%

    2.25

%

    1.25

%

4     2.50

to 1.0 but < 

3.00 to 1.0       0.30

%

    2.00

%

    2.00

%

    1.00

%

5        

2.50 to 1.0       0.30

%

    1.75

%

    1.75

%

    0.75

%

Schedule of Maturities of Long-term Debt [Table Text Block]
   

Amount

 

Three months ended December 31, 2015

  $  

Years ended December 31:

       

2016

     

2017

     

2018

    38,838  

2019

     

Thereafter

    500,000  

Total

  $ 538,838