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Fresh Start Accounting - Net cash payments (Details) - USD ($)
$ in Thousands
Oct. 21, 2016
Dec. 31, 2016
Exit Facility    
Fresh start accounting adjustments    
Debt issuance costs associated with the Exit Facility   $ 1,187
Reorganization Adjustments    
Fresh start accounting adjustments    
Permanent pay-down $ 81,324  
Payment to escrow for professional fees related to the Plan incurred through the Effective Date 15,416  
Debt issuance costs associated with the Exit Facility 1,250  
Total uses 197,990  
Reorganization Adjustments | Second lien notes    
Fresh start accounting adjustments    
Permanent pay-down (60,000)  
Additional payment to lenders 60,000  
Reorganization Adjustments | Exit Facility    
Fresh start accounting adjustments    
Additional payment to lenders $ 40,000