XML 81 R32.htm IDEA: XBRL DOCUMENT v3.19.3
Debt (Tables)
9 Months Ended
Sep. 30, 2019
Debt [Abstract]  
Schedule Of Outstanding Debt Obligations

September 30,

December 31,

2019

2018

6.750% senior notes, due May 2027(1)

$

494,178

$

5.875% senior notes, due July 2025(1)

395,944

395,415

6.875% senior notes, due May 2022(1)

380,567

Insurance premium notes and other financing obligations

6,150

8,795

Notes payable

896,272

784,777

Revolving line of credit, due April 2022

278,800

202,500

Mortgage repurchase facility

77,798

104,555

Total debt

$

1,252,870

$

1,091,832

(1) The carrying value of senior notes reflects the impact of premiums, discounts, and issuance costs that are amortized to interest cost over the respective terms of the senior notes.