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DEBT (Tables)
6 Months Ended
Jun. 30, 2020
DEBT [Abstract]  
Schedule of Long-term Debt Instruments

June 30,

December 31,

(Dollars in thousands)

2020

    

2019

Core Term Loan Facility, due 2025, net of unamortized deferred finance costs of $4,836

$

285,688

$

Transition Term Loan Facility, due 2022, net of unamortized deferred finance costs of $634

39,366

Sinosure Credit Facility, due 2027-2028, net of unamortized deferred finance costs of $2,071 and $2,262

255,845

267,443

8.5% Senior Notes, due 2023, net of unamortized deferred finance costs of $1,002 and $1,142

23,998

23,858

2017 Term Loan Facility, due 2022, net of unamortized discount and deferred finance costs of $11,211

320,309

ABN Term Loan Facility, due 2023, net of unamortized deferred finance costs of $610

22,638

10.75% Subordinated Notes, due 2023, net of unamortized deferred finance costs of $1,084

26,847

604,897

661,095

Less current portion

(81,483)

(70,350)

Long-term portion

$

523,414

$

590,745