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DERIVATIVE CONTRACTS AND COLLATERALIZED INDEBTEDNESS (Tables)
3 Months Ended
Mar. 31, 2020
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Interest Rate Derivatives
The following represents the location of the assets and liabilities associated with the Company's derivative instruments within the consolidated balance sheets:
Derivatives Not Designated as Hedging InstrumentsBalance Sheet LocationFair Value at
March 31, 2020December 31, 2019
Asset Derivatives:
Interest rate swap contracts
Derivative contracts, long-term$372  $—  
Prepaid forward contracts
Derivative contracts, long-term378,001  25,207  
378,373  25,207  
Liability Derivatives:
Interest rate swap contracts
Other current liabilities(850) (469) 
Prepaid forward contracts
Liabilities under derivative contracts, long-term(7,728) (94,795) 
Interest rate swap contracts
Liabilities under derivative contracts, long-term(283,711) (160,871) 
 $(292,289) $(256,135) 
Location of Assets and Liabilities Associated With Derivative Instruments Within the Condensed Consolidated Balance Sheets
The following table presents certain statement of operations data related to our derivative contracts and the underlying common stock:
Three Months Ended March 31,
20202019
Gain (loss) on derivative contracts related to change in the value of equity derivative
   contracts related to Comcast common stock
$439,861  $(177,029) 
Change in the fair value of Comcast common stock included in gain (loss) on investments
(454,896) 254,725  
Loss on interest rate swap contracts, net of a gain of $74,835 recorded in the
   2020 period in connection with the early termination of the swap agreements
   discussed below
(54,832) (23,672) 
Schedule of Collateralized Debt Settlement
The following is a summary of interest rate swap contracts outstanding at March 31, 2020:
Trade DateMaturity DateNotional AmountCompany PaysCompany Receives
December 2018January 2025$500,000  Fixed rate of 1.53%  Three-month LIBOR  
December 2018January 2022500,000  Fixed rate of 2.733%  Three-month LIBOR  
December 2018January 2025500,000  Fixed rate of 1.625%  Three-month LIBOR  
December 2018December 2026750,000  Fixed rate of 2.9155%  Three-month LIBOR  
December 2018December 2026750,000  Fixed rate of 2.9025%  Three-month LIBOR  
April 2019April 20201,255,513  Three-month LIBOR minus 0.1075%  One-month LIBOR  
March 2020January 2025500,000  Fixed rate of 1.458%  Three-month LIBOR  
March 2020January 2022500,000  Three-month LIBOR  Fixed rate of 2.733%