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Note 7 - Long-term Debt (Details Textual)
1 Months Ended 9 Months Ended
Nov. 01, 2023
USD ($)
Sep. 14, 2023
USD ($)
Sep. 12, 2023
USD ($)
Jul. 31, 2023
USD ($)
Jun. 30, 2023
USD ($)
Mar. 31, 2023
USD ($)
Nov. 30, 2022
USD ($)
Feb. 28, 2022
USD ($)
Sep. 30, 2024
USD ($)
Sep. 30, 2023
USD ($)
Dec. 31, 2023
USD ($)
Dec. 31, 2022
USD ($)
Nov. 20, 2022
Debt Instrument, Unamortized Discount [1]                 $ 19,676,000   $ 27,062,000    
Payments of Debt Issuance Costs                 58,000 $ 26,401,000      
Term Loan Credit Agreement [Member]                          
Debt Instrument, Unamortized Discount     $ 30,000,000             2,700,000      
Debt Issuance Costs, Gross     $ 24,000,000                    
Debt Instrument Discount Percentage     0.025                    
Debt Instrument, Optional Prepayment, Percentage of Principal     0.01                    
Debt Instrument, Covenant, Minimum Current Ratio     0.00015                    
Debt Instrument, Covenant, Maximum Total Debt to EBITDAX Ratio     0.0002                    
Debt Instrument, Covenant, Priority Facility Limit     $ 100,000,000                    
Debt Instrument, Periodic Payment     $ 30,000,000                    
Repayments of Senior Debt                 90,000,000 $ (0)      
Term Loan Credit Agreement [Member] | Adjusted SOFR [Member]                          
Debt Instrument, Basis Spread on Variable Rate     0.075%                    
Term Loan Credit Agreement [Member] | Adjusted Above Margin [Member]                          
Debt Instrument, Basis Spread on Variable Rate     0.02%                    
Senior Credit Facility Agreement Due 2026 [Member]                          
Debt Issuance Costs, Gross $ 1,100,000                        
Line of Credit Facility, Current Borrowing Capacity $ 100,000,000                        
Senior Credit Facility Agreement Due 2026 [Member] | Adjusted Above Margin [Member]                          
Debt Instrument, Basis Spread on Variable Rate 2.00%                        
Senior Unsecured Notes Due 2024 [Member]                          
Debt Instrument, Unamortized Discount               $ 3,200,000 $ 64,800,000        
Debt Issuance Costs, Gross               1,500,000          
Debt Instrument, Face Amount               $ 225,000,000          
Debt Instrument, Interest Rate, Stated Percentage               10.00% 10.00%        
Proceeds from Issuance of Debt               $ 202,900,000          
Payments of Debt Issuance Costs               22,100,000          
The 10.625% Senior Notes [Member]                          
Debt Instrument, Unamortized Discount     $ 11,700,000                    
Debt Issuance Costs, Gross     3,700,000                    
Debt Instrument, Face Amount             $ 225,000,000         $ 25,000,000  
Debt Instrument, Interest Rate, Stated Percentage                 10.625%     10.625% 10.625%
Proceeds from Issuance of Debt             223,700,000            
Payments of Debt Issuance Costs             $ 26,300,000            
Interest Paid, Including Capitalized Interest, Operating and Investing Activities         $ 8,300,000                
Redemption Premium   $ 4,500,000                      
Maximum [Member] | Senior Credit Facility Agreement Due 2026 [Member] | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate [Member]                          
Debt Instrument, Basis Spread on Variable Rate 5.00%                        
Maximum [Member] | Senior Credit Facility Agreement Due 2026 [Member] | Base Rate [Member]                          
Debt Instrument, Basis Spread on Variable Rate 4.00%                        
Minimum [Member] | Senior Credit Facility Agreement Due 2026 [Member] | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate [Member]                          
Debt Instrument, Basis Spread on Variable Rate 4.00%                        
Minimum [Member] | Senior Credit Facility Agreement Due 2026 [Member] | Base Rate [Member]                          
Debt Instrument, Basis Spread on Variable Rate 3.00%                        
Revolving Credit Facility [Member]                          
Long-Term Debt, Gross                 $ 1,110,000,000   1,200,000,000    
Revolving Credit Facility [Member] | Fifth Third Bank, National Association [Member]                          
Debt Issuance Costs, Gross                     3,300,000    
Line of Credit Facility, Maximum Borrowing Capacity           $ 700,000,000              
Line of Credit Facility, Commitment Fee Amount           $ 575,000,000              
Debt Instrument, Covenant, Minimum Availability Percentage for Dividend and Distributions                   25.00%      
Debt Instrument, Covenant, Dividends and Distributions Limit                   $ 4,000,000      
Debt Instrument, Restriction on Borrowings, Minimum Net Proceeds From Equity Securities       $ 95,000,000                  
Long-Term Debt, Gross               $ 0          
Revolving Credit Facility [Member] | Term Loan Credit Agreement [Member]                          
Debt Instrument, Covenant, Minimum Cash Threshold for Prepayment to be Due     20,000,000                    
Revolving Credit Facility [Member] | Maximum [Member] | Term Loan Credit Agreement [Member]                          
Debt Instrument, Face Amount     $ 1,200,000,000                    
Other Noncurrent Assets [Member]                          
Debt Instrument, Unamortized Discount                 30,000,000   30,000,000    
Accumulated Amortization, Debt Discount                 10,300,000   458,000    
Debt Issuance Costs, Gross                 25,100,000   23,000,000    
Accumulated Amortization, Debt Issuance Costs                 $ 8,600,000   $ 351,000    
[1] Discounts as of September 30, 2024 and December 31, 2023 consisted of $30.0 million in discounts less accumulated amortization of $10.3 million and $458,000, respectively.