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Financing Arrangements (Tables)
3 Months Ended
Mar. 31, 2019
Debt Disclosure [Abstract]  
Schedule of Variable Interest Rates As of March 31, 2019, the Company was a Ratings Level III for the Term Loan Agreements.
Ratings Level
Index Ratings
(Moody’s/S&P)
Adjusted LIBOR (Eurodollar) Spread
Adjusted Base Rate (ABR) Spread
Level I
B1/B+ or higher
4.25%
3.25%
Level II
B2/B
4.75%
3.75%
Level III
B3/B- or lower
5.50%
4.50%

Schedule of Maturities of Long-term Debt Aggregate cumulative maturities of debt obligations (including the Term Loans and the JPM Revolving Facility) as of March 31, 2019 are:
(In thousands)
 
2019
 
2020
 
2021
Maturities of debt
 
$
 
 
$
 
 
$
831,938