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Debt - Additional Information (Detail) (USD $)
3 Months Ended 6 Months Ended 1 Months Ended 3 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended
Aug. 03, 2013
May 04, 2013
Aug. 03, 2013
Jul. 28, 2012
Mar. 15, 2013
Feb. 02, 2013
Mar. 15, 2013
6.125% Senior secured first lien notes due 2020
May 04, 2013
6.125% Senior secured first lien notes due 2020
Jun. 03, 2013
6.125% Senior secured first lien notes due 2020
May 14, 2013
9.25% Senior fixed rate notes due 2015
Mar. 15, 2013
9.25% Senior fixed rate notes due 2015
Mar. 15, 2013
9.625%/10.375% Senior toggle notes due 2015
May 14, 2013
9.625%/10.375% Senior toggle notes due 2015
Mar. 15, 2013
Senior Secured Term Loan Credit Facility
Mar. 15, 2013
8.875% Senior secured second lien notes due 2019
May 14, 2013
7.75% Senior notes due 2020
Aug. 03, 2013
10.5% Senior subordinated notes due 2017
Aug. 03, 2013
9.0% Senior secured first lien notes due 2019
Debt Instrument [Line Items]                                    
Principal amount of senior notes             $ 210,000,000                 $ 320,000,000    
Percentage of interest rate for senior notes             6.125%               8.875% 7.75% 10.50% 9.00%
Percentage of issue amount to face amount               100.00%               100.00%    
Senior notes, maturity date             Mar. 15, 2020                 Jun. 01, 2020    
Foreign subsidiary maximum voting equity interest               100.00%                    
Foreign subsidiary maximum non-voting equity interest               65.00%                    
Tender offer to repurchase aggregate principal amount notes                 149,500,000 31,800,000     280,700,000          
Aggregate principal amount                     39,000,000 21,500,000            
Percentage of interest rate for senior notes, minimum                       9.625%            
Percentage of interest rate for senior notes, maximum                       10.375%            
Tender Fee and Premium                           1,900,000        
Deferred Financial cost 43,402,000   43,402,000   4,000,000 41,381,000                        
Reduction in indebtedness under credit facility   59,800,000                                
Loss on early debt extinguishment 3,121,000   4,795,000 4,602,000                            
Outstanding letters of credit $ 15,000,000   $ 15,000,000                              
Total net secured leverage ratio     5.5