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DEBT (Tables)
6 Months Ended
Jun. 30, 2019
DEBT  
Schedule of debt

June 30, 

December 31, 

(In millions)

    

2019

    

2018

    

Private Placement Term Loans:

5.79 %, payable through 2020

$

7.0

$

10.5

3.66 %, payable through 2023

 

41.0

 

41.0

4.16 %, payable through 2027

 

44.5

 

44.5

3.37 %, payable through 2027

75.0

75.0

3.14 %, payable through 2031

194.0

200.0

4.31 %, payable through 2032

 

32.7

 

32.7

4.35 %, payable through 2044

100.0

100.0

3.92 %, payable through 2045

71.4

71.4

Title XI Bonds:

5.34 %, payable through 2028

 

20.9

 

22.0

5.27 %, payable through 2029

 

23.1

 

24.2

Revolving credit facility, maturity date of June 29, 2022

 

235.0

 

235.0

Capital leases

 

 

0.1

Total Debt

 

844.6

 

856.4

Less: Current portion

 

(53.6)

 

(42.1)

Total Long-term Debt

$

791.0

$

814.3