XML 35 R26.htm IDEA: XBRL DOCUMENT v3.23.2
DEBT (Tables)
6 Months Ended
Jun. 30, 2023
DEBT  
Schedule of debt

June 30, 

December 31, 

(In millions)

    

2023

    

2022

Private Placement Term Loans:

3.66 %, payable through 2023

$

$

4.5

3.37 %, payable through 2027

51.9

57.7

3.14 %, payable through 2031

123.6

132.8

Title XI Debt:

5.34 %, payable through 2028

 

 

13.2

5.27 %, payable through 2029

 

 

15.4

1.22 %, payable through 2043

162.2

166.2

1.35 %, payable through 2044

124.7

127.7

Total Debt

 

462.4

 

517.5

Less: Current portion

 

(41.7)

 

(76.9)

Total Long-term Debt

420.7

440.6

Less: Deferred loan fees

(12.2)

 

(12.9)

Total Long-term Debt, net of deferred loan fees

$

408.5

$

427.7

Schedule of maturities of debt

As of

Year (in millions)

    

June 30, 2023

Remainder of 2023

$

21.9

2024

 

39.7

2025

 

39.7

2026

 

39.7

2027

 

39.7

Thereafter

 

281.7

Total Debt

$

462.4