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DEBT (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended 0 Months Ended
Jun. 30, 2013
Jun. 30, 2012
Jun. 30, 2013
Jun. 30, 2012
Apr. 17, 2013
Restricted Group [Member]
New Credit Agreement [Member]
Covenant
Apr. 17, 2013
Restricted Group [Member]
Revolving Credit Facility [Member]
Apr. 17, 2013
Restricted Group [Member]
Term A Loan Facility [Member]
Apr. 17, 2013
Restricted Group [Member]
Term A Loan Facility [Member]
Quarterly Payments from September 30, 2014 through June 30, 2016 [Member]
Apr. 17, 2013
Restricted Group [Member]
Term A Loan Facility [Member]
Quarterly Payments from September 30, 2016 through March 31, 2018 [Member]
Apr. 17, 2013
Restricted Group [Member]
Term A Loan Facility [Member]
Final Payment on April 17, 2018 [Member]
Apr. 17, 2013
Restricted Group [Member]
Term B Loan Facility [Member]
Apr. 17, 2013
Restricted Group [Member]
Term B Loan Facility [Member]
Quarterly Payments from from September 30, 2013 through December 31, 2019 [Member]
Apr. 17, 2013
Restricted Group [Member]
Term B Loan Facility [Member]
Final Payment on April 17, 2020 [Member]
Apr. 17, 2013
Restricted Group [Member]
Extended Revolving Loan Facility [Member]
Refinance of CSC Holdings Credit Facility [Abstract]                            
Maximum credit borrowing capacity         $ 4,808,510 $ 1,500,000 $ 958,510       $ 2,350,000      
Amounts drawn           0                
Maximum ratio of senior secured net indebtedness to cash flow         3.50 4.0 4.0              
Maturity date           Apr. 17, 2018 Apr. 17, 2018       Apr. 17, 2020      
Repayments of principal               11,981 23,963 694,919   5,875 2,197,250  
Maximum aggregate letters of credit that can be issued         150,000                  
Basis spread on variable Eurodollar rate, minimum (in hundredths)           1.50% 1.50%              
Basis spread on variable Eurodollar rate, maximum (in hundredths)           2.25% 2.25%              
Basis spread on variable Eurodollar rate (in hundredths)           2.00% 2.00%       2.50%      
Basis spread on variable base rate, minimum (in hundredths)           0.50% 0.50%              
Basis spread on variable base rate, maximum (in hundredths)           1.25% 1.25%              
Basis spread on variable base rate (in hundredths)           1.00% 1.00%       1.50%      
Number of applicable financial covenants         2                  
Maximum ratio of total net indebtedness to cash flow           5.0 5.0              
Commitment fee percentage (in hundredths)           0.30%                
Unamortized deferred financing costs and discounts written off 6,637 0 6,637 0                   6,637
Debt discount at issuance                     11,750      
Deferred financing costs incurred           $ 27,320