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SUBSEQUENT EVENTS (Details) (USD $)
0 Months Ended 0 Months Ended 0 Months Ended
Apr. 07, 2014
Line of Credit
Citizens Bank, N.A.
Nov. 07, 2014
Line of Credit
Citizens Bank, N.A.
Subsequent Event
Nov. 07, 2014
Line of Credit
Citizens Bank, N.A.
Subsequent Event
Apr. 07, 2014
Revolving line of credit
Line of Credit
Citizens Bank, N.A.
Nov. 07, 2014
Revolving line of credit
Line of Credit
Citizens Bank, N.A.
Subsequent Event
Apr. 07, 2014
Senior secured term loan
Line of Credit
Citizens Bank, N.A.
Nov. 07, 2014
Senior secured term loan
Line of Credit
Citizens Bank, N.A.
Subsequent Event
Apr. 07, 2014
Senior secured delayed draw term loan
Line of Credit
Citizens Bank, N.A.
Nov. 07, 2014
Senior secured delayed draw term loan
Line of Credit
Citizens Bank, N.A.
Subsequent Event
Nov. 07, 2014
Line of Credit
Base Rate Loans
Citizens Bank, N.A.
Subsequent Event
Nov. 07, 2014
Line of Credit
Eurocurrency Rate Loans
Citizens Bank, N.A.
Subsequent Event
Nov. 07, 2014
Term loans
Line of Credit
Citizens Bank, N.A.
Subsequent Event
Nov. 07, 2014
Subordinated Term Loan
Line of Credit
McLarty Capital Partners SBIC, L.P.
Subsequent Event
Nov. 07, 2014
Subordinated Term Loan
Line of Credit
McLarty Capital Partners SBIC, L.P.
Subsequent Event
Nov. 07, 2014
Minimum
Revolving line of credit
Line of Credit
Citizens Bank, N.A.
Subsequent Event
Nov. 07, 2014
Minimum
Line of Credit
Base Rate Loans
Citizens Bank, N.A.
Subsequent Event
Nov. 07, 2014
Minimum
Line of Credit
Eurocurrency Rate Loans
Citizens Bank, N.A.
Subsequent Event
Nov. 07, 2014
Maximum
Revolving line of credit
Line of Credit
Citizens Bank, N.A.
Subsequent Event
Nov. 07, 2014
Maximum
Line of Credit
Base Rate Loans
Citizens Bank, N.A.
Subsequent Event
Nov. 07, 2014
Maximum
Line of Credit
Eurocurrency Rate Loans
Citizens Bank, N.A.
Subsequent Event
Nov. 07, 2014
Federal Funds Rate
Line of Credit
Base Rate Loans
Citizens Bank, N.A.
Subsequent Event
Nov. 07, 2014
Eurodollar
Line of Credit
Base Rate Loans
Citizens Bank, N.A.
Subsequent Event
Subsequent Event [Line Items]                                            
Borrowing capacity $ 90,000,000   $ 90,000,000.0 $ 20,000,000 $ 20,000,000.0 $ 45,000,000 $ 45,000,000.0 $ 25,000,000 $ 25,000,000.0         $ 20,000,000.0                
Basis spread on interest rate                                         0.50% 1.00%
Stated interest rate                   3.00% 4.00%     11.00%                
Increase in interest rate                           2.00%                
Leverage ratio                               1.50% 2.50%   3.00% 4.00%    
Commitment fee percentage                       0.50%     0.25%     0.45%        
Term to maturity date   5 years                     5 years