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Debt (Tables)
12 Months Ended
Dec. 31, 2015
Debt Disclosure [Abstract]  
Schedule of Debt
At December 31, the Company’s indebtedness was comprised as follows:
 
2015
 
2014
Revolving credit agreement
$

 
$

6.75% Notes due 2020
735,000

 
735,000

Original issue premium
5,838

 
7,017

Note payable and other bank loans

 

  
740,838

 
742,017

Obligations under capital leases
670

 
1,110

  
741,508

 
743,127

Less:
  

 
  

Current portion
470

 
534

  
$
741,038

 
$
742,593

Schedule Of Future Principal Repayments Of Long Term Debt Including Capital Lease Obligations
Future principal repayments, including capital lease obligations, for the years ended December 31, and in aggregate, are as follows:
 
 
 
Period
 
Amount
2016
 
$
470

2017
 
175

2018
 
10

2019
 
8

2020
 
735,007

2021 and thereafter
 

  
 
$
735,670

Schedule of Future Minimum Lease Payments for Capital Leases
Future minimum capital lease payments for the years ended December 31 and in aggregate, are as follows:
Period
 
Amount
2016
 
$
495

2017
 
182

2018
 
10

2019
 
8

2020
 
7

2021 and thereafter
 

  
 
702

Less: imputed interest
 
(32
)
  
 
670

Less: current portion
 
(470
)
  
 
$
200