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Debt (Tables)
6 Months Ended
Jun. 30, 2016
Debt Disclosure [Abstract]  
Schedule of Debt
The Company’s indebtedness was comprised as follows:

June 30,
2016

December 31, 2015
Revolving credit agreement
$
107,398

 
$

6.50% Senior Notes due 2024
900,000

 

6.75% Senior Notes due 2020

 
735,000

Original issue premium

 
5,838

Debt issuance costs
(20,059
)
 
(12,625
)
 
987,339

 
728,213

Obligations under capital leases
403

 
670

 
987,742

 
728,883


 
 
 
Less current portion:
361

 
470

 
$
987,381

 
$
728,413