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Borrowings (Tables)
6 Months Ended
Jun. 30, 2014
Debt Disclosure [Abstract]  
Schedule of Debt [Table Text Block]
Borrowings consist of the following:
(dollars in thousands)
Interest Rate
 
Maturity Date
June 30,
2014
 
December 31,
2013
Borrowings under ABL Facility
floating
 
April 9, 2019
$
7,000

 
$

Term Loan B
floating
 
April 9, 2021
440,000

 

Senior Secured Notes
6.875%
(1)
May 15, 2020

 
405,000

Promissory Note
6.00%
 
July, 2014 to September, 2016
566

 
681

RMB Working Capital Loan
floating
 
September, 2014
5,119

 
5,157

AICEP Loan
0.00%
 
January, 2016 to July 30, 2018
4,319

 
2,389

Total borrowings
 
 
 
457,004

 
413,227

Less — unamortized discount
 
 
 
1,064

 

Plus — carrying value adjustment on debt related to the Interest Rate Agreement (1)

 
(1,324
)
Total borrowings — net
 
 
 
455,940

 
411,903

Less — long term debt due within one year
 
 
9,761

 
5,391

Total long-term portion of borrowings — net
 
$
446,179

 
$
406,512

_____________________________
(1)
See Interest Rate Agreement under “Term Loan B and Senior Secured Notes” below and in note 9.
Schedule of Schedule of Derivatives Instruments Statements of Financial Performance and Financial Position, Location [Table Text Block]
The fair market value and related carrying value adjustment are as follows:
(dollars in thousands)
June 30, 2014
 
December 31, 2013
Fair market value of Rate Agreement - asset (liability)
$

 
$
(2,073
)
Adjustment to increase (decrease) carrying value of the related long-term debt
$

 
$
(1,324
)