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OTHER LIABILITIES (Details) - USD ($)
$ in Thousands
Sep. 30, 2016
Dec. 31, 2015
Current:    
Deferred revenue $ 21,311 $ 7,546
Derivative Liability, Current 442 650
Restructuring provision (Note 15) 0 458
Legal provision 1,096 1,520
Other 361 274
Total other current liabilities 23,210 10,448
Non-current:    
Deferred tax 22,850 25,990
Commitment Fee Payable, Related Parties, Noncurrent [1] 9,498 9,240
Guarantee Fee Payable, Related Parties, Noncurrent 12,409 22,655
Related party accrued interest (3) 0 977
Interest Payable, Related Parties, Non-current 0 5,304
Other 7,063 1,583
Total other non-current liabilities 51,820 65,749
Time Warner [Member]    
Non-current:    
Total other non-current liabilities [2] $ 21,907 $ 31,895
2015 Convertible Notes [Member]    
Schedule of Other Liabilities [Line Items]    
Accounts Payable, Interest-bearing, Interest Rate 8.50%  
2015 Convertible Notes [Member]    
Schedule of Other Liabilities [Line Items]    
Debt Instrument, Interest Rate, Stated Percentage   5.00%
[1] (1) Represents the commitment fee ("Commitment Fee") payable to Time Warner, including accrued interest, in respect of its obligation under a commitment letter dated November 14, 2014 between Time Warner and us whereby Time Warner agreed to provide or assist with arranging a loan facility to repay our 5.0% senior convertible notes at maturity in November 2015. The Commitment Fee is payable by November 1, 2019, the maturity date of the 2019 Euro Term Loan, or earlier if the repayment of the 2019 Euro Term Loan is accelerated. The Commitment Fee bears interest at 8.5% per annum and such interest is payable in arrears on each May 1 and November 1, and may be paid in cash or in kind, at our election.
[2] 1) Amount represents accrued Guarantee Fees for which we have not yet paid in cash or made an election to pay in kind. See Note 4, "Long-term Debt and Other Financing Arrangements".