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Chapter 11 Proceedings - Additional Information (Detail) - USD ($)
3 Months Ended 4 Months Ended 5 Months Ended 8 Months Ended 9 Months Ended
Apr. 23, 2021
Jan. 22, 2021
Sep. 30, 2021
Sep. 30, 2020
Apr. 23, 2021
Sep. 30, 2021
Dec. 31, 2020
Sep. 30, 2021
Sep. 30, 2020
Jun. 22, 2021
Mar. 31, 2021
Liabilities Subject To Compromise [Line Items]                      
Line of credit             $ 436,000,000        
Reorganization, date plan confirmed               Apr. 08, 2021      
Reorganization, effective date of plan               Apr. 23, 2021      
Authorizing issuance of shares of common stock representing equity interests percentage 100.00%       100.00%            
Total capital stock authorized 800,000,000       800,000,000            
Common stock, shares authorized 750,000,000   750,000,000   750,000,000 750,000,000 500,000,000 750,000,000      
Common stock, par value $ 0.0001   $ 0.0001   $ 0.0001 $ 0.0001 $ 0.01 $ 0.0001      
Preferred stock, shares authorized 50,000,000   50,000,000   50,000,000 50,000,000 25,000,000 50,000,000      
Preferred stock, par value $ 0.0001   $ 0.0001   $ 0.0001 $ 0.0001 $ 0.01 $ 0.0001      
Common stock transferred 30,000,000                    
New-money commitments to Debtors $ 114,675,000                    
New stock warrants issued in exchange for common stock 7,526,894                    
Common stock, shares issued 100,000,019   100,075,000   100,000,019 100,075,000 145,264,000 100,075,000      
Common stock, shares outstanding 100,000,019   100,075,000   100,000,019 100,075,000 138,054,000 100,075,000      
Warrants term 5 years       5 years            
Common stock shares registration                   22,892,773  
Senior notes             $ 2,000,000,000        
Payment for professional fees         $ 37,566,000 $ 35,398,000     $ 23,818,000    
Accrued interest     $ 5,254,000     5,254,000   $ 5,254,000      
Interest expense     9,777,000 $ 98,000 $ 34,827,000 16,874,000     $ 42,753,000    
Computershare Inc. [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Warrants issued 7,526,894                    
Warrants term 5 years       5 years            
Warrants exercise years 5 years                    
Warrants exercisable percentage 7.00%                    
Warrants exercise price $ 29.22       $ 29.22            
Senior Notes [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Common stock transferred 70,000,019                    
Pro rata share received percentage 70.00%                    
Liabilities subject to compromise principal balance $ 2,000,000,000.0       $ 2,000,000,000.0            
Liabilities subject to compromise accrued interest 44,900,000       44,900,000            
Senior Secured Term Loan Credit Agreement [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Senior notes $ 100,000,000.0       100,000,000.0            
Debt instrument maturity date Apr. 22, 2027                    
Debt instrument carrying amount $ 100,000,000.0       100,000,000.0            
First Lien Notes [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Senior notes $ 85,300,000       85,300,000            
Debt instrument maturity date Apr. 22, 2027                    
Additional First Lien Notes [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Senior notes $ 39,700,000       $ 39,700,000            
Debt instrument carrying amount     0     0   0      
Exit Revolving Credit Facility [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Line of credit   $ 950,000,000.0                  
Exit Revolving Credit Facility [Member] | Maximum [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Credit facility pro rata share amount of funded loans $ 100,000,000                    
First Lien Notes [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Senior notes maturity year 2027                    
First Lien Notes [Member] | Cash Pay Rate [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Interest rate of senior notes 9.00%       9.00%            
First Lien Notes [Member] | Cash Pay Rate and Payment in Kind Rate [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Interest rate of senior notes 11.00%       11.00%            
First Lien Notes [Member] | Payment in Kind Rate [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Interest rate of senior notes 13.00%       13.00%            
Senior Secured Revolving Credit Facility [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Amount available for general purposes $ 400,000,000.0       $ 400,000,000.0            
Sublimit for issuance of letters of credit 100,000,000.0       100,000,000.0            
Credit Facility [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Accrued interest                     $ 35,300,000
Interest expense             $ 23,400,000        
5.70% Senior Notes due 2039 [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Interest rate of senior notes   5.70%         5.70%        
Senior notes maturity year   2039                  
Senior notes             $ 500,000,000        
3.45% Senior Notes due 2023 [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Interest rate of senior notes   3.45%         3.45%        
Senior notes maturity year   2023                  
Senior notes             $ 250,000,000        
4.875% Senior Notes due 2043 [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Interest rate of senior notes   4.875%         4.875%        
Senior notes maturity year   2043                  
Senior notes             $ 750,000,000        
7.875% Senior Notes due 2025 [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Interest rate of senior notes   7.875%         7.875%        
Senior notes maturity year   2025                  
Senior notes             $ 500,000,000        
Exit Term Loan Credit Facility [Member]                      
Liabilities Subject To Compromise [Line Items]                      
Line of credit     $ 100,000,000.0     $ 100,000,000.0   $ 100,000,000.0      
Senior notes 100,000,000.0       $ 100,000,000.0            
Maximum portion of facility used to settle RCF claims $ 200,000,000