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Long-Term Debt (Tables)
3 Months Ended
Mar. 31, 2019
Debt Disclosure [Abstract]  
Schedule of Long-Term Debt
The Company’s long-term debt consists of the following:
 
March 31, 2019
 
December 31, 2018
 
(In thousands)
Oasis Credit Facility
$
493,000

 
$
468,000

OMP Credit Facility
345,000

 
318,000

Senior unsecured notes
 
 
 
6.50% senior unsecured notes due November 1, 2021
71,835

 
71,835

6.875% senior unsecured notes due March 15, 2022
901,480

 
901,480

6.875% senior unsecured notes due January 15, 2023
366,094

 
366,094

6.25% senior unsecured notes due May 1, 2026
400,000

 
400,000

2.625% senior unsecured convertible notes due September 15, 2023
300,000

 
300,000

Total principal of senior unsecured notes
2,039,409

 
2,039,409

Less: unamortized deferred financing costs on senior unsecured notes
(19,692
)
 
(20,865
)
Less: unamortized debt discount on senior unsecured convertible notes
(66,384
)
 
(69,268
)
Total long-term debt
$
2,791,333

 
$
2,735,276