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Fresh Start Accounting - Sources and Uses of Cash (Details)
$ in Thousands
Nov. 19, 2020
USD ($)
Fresh-Start Adjustment [Line Items]  
Payment pursuant to the Mirada Settlement Agreement $ 20,000
Funding of the professional fees escrow account 11,800
Payment of Oasis Credit Facility fees 6,900
Accrual for professional fees incurred upon Emergence Date 3,766
Total uses of cash 65,317
Oasis Credit Facility  
Fresh-Start Adjustment [Line Items]  
Payment of Oasis Credit Facility principal(1) 20,640
DIP Credit Facility  
Fresh-Start Adjustment [Line Items]  
Payment of DIP Credit Facility accrued interest and fees 1,375
DIP Credit Facility | Revolving credit facility | Line of credit  
Fresh-Start Adjustment [Line Items]  
Extinguishment of debt 300,000
Predecessor Credit Facility  
Fresh-Start Adjustment [Line Items]  
Payment of DIP Credit Facility accrued interest and fees 836
Predecessor Credit Facility | Revolving credit facility | Line of credit  
Fresh-Start Adjustment [Line Items]  
Extinguishment of debt $ 60,600