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Schedule I - Parent Company Only - Commitments, Contingencies and Guarantees - Additional Information (Detail) - USD ($)
12 Months Ended
Apr. 08, 2019
Dec. 31, 2019
Dec. 31, 2018
May 31, 2017
Jul. 10, 2015
Mar. 13, 2015
Loss Contingencies [Line Items]            
Line of credit facility, outstanding amount   $ 0        
3.70% [Member]            
Loss Contingencies [Line Items]            
Outstanding balance of the secured loan arrangements   $ 0 $ 1,800,000      
3.70% [Member] | Secured Loan Arrangements [Member]            
Loss Contingencies [Line Items]            
Debt instrument gross amount           $ 28,200,000
Stated interest rate           3.70%
Senior Notes maturity date   Mar. 13, 2019        
Book value of the fixed assets pledged     $ 100,000      
8.375% Senior Notes [Member]            
Loss Contingencies [Line Items]            
Stated interest rate   8.375% 8.375%      
Principal amount of notes   $ 240,000,000.0        
3.44% [Member]            
Loss Contingencies [Line Items]            
Outstanding balance of the secured loan arrangements   $ 11,700,000 $ 19,200,000      
3.44% [Member] | Secured Loan Arrangements [Member]            
Loss Contingencies [Line Items]            
Debt instrument gross amount       $ 29,900,000    
Stated interest rate       3.44%    
Senior Notes maturity date   May 31, 2021        
Book value of the fixed assets pledged   $ 2,300,000        
3.77% [Member]            
Loss Contingencies [Line Items]            
Outstanding balance of the secured loan arrangements   13,200,000        
3.77% [Member] | Secured Loan Arrangements [Member]            
Loss Contingencies [Line Items]            
Debt instrument gross amount $ 15,000,000.0          
Stated interest rate 3.77%          
Senior Notes maturity date Apr. 08, 2023          
Book value of the fixed assets pledged   8,100,000        
Parent Company [Member] | 3.70% [Member]            
Loss Contingencies [Line Items]            
Outstanding balance of the secured loan arrangements   $ 1,800,000        
Parent Company [Member] | 3.70% [Member] | Secured Loan Arrangements [Member]            
Loss Contingencies [Line Items]            
Debt instrument gross amount           $ 28,200,000
Stated interest rate           3.70%
Senior Notes maturity date   Mar. 13, 2019        
Line of credit facility, outstanding amount   $ 0        
Book value of the fixed assets pledged   100,000        
Parent Company [Member] | 8.375% Senior Notes [Member] | Guarantee Obligations [Member]            
Loss Contingencies [Line Items]            
Stated interest rate         8.375%  
Principal amount of notes         $ 240,000,000.0  
Parent Company [Member] | 3.44% [Member]            
Loss Contingencies [Line Items]            
Outstanding balance of the secured loan arrangements   $ 11,700,000 19,200,000      
Parent Company [Member] | 3.44% [Member] | Secured Loan Arrangements [Member]            
Loss Contingencies [Line Items]            
Debt instrument gross amount       $ 29,900,000    
Stated interest rate       3.44%    
Senior Notes maturity date   May 31, 2021        
Book value of the fixed assets pledged   $ 2,300,000 $ 6,500,000      
Parent Company [Member] | 3.77% [Member]            
Loss Contingencies [Line Items]            
Outstanding balance of the secured loan arrangements   $ 13,200,000        
Parent Company [Member] | 3.77% [Member] | Secured Loan Arrangements [Member]            
Loss Contingencies [Line Items]            
Debt instrument gross amount $ 15,000,000.0          
Stated interest rate 3.77%          
Senior Notes maturity date   Apr. 08, 2023        
Book value of the fixed assets pledged   $ 8,100,000