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Long-Term Debt (Details) (USD $)
9 Months Ended 12 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended 3 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended
Sep. 30, 2011
Dec. 31, 2011
Sep. 30, 2012
Feb. 28, 2011
CRLLC
LIBOR
Feb. 22, 2011
CRLLC
LIBOR
Minimum
Feb. 22, 2011
CRLLC
LIBOR
Maximum
Feb. 28, 2011
CRLLC
Prime
Feb. 22, 2011
CRLLC
Prime
Minimum
Feb. 22, 2011
CRLLC
Prime
Maximum
Jun. 30, 2012
Senior Secured Notes
May 31, 2011
Senior Secured Notes
CRLLC
May 16, 2011
Senior Secured Notes
CRLLC
Sep. 30, 2012
9.0% Senior Secured Notes, due 2015
Dec. 31, 2011
9.0% Senior Secured Notes, due 2015
Apr. 30, 2010
9.0% Senior Secured Notes, due 2015
CRLLC and Coffeyville Finance Inc. (Issuers)
Apr. 06, 2010
9.0% Senior Secured Notes, due 2015
CRLLC and Coffeyville Finance Inc. (Issuers)
Dec. 31, 2010
9.0% Senior Secured Notes, due 2015
CRLLC
Sep. 30, 2012
9.0% Senior Secured Notes, due 2015
CRLLC
Dec. 31, 2011
9.0% Senior Secured Notes, due 2015
CRLLC
Dec. 30, 2010
9.0% Senior Secured Notes, due 2015
CRLLC
Sep. 30, 2012
10.875% Senior Secured Notes, due 2017
Dec. 31, 2011
10.875% Senior Secured Notes, due 2017
Apr. 30, 2010
10.875% Senior Secured Notes, due 2017
CRLLC and Coffeyville Finance Inc. (Issuers)
Apr. 06, 2010
10.875% Senior Secured Notes, due 2017
CRLLC and Coffeyville Finance Inc. (Issuers)
Sep. 30, 2012
CRNF credit facility
Dec. 31, 2011
CRNF credit facility
Dec. 31, 2011
New Notes
CRLLC
Sep. 30, 2012
New Notes
CRLLC
Mar. 31, 2011
ABL Credit Facility
CRLLC
Sep. 30, 2012
ABL Credit Facility
CRLLC
Dec. 31, 2011
ABL Credit Facility
CRLLC
Dec. 15, 2011
ABL Credit Facility
CRLLC
Feb. 22, 2011
ABL Credit Facility
CRLLC
Apr. 13, 2011
Term loan facility
CRNF
Apr. 30, 2011
Partnership credit facility
CRNF
Prime
Apr. 13, 2011
Partnership credit facility
CRNF
Prime
Apr. 30, 2011
Partnership credit facility
CRNF
Eurodollar
Apr. 13, 2011
Partnership credit facility
CRNF
Eurodollar
Sep. 30, 2012
Partnership credit facility
CVR Partners, LP
Apr. 30, 2011
Revolving credit facility
CRNF
Apr. 13, 2011
Revolving credit facility
CRNF
Sep. 30, 2012
First priority revolving credit facility
CRLLC
Long-Term Debt                                                                                    
Capital lease obligations   $ 52,259,000 $ 51,456,000                                                                              
Long-term debt   853,903,000 850,937,000                   453,654,000 456,053,000             220,827,000 220,591,000     125,000,000 125,000,000                                
Stated interest rate (as a percent)                         9.00%     9.00%         10.875%     10.875%                                    
Net unamortized premium                         6,604,000 9,003,000                                                        
Unamortized discount                                   700,000 900,000   1,923,000 2,159,000                                        
Unamortized premium                                   7,300,000 9,900,000                                              
Aggregate principal amount   9,900,000                         275,000,000               225,000,000       200,000,000                              
Issue price as a percentage of principal amount                               99.511%               98.811%       105.00%                            
Principal payment                     2,700,000           27,500,000                                                  
Prepayment premium percentage                       3.00%               3.00%                                            
Loss on extinguishment of debt (2,078,000)                               1,600,000                                                  
Estimated fair value                         484,300,000               247,300,000                                          
Borrowing capacity                                                               400,000,000 250,000,000 125,000,000             25,000,000 150,000,000
Outstanding letters of credit                                                           27,200,000                        
Aggregate availability                                                           372,800,000                        
Variable rate basis       LIBOR     prime rate                                                       prime rate   Eurodollar rate          
Basis spread on variable rate (as a percent)         2.75% 3.00%   1.75% 2.00%                                                     2.50%   3.50%        
Accrued interest payable                                                     3,700,000                              
Repurchase price as percentage of principal amount                   101.00%                                                                
Purchase price as a percentage of the principal amount at which the entity is required to purchase a portion of the notes                     103.00%                                                              
Letter of credit sublimit as a percentage of the total facility commitment                                                                 90.00%                  
Maximum borrowing capacity optional expansion                                                                 250,000,000                  
Lender and other third party costs incurred                                                         800,000   9,100,000               4,800,000      
Portion of unamortized deferred financing cost incurred written off                                                         1,900,000                          
Uncommitted incremental facility                                                                               $ 50,000,000