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Debt (Tables)
12 Months Ended
Dec. 31, 2016
Debt Disclosure [Abstract]  
Schedule of debt
 
December 31,
 
2016
2015
Debt classified as current liabilities:
 
 
Hancock County industrial revenue bonds ("IRBs") due 2028, interest payable quarterly (variable interest rates (not to exceed 12%)) (1)
$
7,815

$
7,815

Debt classified as non-current liabilities:
 
 

7.5% senior secured notes due June 1, 2021, net of debt discount of $2,301 and $2,722, respectively, interest payable semiannually
247,699

247,278

Total
$
255,514

$
255,093


(1)
The IRBs are classified as current liabilities because they are remarketed weekly and could be required to be repaid upon demand if there is a failed remarketing. The IRB interest rate at December 31, 2016 was .92%.
Schedule of line of credit facilities
Status of our Iceland revolving credit facility:
 
December 31, 2016
Credit Facility maximum amount
$
50,000

Borrowing availability
50,000

Outstanding letters of credit issued

Outstanding borrowings

Borrowing availability, net of outstanding letters of credit and borrowings
50,000

Status of our U.S. revolving credit facility:
 
December 31, 2016
Credit facility maximum amount
$
150,000

Borrowing availability
96,048

Outstanding letters of credit issued
45,944

Outstanding borrowings

Borrowing availability, net of outstanding letters of credit and borrowings
50,104

Debt Instrument Redemption
Prior to June 1, 2016, we may redeem the 2021 Notes, in whole or in part, at a redemption price equal to 100% of the principal amount plus a make-whole premium, and if redeemed during the twelve-month period beginning on June 1 of the years indicated below, at the following redemption prices plus accrued and unpaid interest:
Year
Percentage
2017
103.750%
2018
101.875%
2019 and thereafter
100.000%
Offsetting of financial instruments and derivatives
The following table provides information about the balance sheet location and gross amounts offset:

Offsetting of financial instruments and derivatives
 
 
 
 
Balance sheet location
December 31, 2016
December 31, 2015
E.ON contingent obligation – principal
Other liabilities
$
(12,902
)
$
(12,902
)
E.ON contingent obligation – accrued interest
Other liabilities
(8,113
)
(6,702
)
E.ON contingent obligation – derivative asset
Other liabilities
21,015

19,604

 
 
$

$