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Long-term Debt - Information Per Loan 1 (Details)
4 Months Ended 6 Months Ended 7 Months Ended 12 Months Ended 24 Months Ended
Apr. 30, 2013
USD ($)
Jul. 01, 2013
USD ($)
Aug. 06, 2013
USD ($)
Dec. 31, 2016
USD ($)
Dec. 31, 2014
Dec. 31, 2013
Dec. 20, 2013
USD ($)
Dec. 31, 2011
USD ($)
Dec. 31, 2014
USD ($)
Sep. 30, 2016
USD ($)
Mar. 30, 2015
USD ($)
Jul. 17, 2013
USD ($)
Long-term debt [Line Items]                        
Amount of equity to be raised under debt instrument covenants                   $ 50,000,000    
Commerzbank $120,000 Facilitiy                        
Long-term debt [Line Items]                        
Initiation date       Dec. 27, 2007                
Maximum borrowing capacity       $ 120,000,000                
Expiration date       Oct. 31, 2018                
Vessels provided as collateral       The Commerzbank $120,000 Facility is secured by a first priority mortgage over the Star Aurora, Star Gamma, Star Delta, Star Epsilon, Star Theta and Star Iris vessels                
Number of loan tranches       2                
Commerzbank $120,000 Facilitiy | Tranche A                        
Long-term debt [Line Items]                        
Maximum borrowing capacity       $ 50,000,000                
Number of installments       28                
Frequency of payments       quarterly                
Date of first required payment       Jan. 31, 2010                
Balloon installment       $ 13,700,000                
Commerzbank $120,000 Facilitiy | Tranche A - First four installments                        
Long-term debt [Line Items]                        
Number of installments       4                
Repayment installment       $ 2,250,000                
Commerzbank $120,000 Facilitiy | Tranche A - 5th Installment to 17th                        
Long-term debt [Line Items]                        
Number of installments       13                
Repayment installment       $ 1,000,000                
Commerzbank $120,000 Facilitiy | Tranche A - Last eleven installments                        
Long-term debt [Line Items]                        
Number of installments       11                
Repayment installment       $ 1,300,000                
Commerzbank $120,000 Facilitiy | Tranche B                        
Long-term debt [Line Items]                        
Maximum borrowing capacity       $ 70,000,000                
Number of installments       28                
Frequency of payments       quarterly                
Date of first required payment       Jan. 31, 2010                
Balloon installment       $ 12,000,000                
Commerzbank $120,000 Facilitiy | Tranche B - First four installments                        
Long-term debt [Line Items]                        
Number of installments       4                
Repayment installment       $ 4,000,000                
Commerzbank $120,000 Facilitiy | Tranche B - Last twenty four installments                        
Long-term debt [Line Items]                        
Number of installments       24                
Repayment installment       $ 1,750,000                
Commerzbank $26000 Facility                        
Long-term debt [Line Items]                        
Initiation date       Sep. 03, 2010                
Maximum borrowing capacity       $ 26,000,000                
Vessels provided as collateral       The Commerzbank $26,000 Facility was secured by a first priority mortgage over the Star Aurora vessel                
Commerzbank $120,000 and $26,000 facilities - Supplemental Agreement                        
Long-term debt [Line Items]                        
Waiver fee percentage   0.40%                    
Prepayment amount   $ 2,000,000                    
Amount of equity to be raised under debt instrument covenants   $ 30,000,000                    
Percent of quarterly installments deferred         50.00% 60.00%            
Commerzbank $120,000 and $26,000 facilities - Second Supplemental Agreement                        
Long-term debt [Line Items]                        
Prepayment amount                     $ 3,000,000  
Credit Agricole Corporate and Investment Bank $70,000 facility                        
Long-term debt [Line Items]                        
Initiation date       Jan. 20, 2011                
Amount drawn down               $ 67,275,000        
Maximum borrowing capacity       $ 70,000,000                
Number of installments       28                
Frequency of payments       quarterly                
Vessels provided as collateral       The Credit Agricole $70,000 Facility is secured by a first priority mortgage over the Star Borealis and Star Polaris vessels                
Number of loan tranches       2                
Number of vessels financed       2                
Credit Agricole Corporate and Investment Bank $70,000 facility | Tranche A                        
Long-term debt [Line Items]                        
Expiration date       Aug. 31, 2018                
Repayment installment       $ 485,400                
Balloon installment       $ 19,558,200                
Credit Agricole Corporate and Investment Bank $70,000 facility | Tranche B                        
Long-term debt [Line Items]                        
Expiration date       Nov. 30, 2018                
Repayment installment       $ 499,700                
Balloon installment       $ 20,134,000                
HSH Nordbank AG $64,500 facility                        
Long-term debt [Line Items]                        
Initiation date       Oct. 03, 2011                
Maximum borrowing capacity       $ 64,500,000                
Vessels provided as collateral       The HSH Nordbank AG $64,500 Facility is secured by a first priority mortgage over the Star Cosmo, Star Kappa and Star Omicron vessels                
Number of loan tranches       2                
HSH Nordbank AG $64,500 facility | Tranche A                        
Long-term debt [Line Items]                        
Maximum borrowing capacity       $ 48,500,000                
Expiration date       Sep. 30, 2016                
Number of installments       20                
Frequency of payments       quarterly                
Date of first required payment       Jan. 31, 2012                
Repayment installment       $ 1,250,000                
Balloon installment       23,500,000                
HSH Nordbank AG $64,500 facility | Tranche B                        
Long-term debt [Line Items]                        
Maximum borrowing capacity       $ 16,000,000                
Expiration date       Sep. 30, 2014                
Number of installments       12                
Frequency of payments       quarterly                
Date of first required payment       Jan. 31, 2012                
Repayment installment       $ 1,333,000                
HSH Nordbank AG $64,500 facility, Supplemental Agreement                        
Long-term debt [Line Items]                        
Prepayment amount                       $ 6,590,000
Amount of equity to be raised under debt instrument covenants                       $ 20,000,000
Periodic payments, amount deferred                 $ 3,500,000      
HSH Nordbank AG $64,500 facility, Supplemental Agreement | Tranche A                        
Long-term debt [Line Items]                        
Expiration date       Aug. 31, 2018                
Number of installments       7                
Frequency of payments       quarterly                
Date of first required payment       Apr. 30, 2013                
Repayment installment $ 813,000     $ 224,000                
HSH Nordbank AG $35,000 facility                        
Long-term debt [Line Items]                        
Initiation date       Feb. 06, 2014                
Maximum borrowing capacity       $ 35,000                
Expiration date       Feb. 28, 2021                
Number of installments       28                
Frequency of payments       quarterly                
Vessels provided as collateral       The HSH Nordbank $35,000 Facility is secured by a first priority mortgage over the Star Challenger, Star Zeta and Star Fighter vessels                
Number of vessels financed       2                
HSH Nordbank AG $35,000 facility | Tranche A                        
Long-term debt [Line Items]                        
Date of first required payment       May 31, 2014                
Repayment installment       $ 312,500                
Balloon installment       $ 8,750,000                
HSH Nordbank AG $35,000 facility | Tranche B                        
Long-term debt [Line Items]                        
Date of first required payment       May 31, 2014                
Repayment installment       $ 291,700                
Balloon installment       $ 9,332,400                
Deutsche Bank AG $39,000 facility                        
Long-term debt [Line Items]                        
Initiation date       Mar. 14, 2014                
Maximum borrowing capacity       $ 39,000,000                
Expiration date       Mar. 31, 2021                
Vessels provided as collateral       The Deutsche Bank $39,000 Facility is secured by a first priority mortgage over the Star Sirius, Star Vega and Star Vanessa vessels                
Number of loan tranches       2                
Number of vessels financed       2                
Deutsche Bank AG $39,000 facility | Tranche A                        
Long-term debt [Line Items]                        
Maximum borrowing capacity       $ 19,500,000                
Number of installments       28                
Frequency of payments       quarterly                
Date of first required payment       Jun. 30, 2014                
Repayment installment       $ 390,000                
Balloon installment       8,580,000                
Deutsche Bank AG $39,000 facility | Tranche B                        
Long-term debt [Line Items]                        
Maximum borrowing capacity       $ 19,500,000                
Number of installments       28                
Frequency of payments       quarterly                
Date of first required payment       Jun. 30, 2014                
Repayment installment       $ 390,000                
Balloon installment       $ 8,580,000                
ABN $87,458 Facility                        
Long-term debt [Line Items]                        
Initiation date       Aug. 01, 2013                
Maximum borrowing capacity       $ 34,458,000                
Frequency of payments       quarterly                
Vessels provided as collateral       The ABN AMRO $87,458 Facility is secured by a first-priority ship mortgage over the Big Bang, Strange Attractor, Big Fish and Pantagruel vessels                
Number of loan tranches       2                
ABN $87,458 Facility | Tranche A                        
Long-term debt [Line Items]                        
Amount drawn down     $ 20,350,000                  
Maximum borrowing capacity       $ 20,350,000                
Expiration date       Sep. 30, 2017                
ABN $87,458 Facility | Tranche B                        
Long-term debt [Line Items]                        
Amount drawn down     $ 14,108,000                  
Maximum borrowing capacity       $ 14,108,000                
Expiration date       Aug. 31, 2018                
ABN $87,458 Facility | Tranche C                        
Long-term debt [Line Items]                        
Amount drawn down             $ 53,000,000          
Maximum borrowing capacity       $ 53,000,000                
Expiration date       Dec. 31, 2018                
Minimum | ABN $87,458 Facility                        
Long-term debt [Line Items]                        
Repayment installment       $ 248,000                
Balloon installment       2,500,000                
Maximum | ABN $87,458 Facility                        
Long-term debt [Line Items]                        
Repayment installment       550,000                
Balloon installment       $ 12,813,000