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Long-term Debt - Information Per Loan 2 (Details)
1 Months Ended 2 Months Ended 3 Months Ended 4 Months Ended 6 Months Ended 7 Months Ended 10 Months Ended 12 Months Ended
Jan. 31, 2015
USD ($)
Jan. 21, 2015
USD ($)
Feb. 26, 2016
USD ($)
Feb. 28, 2015
USD ($)
Apr. 02, 2015
USD ($)
Apr. 30, 2015
USD ($)
Jul. 15, 2015
USD ($)
Jul. 11, 2014
Jun. 30, 2014
USD ($)
Aug. 07, 2015
USD ($)
Jul. 22, 2015
USD ($)
Oct. 31, 2014
USD ($)
Dec. 31, 2016
USD ($)
Dec. 31, 2014
USD ($)
Dec. 30, 2014
USD ($)
Dec. 23, 2014
USD ($)
Aug. 19, 2014
Excel Vessels                                  
Long-term debt [Line Items]                                  
Number of vessels acquired                                 34
Deutsche Bank $85,000 Facility                                  
Long-term debt [Line Items]                                  
Line of Credit Facility, Initiation Date                         May 20, 2014        
Maximum borrowing capacity                         $ 85,000,000        
Repayment period                         5 years        
Number of installments                         19        
Frequency of payments                         quarterly        
Vessels provided as collateral                         The Deutsche Bank $85,000 Facility is secured by first priority cross-collateralized ship mortgages on the Peloreus and Leviathan vessls        
Frequency of payments and payment terms                         Each tranche is subject to 19 quarterly amortization payments equal to 1/60th of the tranche amount, with the 20th payment equal to the remaining amount outstanding on the tranche        
HSBC $86,600 Facility                                  
Long-term debt [Line Items]                                  
Line of Credit Facility, Initiation Date                         Jun. 16, 2014        
Amount drawn down                 $ 86,600,000                
Maximum borrowing capacity                         $ 86,600,000        
Expiration date                         May 31, 2019        
Number of installments                         20        
Frequency of payments                         quarterly        
Repayment installment                         $ 1,555,000        
Balloon installment                         $ 55,500,000        
Vessels provided as collateral                         The HSBC $86,600 Facility is secured by a first priority mortgage over the Kymopolia, Mercurial Virgo, Pendulum, Amami, Star Emily and Madredeus vessels        
NIBC $32,000 Facility                                  
Long-term debt [Line Items]                                  
Line of Credit Facility, Initiation Date                         Nov. 07, 2014        
Maximum borrowing capacity                         $ 32,000,000        
Expiration date                         Nov. 30, 2020        
Vessels provided as collateral                         The NIBC $32,000 Facility is secured by a first priority cross collateralized mortgage over the Star Acquarius and Star Pisces vessels and general and specific assignments        
Number of loan tranches                         2        
Number of vessels financed                         2        
NIBC $32,000 Facility | Tranche A                                  
Long-term debt [Line Items]                                  
Amount drawn down                     $ 15,237,000            
Maximum borrowing capacity                         $ 16,000,000        
Frequency of payments                         quarterly        
Repayment installment                         $ 255,000        
Balloon installment                         9,633,000        
NIBC $32,000 Facility | Tranche B                                  
Long-term debt [Line Items]                                  
Amount drawn down                   $ 15,237,000              
Maximum borrowing capacity                         $ 16,000,000        
Frequency of payments                         quarterly        
Repayment installment                         $ 255,000        
Balloon installment                         $ 9,888,000        
DVB $24,750 Facility                                  
Long-term debt [Line Items]                                  
Line of Credit Facility, Initiation Date                         Oct. 30, 2014        
Amount drawn down                       $ 24,750,000          
Expiration date                         Oct. 31, 2020        
Number of installments                         24        
Frequency of payments                         quarterly        
Balloon installment                         $ 12,150,000        
Vessels provided as collateral                         The DVB $24,750 Facility is secured by a first priority pledge of the membership interests of the Christine Shipco LLC and general and specific assignments        
Number of vessels financed                         1        
DVB $24,750 Facility | Christine Shipco LLC                                  
Long-term debt [Line Items]                                  
Percentage of equity interest acquired               100.00%                  
DVB $24,750 Facility | First four installments                                  
Long-term debt [Line Items]                                  
Number of installments                         4        
Repayment installment                         $ 900,000        
DVB $24,750 Facility | Last twenty installments                                  
Long-term debt [Line Items]                                  
Number of installments                         20        
Repayment installment                         $ 450,000        
Sinosure Facility                                  
Long-term debt [Line Items]                                  
Line of Credit Facility, Initiation Date                         Feb. 11, 2015        
Maximum borrowing capacity                         $ 156,453,000        
Repayment period                         12 years        
Number of installments                         48        
Frequency of payments                         quarterly        
Vessels provided as collateral                         The Sinosure Facility is secured by first priority cross collateralized mortgage over the Honey Badger (ex-HN NE 164), Wolverine (ex-HN NE 165), Star Antares (ex-HN NE 196), Star Lutas (ex-HN NE 197), Kennadi (ex-HN 1080) and Mackenzie (ex-HN 1081) vessels and general and specific assignments        
Number of loan tranches                         8        
Number of vessels financed                         8        
Citi Facility                                  
Long-term debt [Line Items]                                  
Line of Credit Facility, Initiation Date                         Dec. 22, 2014        
Maximum borrowing capacity                         $ 100,000,000        
Date of first required payment                         Mar. 30, 2015        
Expiration date                         Dec. 31, 2019        
Number of installments                         20        
Frequency of payments                         quarterly        
Repayment installment                         $ 3,388,000        
Balloon installment                         $ 26,349,000        
Vessels provided as collateral                         The Citi Facility is secured by a first priority mortgage over the Star Pauline, Star Angie, Star Sophia, Star Georgia, Star Kamila and Star Nina vessels and general and specific assignments        
Number of vessels financed                         7        
Citi Facility | Tranche A                                  
Long-term debt [Line Items]                                  
Amount drawn down                               $ 51,477,500  
Citi Facility | Tranche B                                  
Long-term debt [Line Items]                                  
Amount drawn down   $ 42,627,500                              
Heron Vessels Facility                                  
Long-term debt [Line Items]                                  
Line of Credit Facility, Initiation Date                         Nov. 30, 2014        
Amount drawn down                           $ 25,311,000      
Maximum borrowing capacity                         $ 25,311,000        
Date of first required payment                         Dec. 31, 2014        
Expiration date                         Jun. 30, 2019        
Number of installments                         19        
Frequency of payments                         quarterly        
Repayment installment                         $ 744,400        
Vessels provided as collateral                         The facility is secured by a first priority mortgage over the Star Gwyneth and Star Angelina vessels and general and specific assignments        
Number of vessels financed                         2        
DNB $120,000 Facility                                  
Long-term debt [Line Items]                                  
Line of Credit Facility, Initiation Date                         Dec. 29, 2014        
Amount drawn down $ 9,515,000     $ 9,507,000   $ 7,769,000                 $ 88,275,000    
Maximum borrowing capacity                         $ 120,000,000        
Date of first required payment                         Mar. 31, 2015        
Expiration date                         Dec. 31, 2019        
Number of installments                         20        
Frequency of payments                         quarterly        
Repayment installment                         $ 4,374,000        
Balloon installment                         $ 29,160,000        
Vessels provided as collateral                         The DNB $120,000 Facility is secured by a first priority mortgage over the Star Nasia, Star Eleonora, Star Danai, Star Renee, Star Markella, Star Laura, Star Moira, Star Jennifer, Star Mariella, Star Helena and Star Maria vessels and general and specific assignments        
Number of vessels financed                         12        
DNB-SEB-CEXIM $227,500 Facility                                  
Long-term debt [Line Items]                                  
Line of Credit Facility, Initiation Date                         Mar. 31, 2015        
Maximum borrowing capacity                         $ 227,500,000        
Number of installments                         24        
Frequency of payments                         quarterly        
Vessels provided as collateral                         The DNB-SEB-CEXIM $227,500 Facility is secured by a first priority cross-collateralized mortgage over the Gargantua (ex-HN166), Goliath (ex-HN167), Maharaj (ex-HN184) and Star Poseidon (ex-HN198) vessels and general and specific assignments        
Number of loan tranches                         6        
Number of vessels financed                         6        
DNB-SEB-CEXIM $227,500 Facility | Tranche A                                  
Long-term debt [Line Items]                                  
Amount drawn down         $ 32,400,000                        
DNB-SEB-CEXIM $227,500 Facility | Tranche B                                  
Long-term debt [Line Items]                                  
Amount drawn down             $ 30,300,000                    
DNB-SEB-CEXIM $227,500 Facility | Tranche C                                  
Long-term debt [Line Items]                                  
Amount drawn down             $ 30,300,000                    
DNB-SEB-CEXIM $227,500 Facility | Tranche D                                  
Long-term debt [Line Items]                                  
Amount drawn down     $ 23,400,000                            
DNB-SEB-CEXIM $227,500 Facility | Minimum                                  
Long-term debt [Line Items]                                  
Repayment installment                         $ 367,000        
Balloon installment                         14,587,000        
DNB-SEB-CEXIM $227,500 Facility | Maximum                                  
Long-term debt [Line Items]                                  
Repayment installment                         508,000        
Balloon installment                         $ 20,198,000