XML 80 R62.htm IDEA: XBRL DOCUMENT v3.21.1
Partners’ Capital (Details Narrative) - USD ($)
$ / shares in Units, $ in Thousands
3 Months Ended 12 Months Ended
Mar. 27, 2019
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Dec. 31, 2013
Distribution Made to Limited Partner [Line Items]          
May 23, June 6, 2012 and 2013 Class B Convertible Preferred Units Subscription Agreements Conversion Terms   Commencing on May 23, 2015, in the event the 30-day volume-weighted average trading price (“VWAP”) and the daily VWAP of the Common Units on the National Securities Exchange on which the Common Units are listed or admitted to trading exceeds 130% of the then applicable Conversion Price for at least 20 Trading Days out of the 30 consecutive Trading Day period used to calculate the 30-day VWAP (the “Partnership Mandatory Conversion Event”) the Partnership acting pursuant to direction and approval of the Conflicts Committee (following consultation with the full board of directors), should have the right to convert the Class B Convertible Preferred Units then outstanding in whole or in part into Common Units at the then-applicable Conversion Ratio. The holders of the outstanding Class B Convertible Preferred Units as of an applicable record date should be entitled to receive, in cash, when, as and if authorized by the Partnership’s board of directors or any duly authorized committee, out of legally available funds for such purpose, (a) first, the minimum quarterly Class B Convertible Preferred Unit Distribution Rate on each Class B Convertible Preferred Unit and (b) second, any cumulative Class B Convertible Preferred Unit Arrearage then outstanding, prior to any other distributions made in respect of any other Partnership Interests pursuant to the Subscription Agreements. The minimum quarterly Class B Convertible Preferred Unit Distribution Rate should be payable quarterly which is generally expected to be February 10, May 10, August 10 and November 10, or, if any such date is not a business day, the next succeeding business day.      
Redemption price   $ 0 $ 116,850 $ 0  
Dividends paid   17,075 28,771 52,600  
Difference between carrying amount of Class B Convertible Preferred Units and their redemption price   $ 0 $ 9,119 $ 0  
Reverse unit split, description one for seven reverse unit split        
Common units issued   18,623,100 18,178,100    
Common units outstanding   18,623,100 18,178,100    
General partner units outstanding   348,570 348,570    
The 2019 Amended Plan Employees and Non Employees [Member]          
Distribution Made to Limited Partner [Line Items]          
Units issued   445,000      
Convertible Preferred Stock [Member] | Transaction agreement with DSS Holdings L.P. [Member]          
Distribution Made to Limited Partner [Line Items]          
Redemption percentage 100.00%        
Redemption price $ 116,850        
Dividends paid 2,652        
Difference between carrying amount of Class B Convertible Preferred Units and their redemption price $ 9,119        
Unit Distribution [Member]          
Distribution Made to Limited Partner [Line Items]          
Convertible preferred shares issued         24,655,554
Conversion price of the Preferred units         $ 9
Preferred units conversion rate         1
Before Reverse Unit Split [Member]          
Distribution Made to Limited Partner [Line Items]          
Common units issued 127,246,692        
Common units outstanding 127,246,692        
General partner units issued 2,439,989        
General partner units outstanding 2,439,989        
Adjusted For Reverse Stock Split [Member]          
Distribution Made to Limited Partner [Line Items]          
Common units issued     18,178,100    
Common units outstanding     18,178,100    
General partner units issued     348,570    
General partner units outstanding     348,570    
CGP [Member]          
Distribution Made to Limited Partner [Line Items]          
Interest in CGP in the Partnership   1.84%      
CGP [Member] | Right Waived [Member] | Minimum [Member]          
Distribution Made to Limited Partner [Line Items]          
Distribution target amount per unit   $ 1.6975      
CGP [Member] | Right Waived [Member] | Maximum [Member]          
Distribution Made to Limited Partner [Line Items]          
Distribution target amount per unit   $ 1.75