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DEBT (Details 8)
1 Months Ended 3 Months Ended 6 Months Ended 9 Months Ended
Oct. 07, 2015
USD ($)
Aug. 03, 2015
USD ($)
Feb. 27, 2015
USD ($)
Jan. 07, 2015
USD ($)
Dec. 31, 2014
USD ($)
item
Jul. 09, 2014
Jul. 09, 2014
Aug. 31, 2015
item
Sep. 30, 2015
USD ($)
Sep. 30, 2014
Jul. 09, 2014
Sep. 30, 2015
USD ($)
Oct. 09, 2015
USD ($)
Jul. 14, 2015
Interest rates on debt                            
Effective Interest Rate (as a percent)                 3.55% 3.62%   3.54%    
Range of Interest Rates, minimum (excluding impact of swaps and unused commitment fees) (as a percent)                 2.78% 3.15%   2.73%    
Range of Interest Rates, maximum (excluding impact of swaps and unused commitment fees) (as a percent)                 3.93% 3.73%   3.93%    
Secured Debt | Baltic Trading $33 Million Term Loan Facility                            
Line of Credit Facility                            
Maximum borrowing capacity         $ 33,000,000       $ 33,000,000     $ 33,000,000    
Number of single term loans | item         2                  
Number of vessels expected to be purchased using term loan finance         $ 2                  
Remaining borrowing capacity                 16,500,000     16,500,000    
Secured Debt | Baltic Trading $33 Million Term Loan Facility | Subsequent event                            
Line of Credit Facility                            
Maximum borrowing capacity                         $ 33,000,000  
Secured Debt | Baltic Trading $33 Million Term Loan Facility | Baltic Scorpion                            
Line of Credit Facility                            
Maximum facility amount of delivered cost per vessel expected to be refinanced         16,500,000                  
Drawdowns during the period   $ 16,500,000                        
Collateral security maintenance test (as a percent)   140.00%                        
Secured Debt | Baltic Trading $33 Million Term Loan Facility | Baltic Mantis | Subsequent event                            
Line of Credit Facility                            
Drawdowns during the period $ 16,500,000                          
Line of Credit facility | $148 Million Credit Facility                            
Line of Credit Facility                            
Long-term debt         0       126,606,000     126,606,000    
Maximum borrowing capacity         $ 148,000,000       148,000,000     148,000,000    
Payment of Credit Facility                       4,894,000    
Commitment fee on unused daily average unutilized commitment (as a percent)         1.20%                  
Amount aggregate outstanding term loan due per installment (as a percent)         1.667%                  
Number of vessels mortgaged | item         9                  
Drawdowns during the period                       131,500,000    
Period after latest vessel delivery date for first periodic repayment         3 months                  
Number of unencumbered vessels adding as additional collateral to cover the shortfall of fair value | item               2            
Amount of consecutive quarterly reductions in maximum borrowing capacity         $ 2,447,000                  
Minimum period for future time charter contracts to be secured under lien         36 months                  
Line of Credit facility | $148 Million Credit Facility | Subsequent event                            
Line of Credit Facility                            
Maximum borrowing capacity                         $ 148,000,000  
Line of Credit facility | $148 Million Credit Facility | LIBOR                            
Line of Credit Facility                            
Applicable margin over reference rate         3.00%                  
Reference rate         LIBOR                  
Line of Credit facility | $148 Million Credit Facility | Baltic Mantis                            
Line of Credit Facility                            
Maximum facility amount of delivered cost per vessel expected to be refinanced         $ 16,500,000                  
Revolving credit facility | Baltic Trading $115 Million Revolving Credit Facility                            
Line of Credit Facility                            
Long-term debt         0       126,606,000     126,606,000    
Maximum borrowing capacity         $ 115,000,000                  
Drawdowns during the period     $ 10,500,000 $ 104,500,000                    
Remaining borrowing capacity                 $ 0     $ 0    
Predecessor                            
Interest rates on debt                            
Effective Interest Rate (as a percent)             3.94%       4.19%      
Range of Interest Rates, minimum (excluding impact of swaps and unused commitment fees) (as a percent)             3.15%       3.15%      
Range of Interest Rates, maximum (excluding impact of swaps and unused commitment fees) (as a percent)             5.15%       5.15%      
Predecessor | Line of Credit facility | 2007 Credit Facility                            
Line of Credit Facility                            
Facility fee (as a percent)           1.00%                
Up to December 31, 2015 | Line of Credit facility | $148 Million Credit Facility                            
Line of Credit Facility                            
Collateral security maintenance test (as a percent)                           130.00%
After December 31, 2015 | Line of Credit facility | $148 Million Credit Facility                            
Line of Credit Facility                            
Collateral security maintenance test (as a percent)                           140.00%