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REORGANIZATION ITEMS, NET (Details) - USD ($)
$ in Thousands
6 Months Ended 12 Months Ended
Jul. 09, 2014
Dec. 31, 2014
Jul. 09, 2014
Dec. 31, 2015
Reorganization items, net        
Total reorganization fees   $ 1,591   $ 1,085
Total reorganization items, net   1,591   1,085
Chapter 11        
Reorganization items, net        
Professional fees incurred   968   708
Trustee fees incurred   623   377
Total reorganization fees   1,591   1,085
Total reorganization items, net   $ 1,591   $ 1,085
Predecessor        
Reorganization items, net        
Total reorganization fees     $ 35,232  
Gain on settlement of liabilities subject to compromise in exchange for equity issuance, net     (33,832)  
Total fresh-start adjustment     880,408  
Total reorganization items, net     915,640  
Predecessor | As Reported        
Reorganization items, net        
Total reorganization items, net     (882,167)  
Predecessor | Adjustment        
Reorganization items, net        
Total reorganization items, net $ 1,797,807   $ 1,797,807  
Predecessor | Chapter 11        
Reorganization items, net        
Professional fees incurred 34,981      
Trustee fees incurred 251      
Total reorganization fees 35,232      
Gain on settlement of liabilities subject to compromise in exchange for equity issuance, net (33,832)      
Fresh-start reporting adjustments 914,240      
Total fresh-start adjustment 880,408      
Total reorganization items, net 915,640      
Predecessor | Chapter 11 | As Reported        
Reorganization items, net        
Professional fees incurred 34,981      
Trustee fees incurred 251      
Total reorganization fees 35,232      
Gain on settlement of liabilities subject to compromise (1,187,689)      
Net gain on debt and equity discharge and issuance (775,086)      
Fresh-start reporting adjustments 1,045,376      
Total fresh-start adjustment (917,399)      
Total reorganization items, net (882,167)      
Predecessor | Chapter 11 | Adjustment        
Reorganization items, net        
Gain on settlement of liabilities subject to compromise 1,187,689      
Net gain on debt and equity discharge and issuance 775,086      
Gain on settlement of liabilities subject to compromise in exchange for equity issuance, net (33,832)      
Fresh-start reporting adjustments (131,136)      
Total fresh-start adjustment 1,797,807      
Total reorganization items, net $ 1,797,807