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DEBT - 2014 Term Loan (Details)
$ in Thousands
Dec. 30, 2014
USD ($)
Oct. 24, 2014
USD ($)
Oct. 08, 2014
USD ($)
installment
Dec. 31, 2016
USD ($)
Nov. 15, 2016
Dec. 31, 2015
USD ($)
Repayment of the outstanding debt            
Total debt       $ 524,377   $ 588,434
Secured Debt | 2014 Term Loan Facilities            
Line of Credit Facility            
Maximum facility amount of delivered cost per vessel (as a percent)     60.00%      
Maximum facility amount of delivered cost per vessel     $ 16,800      
Maximum facility amount of fair market value per vessel at delivery (as a percent)     60.00%      
Percentage of outstanding principal plus interest insured     95.00%      
Number of semi-annual installments in which the credit facility is to be repaid | installment     20      
Amount due per installment (as a percent)     4.16%      
Balloon payment of facility amount due at maturity (as a percent)     16.67%      
Minimum cash required to be maintained by each collateralized vessel       750    
Remaining borrowing capacity       0    
Term of facilities     10 years      
Long-term debt       26,784   $ 29,354
Repayment of the outstanding debt            
2017       2,763    
2018       2,763    
2019       2,763    
2020       2,763    
2021       2,763    
Thereafter       14,491    
Total debt       $ 28,306    
Secured Debt | 2014 Term Loan Facilities | LIBOR            
Line of Credit Facility            
Reference rate for interest payable     three or six-month LIBOR      
Applicable margin over reference rate (as a percent)     2.50%      
Secured Debt | 2014 Term Loan Facilities | Baltic Hornet            
Line of Credit Facility            
Maximum borrowing capacity     $ 16,800      
Period after latest vessel delivery date for first periodic repayment     6 months      
Drawdowns during the period   $ 16,800        
Secured Debt | 2014 Term Loan Facilities | Baltic Wasp            
Line of Credit Facility            
Maximum borrowing capacity     $ 16,800      
Period after latest vessel delivery date for first periodic repayment     6 months      
Drawdowns during the period $ 16,350          
From December 31, 2017 To June 29, 2018 | Secured Debt | 2014 Term Loan Facilities            
Line of Credit Facility            
Collateral security maintenance test (as a percent)         100.00%  
From June 30, 2018 to December 30, 2018 | Secured Debt | 2014 Term Loan Facilities            
Line of Credit Facility            
Collateral security maintenance test (as a percent)         105.00%  
From December 31, 2018 To December 30, 2019 | Secured Debt | 2014 Term Loan Facilities            
Line of Credit Facility            
Collateral security maintenance test (as a percent)         115.00%  
From December 31, 2019 To End Date of Facilities | Secured Debt | 2014 Term Loan Facilities            
Line of Credit Facility            
Collateral security maintenance test (as a percent)         135.00%