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Stockholders' Equity (Schedule Of Stockholders' Equity) (Details) - USD ($)
shares in Thousands, $ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2020
Jun. 30, 2020
Mar. 31, 2020
Sep. 30, 2019
Jun. 30, 2019
Mar. 31, 2019
Sep. 30, 2020
Sep. 30, 2019
Dec. 31, 2019
Stockholders' Equity [Line Items]                  
Beginning balance $ 857,270 $ 880,080 $ 865,286 $ 994,574 $ 1,023,807 $ 1,062,989 $ 865,286 $ 1,062,989  
Net income (loss) (30,733) (5,474) (10,347) (35,491) (40,179) (37,871) (46,554) (113,541)  
Distributions declared (1,394) (1,389) (5,498) (5,497) (10,358) (10,334)      
Other comprehensive loss before reclassification (2,696) (1,333) 4,532 28,095 33,260 (6,883)      
Amounts reclassified from accumulated other comprehensive loss   (7) (4,485) (53,255) 3,440 10,376      
Other comprehensive income (loss), net of tax (2,696) (1,340) 47 (25,160) 36,700 3,493 (3,989) 15,033  
Proceeds from disgorgement of shareholders short-swing profits, net [1]           5,023      
Share of equity method investees other comprehensive loss arising during the period, net of tax (21,057) (16,759) 41,956 (10,771)          
Issuance of 4.00% convertible notes due 2024, net of tax       2,231 22,537        
Settlement of 3.25% convertible notes due 2019, net of tax         (271)        
Repurchase of common stock     (11,479) (16,014) (39,870)        
Stock-based compensation 2,165 2,152 115 2,590 2,208 507      
Ending balance 803,555 857,270 880,080 906,462 994,574 1,023,807 803,555 906,462  
Proceeds from a shareholder of the company for disgorgement of shareholder short-swing profits           6,700      
Common Stock [Member]                  
Stockholders' Equity [Line Items]                  
Beginning balance $ 47 $ 47 $ 47 $ 47 $ 47 $ 47 $ 47 $ 47  
Beginning balance, Shares 47,467 47,307 46,964 46,919 46,922 46,638 46,964 46,638  
Stock-based compensation, Shares   160 343 (4) (3) 284      
Ending balance, Shares 47,467 47,467 47,307 46,915 46,919 46,922 47,467 46,915  
Ending balance $ 47 $ 47 $ 47 $ 47 $ 47 $ 47 $ 47 $ 47  
Additional Paid-In Capital [Member]                  
Stockholders' Equity [Line Items]                  
Beginning balance 736,688 734,616 734,580 726,068 701,673 696,222 734,580 696,222  
Proceeds from disgorgement of shareholders short-swing profits, net [1]           5,023      
Issuance of 4.00% convertible notes due 2024, net of tax       2,231 22,537        
Settlement of 3.25% convertible notes due 2019, net of tax         (271)        
Stock-based compensation 2,086 2,072 36 2,509 2,129 428      
Ending balance 738,774 736,688 734,616 730,808 726,068 701,673 738,774 730,808  
Retained Earnings [Member]                  
Stockholders' Equity [Line Items]                  
Beginning balance 123,491 131,705 148,150 226,869 277,082 324,728 148,150 324,728  
Net income (loss) (34,486) (8,214) (16,445) (38,970) (45,342) (42,799)      
Distributions declared         (4,871) (4,847)      
Ending balance 89,005 123,491 131,705 187,899 226,869 277,082 89,005 187,899  
Accum. Other Comp. Income (Loss) [Member]                  
Stockholders' Equity [Line Items]                  
Beginning balance 12,840 30,939 (11,064) 24,177 (12,523) (16,016) (11,064) (16,016)  
Other comprehensive loss before reclassification (2,696) (1,333) 4,532 28,095 33,260 (6,883)      
Amounts reclassified from accumulated other comprehensive loss   (7) (4,485) (53,255) 3,440 10,376      
Other comprehensive income (loss), net of tax (2,696) (1,340) 47 (25,160) 36,700 3,493      
Share of equity method investees other comprehensive loss arising during the period, net of tax (21,057) (16,759) 41,956 (10,771)          
Ending balance (10,913) 12,840 30,939 (11,754) 24,177 (12,523) (10,913) (11,754)  
Treasury Stock [Member]                  
Stockholders' Equity [Line Items]                  
Beginning balance $ (131,287) $ (131,287) $ (119,808) $ (98,032) $ (58,162) $ (58,162) $ (119,808) $ (58,162)  
Beginning balance, Shares 11,813 11,813 10,932 8,733 5,536 5,536 10,932 5,536  
Repurchase of common stock     $ (11,479) $ (16,014) $ (39,870)        
Repurchase of common stock, Shares     881 1,663 3,197        
Ending balance, Shares 11,813 11,813 11,813 10,396 8,733 5,536 11,813 10,396  
Ending balance $ (131,287) $ (131,287) $ (131,287) $ (114,046) $ (98,032) $ (58,162) $ (131,287) $ (114,046)  
Total Green Plains Stockholders' Equity [Member]                  
Stockholders' Equity [Line Items]                  
Beginning balance 741,779 766,020 751,905 879,129 908,117 946,819 751,905 946,819  
Net income (loss) (34,486) (8,214) (16,445) (38,970) (45,342) (42,799)      
Distributions declared         (4,871) (4,847)      
Other comprehensive loss before reclassification (2,696) (1,333) 4,532 28,095 33,260 (6,883)      
Amounts reclassified from accumulated other comprehensive loss   (7) (4,485) (53,255) 3,440 10,376      
Other comprehensive income (loss), net of tax (2,696) (1,340) 47 (25,160) 36,700 3,493      
Proceeds from disgorgement of shareholders short-swing profits, net [1]           5,023      
Share of equity method investees other comprehensive loss arising during the period, net of tax (21,057) (16,759) 41,956 (10,771)          
Issuance of 4.00% convertible notes due 2024, net of tax       2,231 22,537        
Settlement of 3.25% convertible notes due 2019, net of tax         (271)        
Repurchase of common stock     (11,479) (16,014) (39,870)        
Stock-based compensation 2,086 2,072 36 2,509 2,129 428      
Ending balance 685,626 741,779 766,020 792,954 879,129 908,117 685,626 792,954  
Non-Controlling Interests [Member]                  
Stockholders' Equity [Line Items]                  
Beginning balance 115,491 114,060 113,381 115,445 115,690 116,170 113,381 116,170  
Net income (loss) 3,753 2,740 6,098 3,479 5,163 4,928      
Distributions declared (1,394) (1,389) (5,498) (5,497) (5,487) (5,487)      
Stock-based compensation 79 80 79 81 79 79      
Ending balance $ 117,929 $ 115,491 $ 114,060 $ 113,508 $ 115,445 $ 115,690 $ 117,929 $ 113,508  
3.25% Convertible Notes Due 2019 [Member]                  
Stockholders' Equity [Line Items]                  
Interest rate, stated percentage         3.25%        
Corporate Activities [Member] | Convertible Notes [Member] | 4.00% Convertible Notes Due 2024 [Member]                  
Stockholders' Equity [Line Items]                  
Interest rate, stated percentage       4.00% 4.00%     4.00% 4.00%
[1] During the three months ended March 31, 2019, the company received $6.7 million from a shareholder of the company for disgorgement of shareholder short-swing profits under Section 16(b) under the Exchange Act. The amount was recorded as an increase to additional paid-in capital, net of tax.