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Note 5 - Debt (Tables)
12 Months Ended
Sep. 29, 2019
Notes Tables  
Schedule of Long-term Debt Instruments [Table Text Block]
     
 
 
   
 
 
 
Interest Rates (%)
 
   
September 29
   
September 30
   
September 29
 
(Thousands of Dollars)
 
2019
   
2018
   
2019
 
                         
Revolving Facility
   
     
     
6.13
 
1st Lien Term Loan
   
     
6,303
     
8.54
 
Notes
   
363,420
     
385,000
     
9.50
 
2nd Lien Term Loan
   
80,207
     
93,556
     
12.00
 
     
443,627
     
484,859
     
 
 
Unamortized debt issue costs
   
(11,282
)    
(17,055
)    
 
 
Less current maturities of long-term debt
   
2,954
     
7,027
     
 
 
Total long-term debt
   
429,391
     
460,777
     
 
 
Debt Instrument Redemption [Table Text Block]
Period Beginning
 
Percentage of Principal Amount
 
         
March 15, 2019
   
102.38
 
March 15, 2020
   
100.00
 
Schedule of Debt Payments [Table Text Block]
For the Period Ending
         
(Thousands of Dollars)
 
Pulitzer Excess Cash Flow Payment
 
Payment Date
           
September 30, 2018
   
724
 
Q1 2019
December 30, 2018
   
1,377
 
Q2 2019
March 31, 2019
   
7,317
 
Q3 2019
June 30, 2019
   
3,931
 
Q4 2019