Schedule of debt obligations |
The following table presents certain information regarding the Company’s debt obligations at June 30, 2022 and December 31, 2021:
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June 30, 2022 |
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December 31, 2021 |
Debt Obligation/Collateral |
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Month Issued |
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Outstanding Face Amount |
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Carrying Value |
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Final Stated Maturity |
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Weighted Average Coupon |
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Weighted Average Funding Cost (A)
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Weighted Average Life (Years) |
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Face Amount of Floating Rate Debt |
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Outstanding Face Amount |
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Carrying Value |
Credit Facilities and Finance Leases |
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Vineyard II |
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Dec 1993 |
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$ |
200 |
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$ |
200 |
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Dec 2043 |
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1.79% |
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3.54 |
% |
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21.5 |
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$ |
— |
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$ |
200 |
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$ |
200 |
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Finance leases (Equipment) |
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Jul 2014 - Jun 2022 |
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12,699 |
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12,699 |
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Jul 2022 - Aug 2027 |
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3.95% to 8.65% |
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5.69 |
% |
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3.4 |
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— |
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14,275 |
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14,275 |
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12,899 |
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12,899 |
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5.72 |
% |
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3.8 |
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— |
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14,475 |
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14,475 |
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Less current portion of obligations under finance leases |
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5,023 |
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5,023 |
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5,400 |
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5,400 |
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Credit facilities and obligations under finance leases - noncurrent |
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7,875 |
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7,875 |
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9,075 |
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9,075 |
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Corporate |
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Junior subordinated notes payable (B)
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Mar 2006 |
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51,004 |
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51,169 |
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Apr 2035 |
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LIBOR+2.25% |
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3.54 |
% |
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10.59 |
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51,004 |
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51,004 |
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51,174 |
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Total debt obligations |
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$ |
63,903 |
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$ |
64,068 |
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3.96 |
% |
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9.2 |
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$ |
51,004 |
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$ |
65,479 |
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$ |
65,649 |
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Including the effect of deferred financing costs. (B)Collateral for this obligation is the Company's general credit.
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