Annual report pursuant to Section 13 and 15(d)

DEBT (Details)

v3.24.0.1
DEBT (Details)
12 Months Ended
May 15, 2023
USD ($)
Feb. 08, 2023
USD ($)
Jan. 27, 2023
USD ($)
Dec. 31, 2023
USD ($)
item
Dec. 31, 2022
USD ($)
Dec. 31, 2021
USD ($)
Oct. 31, 2023
USD ($)
Nov. 02, 2021
USD ($)
May 19, 2021
USD ($)
Current portion of long-term debt, net (Note 2)       $ 29,368,000 $ 582,249,000        
Principal       400,200,000          
Fair market value       402,066,000 683,958,000        
Redemption Prior to August 1, 2024 With Applicable Premium [Member]                  
Debt Instrument, Redemption Price, Percentage     100.00%            
Redemption Prior to August 1, 2024 [Member]                  
Debt Instrument, Redemption Price, Percentage     111.75%            
Redemption On or After August 1, 2024 [Member]                  
Debt Instrument, Redemption Price, Percentage     105.875%            
Redemption On or After August 1, 2025 [Member]                  
Debt Instrument, Redemption Price, Percentage     100.00%            
Maximum [Member] | Redemption Prior to August 1, 2024 [Member]                  
Debt Instrument, Redemption Price, Percentage of Principal Amount Redeemed     35.00%            
TVPX Loan and Term Loan [Member]                  
Current portion of long-term debt, net (Note 2)       29,400,000          
TVPX Loan [Member]                  
Principal       11,025,000          
Fair market value       10,156,000          
TVPX Loan [Member] | Related Party [Member]                  
Purchase price of aircraft $ 19,100,000                
Purchase price paid using cash on hand $ 9,000,000.0                
Debt instrument, interest rate, stated percentage 2.49%                
Principal amount $ 11,800,000                
Term of debt 41 months                
Monthly amortization payments $ 91,700                
Balloon payment 8,000,000.0                
Fair market value $ 10,100,000                
Term Loan [Member]                  
Principal       114,159,000 147,899,000        
Debt instrument, interest rate, stated percentage                 7.00%
Principal amount                 $ 215,000,000.0
Fair market value       108,467,000 $ 139,056,000        
Credit Agreement [Member]                  
Debt instrument, interest rate, stated percentage     11.75%            
Borrowings outstanding       0          
Line of Credit Facility, Maximum Borrowing Capacity       $ 50,000,000.0     $ 50,000,000.0    
Number of trailing quarters | item       4          
Total proved PV -10 to debt ratio       2.00          
Percentage of funding or utilization of the credit facility       100.00%          
Credit Agreement Leverage Ratio       2.50          
Credit Agreement Minimum Current Ratio       1.00%          
Short Term First Priority Lien Secured Revolving Facility [Member]                  
Line of Credit Facility, Maximum Borrowing Capacity       $ 100,000,000.0       $ 100,000,000.0  
11.75% Senior Second Lien Notes due 2026 [Member]                  
Principal       $ 275,000,000          
Debt instrument, interest rate, stated percentage   11.75% 11.75% 11.75% 11.75%        
Principal amount     $ 275,000,000.0            
Fair market value       $ 283,443,000          
Debt Instrument, Interest Rate, Effective Percentage     12.60%            
9.75% Senior Second Lien Notes due November 2023 [Member]                  
Principal   $ 552,500,000     $ 552,460,000        
Debt instrument, interest rate, stated percentage   9.75%   9.75% 9.75%        
Fair market value         $ 544,902,000        
Debt Instrument, Redemption Price, Percentage of Principal Amount Redeemed   100.00%              
Calculus Lending Facility [Member]                  
Letters of Credit Outstanding, Amount               4,400,000  
Line of Credit Facility, Maximum Borrowing Capacity               $ 50,000,000.0  
Commitment fee percentage for unused Portion       3.00%          
Commitment fees       $ 1,500,000 $ 1,500,000 $ 1,000,000.0      
Calculus Lending Facility [Member] | Secured Overnight Financing Rate (SOFR) [Member]                  
Debt Instrument, Basis Spread on Variable Rate       6.00%