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Fair Value of Financial Instruments - Interest Rate Risk (Details) - USD ($)
$ in Thousands
6 Months Ended
Jul. 01, 2024
Apr. 15, 2024
Sep. 30, 2023
Mar. 31, 2023
Series B Preferred Stock        
Interest Rate Risk        
Preferred units, dividend payment terms     The current distribution rate for the Class B Preferred Units is a floating rate of the three-month LIBOR interest rate (5.40% for the quarter ended September 30, 2023) plus a spread of 7.213%. Effective July 3, 2023, the reference to LIBOR in the formulation for the distribution rate in these securities was replaced with three-month CME Term SOFR, as calculated and published by CME Group Benchmark Administration, Ltd., plus a tenor spread adjustment of 0.26161%, in accordance with the Adjustable Interest Rate (LIBOR) Act (the “LIBOR Act”), and the rules implementing the LIBOR Act.  
Series B Preferred Stock | London Interbank Offered Rate        
Interest Rate Risk        
Preferred units, dividend payment terms     The current distribution rate for the Class B Preferred Units is a floating rate of the three-month LIBOR interest rate (5.40% for the quarter ended September 30, 2023) plus a spread of 7.213%. Effective July 3, 2023, the reference to LIBOR in the formulation for the distribution rate in these securities was replaced with three-month CME Term SOFR, as calculated and published by CME Group Benchmark Administration, Ltd., plus a tenor spread adjustment of 0.26161% in accordance with the LIBOR Act and the rules implementing the LIBOR Act.  
Series C Preferred Stock        
Interest Rate Risk        
Preferred units, dividend payment terms     The current distribution rate for the Class C Preferred Units is 9.625% per year of the $25.00 liquidation preference per unit (equal to $2.41 per unit per year).  
Series C Preferred Stock | Subsequent Event        
Interest Rate Risk        
Preferred units, dividend payment terms   On and after April 15, 2024, distributions on the Class C Preferred Units will accumulate at a percentage of the $25.00 liquidation preference equal to the applicable three-month LIBOR interest rate (or alternative rate as determined in accordance with the amended and restated limited partnership agreement (the “Partnership Agreement”)) plus a spread of 7.384%.    
Series C Preferred Stock | Subsequent Event | London Interbank Offered Rate        
Interest Rate Risk        
Preferred units, dividend payment terms   On and after April 15, 2024, distributions on the Class C Preferred Units will accumulate at a percentage of the $25.00 liquidation preference equal to the applicable three-month LIBOR interest rate (or alternative rate as determined in accordance with the Partnership Agreement) plus a spread of 7.384%.    
Series D Preferred Stock        
Interest Rate Risk        
Preferred units, dividend payment terms     The current distribution rate for the Class D Preferred Units is 10.00% (equal to $100.00 per every $1,000 in unit value per year), and includes an additional 0.50% rate increase due to a Class D distribution payment default, as defined within the Partnership Agreement  
Series D Preferred Stock | Subsequent Event        
Interest Rate Risk        
Preferred units, dividend payment terms On or after July 1, 2024, the holders of our Class D Preferred Units can elect, from time to time, for the distributions to be calculated based on a floating rate equal to the applicable three-month LIBOR interest rate (or alternative rate as determined in accordance with the Partnership Agreement) plus a spread of 7.00% (“Class D Variable Rate,” as defined in the Partnership Agreement). Each Class D Variable Rate election shall be effective for at least four quarters following such election.      
Series D Preferred Stock | Subsequent Event | London Interbank Offered Rate        
Interest Rate Risk        
Preferred units, dividend payment terms On or after July 1, 2024, the holders of our Class D Preferred Units can elect, from time to time, for the distributions to be calculated based on a floating rate equal to the applicable three-month LIBOR interest rate (or alternative rate as determined in accordance with the Partnership Agreement) plus the Class D Variable Rate. Each Class D Variable Rate election shall be effective for at least four quarters following such election.      
ABL Facility        
Interest Rate Risk        
Outstanding debt     $ 156,000 $ 138,000
Interest rate     8.27%