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Equity - Class D Preferred Units (Details) - USD ($)
$ / shares in Units, $ in Thousands
3 Months Ended 6 Months Ended
Oct. 15, 2024
Jul. 15, 2024
Apr. 25, 2024
Apr. 18, 2024
Sep. 30, 2024
Jun. 30, 2024
Mar. 31, 2024
Sep. 30, 2024
Apr. 04, 2024
Oct. 31, 2019
Jul. 02, 2019
Series D Preferred Stock                      
Class of Stock                      
Temporary equity, issued and outstanding (in units)         600,000     600,000      
Preferred unit distributions paid   $ 15,825 $ 63,000 $ 77,100     $ 16,400        
Preferred units, dividend payment terms         The holders of our Class D Preferred Units have elected, which they are allowed to do so 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 our amended and restated limited partnership agreement (“Partnership Agreement”)) plus a spread of 7.00% (“Class D Variable Rate,” as defined in the Partnership Agreement). Effective July 3, 2023, the reference to LIBOR in the formulation for the distribution rate in these securities was replaced with the three-month CME Term SOFR, as calculated and published by CME Group Benchmark Administration, Ltd. Each variable rate election shall be effective for at least four quarters following such election. This variable rate election will be effective until September 30, 2025. The distribution rate for the Class D Preferred Units is 12.332% for the quarter ended September 30, 2024. The distribution rate was 10.00% (equal to $100.00 per every $1,000 in unit value per year)          
Preferred unit distributions declared         $ 32.08 $ 26.01          
Series D Preferred Stock | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate                      
Class of Stock                      
Preferred units, dividend payment terms               The current distribution rate for the Class D Preferred Units is a floating rate of the three-month CME Term SOFR plus a spread of 7.00% (see Note 8 for a further discussion).      
Preferred Unit Distribution Variable Rate Basis         5.332%     5.332%      
Series D Preferred Stock | Subsequent Event                      
Class of Stock                      
Preferred unit distributions paid $ 19,248                    
Limited Partner                      
Class of Stock                      
Warrants outstanding (in units)         25,500,000     25,500,000      
Preferred Stock                      
Class of Stock                      
Preferred unit distributions declared, percentage of distributions in arrears                 55.40%    
Premium Warrants | Class D Preferred Units First Issuance                      
Class of Stock                      
Warrants outstanding (in units)                     10,000,000
Warrants, exercise price                     $ 17.45
Premium Warrants | Class D Preferred Units Second Issuance                      
Class of Stock                      
Warrants outstanding (in units)                   5,000,000  
Warrants, exercise price                   $ 16.28  
Par Warrants | Class D Preferred Units First Issuance                      
Class of Stock                      
Warrants outstanding (in units)                     7,000,000
Warrants, exercise price                     $ 14.54
Par Warrants | Class D Preferred Units Second Issuance                      
Class of Stock                      
Warrants outstanding (in units)                   3,500,000  
Warrants, exercise price                   $ 13.56