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Debt - Additional Information (Details)
$ in Thousands
1 Months Ended 12 Months Ended
Oct. 30, 2020
USD ($)
May 31, 2019
May 31, 2017
USD ($)
Jun. 30, 2020
Dec. 31, 2021
USD ($)
Dec. 31, 2020
USD ($)
Dec. 31, 2019
USD ($)
Line Of Credit Facility [Line Items]              
Basis spread on variable rate 0.50%     0.75%      
Net leverage ratio   4.25%          
Minimum interest coverage ratio   3.00%          
Applicable margins       0.50%      
Cash and cash equivalents         $ 39,069 $ 67,719  
Debt Instrument, Payment Terms         Interest on the notes is due semi-annually on May 1 and November 1.    
Senior secured leverage ratio 3.50%            
Margin added to ABR 1.75%     1.50%      
Borrowings         $ 0 565,000 $ 10,000
Repayment of borrowings         120,000 615,625 $ 58,125
Debt issuance costs         $ 14,300 17,700  
Other (expense) income           $ 1,800  
January 1, 2021 through Maturity June 30, 2023              
Line Of Credit Facility [Line Items]              
Interest coverage ratio 3.00            
Credit Agreement Amendment (Third Amendment)              
Line Of Credit Facility [Line Items]              
Aggregate principal amount of debt refinanced $ 430,000            
Revised debt instrument, maturity date May 31, 2025            
6.375% Senior Unsecured Notes Due 2028              
Line Of Credit Facility [Line Items]              
Proceeds from issuance initial public offering $ 400,000            
New York Fed Bank Rate              
Line Of Credit Facility [Line Items]              
Basis spread on variable rate     50.00%        
Minimum              
Line Of Credit Facility [Line Items]              
Net leverage ratio   3.75%          
Interest coverage ratio 2.75            
Minimum | LIBOR              
Line Of Credit Facility [Line Items]              
Basis spread on variable rate     1.25%        
Minimum | ABR              
Line Of Credit Facility [Line Items]              
Basis spread on variable rate     0.25%        
Maximum              
Line Of Credit Facility [Line Items]              
Euro dollar rate margin 2.75%     2.50%      
Maximum | LIBOR              
Line Of Credit Facility [Line Items]              
Basis spread on variable rate     2.00%        
Maximum | ABR              
Line Of Credit Facility [Line Items]              
Basis spread on variable rate     1.00%        
Term Loan And Revolving Credit Facility              
Line Of Credit Facility [Line Items]              
Credit agreement maturity date     May 31, 2022        
Line of credit facility description         0    
Net leverage ratio             4.50%
Revolving Credit Facility              
Line Of Credit Facility [Line Items]              
Aggregate principal amount     $ 450,000        
Net leverage ratio         6.50%    
Net Leverage Ratio       3.00 2.75    
Cash and cash equivalents         $ 75,000    
Line Of Credit Facility Drawdowns         0    
Mandatory prepayment with unrestricted cash in excess of specified amount         75,000    
Borrowings         230,000    
Revolving Credit Facility | Credit Agreement Amendment (Third Amendment)              
Line Of Credit Facility [Line Items]              
Line of credit $ 230,000            
Letter Of Credit              
Line Of Credit Facility [Line Items]              
Aggregate principal amount     25,000        
Term Loan              
Line Of Credit Facility [Line Items]              
Aggregate principal amount     $ 450,000        
Voluntary prepayment of loan         110,000    
Line of credit         $ 77,500    
Effective interest rate         2.50%    
Repayment of loan         $ 120,000    
Line of credit facility, frequency of payments           0  
Term Loan | Credit Agreement Amendment (Third Amendment)              
Line Of Credit Facility [Line Items]              
Line of credit $ 200,000