Other Assets Other assets were comprised of the following (in thousands): | | | | | | | | | | | | | December 31, 2023 | | December 31, 2022 | Interest rate swap (1) | $ | 37,089 | | | $ | 85,586 | | Security deposits | 3,602 | | | 3,523 | | Long-term prepaid expenses | 3,273 | | | 3,711 | | Deferred revolving credit facility costs | 4,427 | | | 2,206 | | Other long-term assets | 7,126 | | | 8,191 | | Total | $ | 55,517 | | | $ | 103,217 | |
(1)Refer to Note 19. Fair Value Measurements and Note 20. Financial Instruments for information about the Company’s interest rate swap.
|