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DEBT - 1970 Group Substitute Insurance Reimbursement Facility (Details) - USD ($)
$ in Thousands
12 Months Ended
Sep. 29, 2022
Dec. 31, 2022
Dec. 31, 2021
Debt Instrument [Line Items]      
Payments of debt issuance costs [1]   $ 13,709 $ 10,457
Debt issuance costs, net   15,100 $ 58,000
Letter of Credit | 1970 Group Substitute Insurance Reimbursement Facility      
Debt Instrument [Line Items]      
Borrowing capacity $ 21,400    
Increase (decrease) in credit facility liquidity 21,300    
Cash released from restrictions 16,300    
Restricted cash 25,700    
Increase (decrease) in credit facility 5,000    
Payments of debt issuance costs $ 2,900    
Debt issuance costs, net   $ 1,800  
[1] Consolidated statements of cash flows include discontinued operations.
December 31,
20222021
Cash and cash equivalents from continuing operations$58,075 $55,193 
Cash and cash equivalents from discontinued operations— 10,122 
Total$58,075 $65,315