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Debt (Tables)
12 Months Ended
Dec. 31, 2021
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments
December 31,
Interest rate20212020
Notes due October 20214.875% 152,588 
Notes due May 20225.625% 148,792 
Notes due April 20236.20%90,259 271,000 
Notes due March 20244.625%242,603 374,000 
Notes due March 20276.875%400,000 — 
Notes due March 20297.25%350,000 — 
Notes due January 20375.25%35,841 35,841 
Notes due March 20436.70%425,000 425,000 
Term loan due March 2026
LIBOR + 1.75%
370,500 380,000 
Term loan due January 2025
LIBOR + 5.5%
 818,125 
Term loan due March 2028
LIBOR + 4.0%
446,625 — 
Other debt3,685 4,900 
Principal amount2,364,513 2,610,246 
Less: unamortized costs, net40,675 45,853 
Total debt2,323,838 2,564,393 
Less: current portion long-term debt24,739 216,032 
Long-term debt$2,299,099 $2,348,361 
Schedule of Maturities of Long-term Debt
Annual maturities of outstanding principal at December 31, 2021 are as follows:
2022$24,739 
2023119,748 
2024281,560 
202542,500 
2026261,000 
Thereafter1,634,966 
Total$2,364,513