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Partners' Capital, Mezzanine Equity and Distributions (Class A Convertible Preferred Units - Narrative) (Details)
$ / shares in Units, $ in Thousands
12 Months Ended
Sep. 01, 2024
USD ($)
director
shares
Sep. 01, 2022
Mar. 01, 2019
quarters
Sep. 01, 2017
USD ($)
buyer
$ / shares
shares
Dec. 31, 2021
USD ($)
shares
Dec. 31, 2020
USD ($)
shares
Dec. 31, 2019
USD ($)
Sep. 01, 2019
USD ($)
Temporary Equity [Line Items]                
Accumulated distributions attributable to Class A preferred unitholders | $         $ 74,736 $ 74,736 $ 74,467  
Class A Convertible Preferred Units                
Temporary Equity [Line Items]                
Class A convertible preferred units issued (in units) | shares         25,336,778 25,336,778    
Number of shares authorized to be converted (in units) | shares       7,416,498        
Consecutive period for shares to be converted       12 months        
Minimum number of shares outstanding authorized to be converted (in units) | shares       592,768        
Volume weighted average price percentage       95.00%        
Consecutive trading days in period ending on fifth trading day       30 days        
Consideration payable to holders in cash for change of control percentage       90.00%        
Threshold trading days to notify holders       30 days        
Change in control multiplier price percentage       101.00%        
Basis spread     0.0200          
Aggregate amount of conversion required, minimum | $               $ 50,000
Number of quarters in trading period | quarters     2          
Accumulated distributions attributable to Class A preferred unitholders | $         $ 74,700 $ 74,700 $ 74,500  
Class A Convertible Preferred Units | In Arrears At Annual Rate                
Temporary Equity [Line Items]                
Dividend rate percentage       8.75%        
Dividend amount (in dollars per unit) | $ / shares       $ 2.9496        
Class A Convertible Preferred Units | Quarterly Rate                
Temporary Equity [Line Items]                
Dividend rate percentage       2.1875%        
Dividend amount (in dollars per unit) | $ / shares       $ 0.7374        
Class A Convertible Preferred Units | Scenario, Forecast                
Temporary Equity [Line Items]                
Threshold trading days to notify holders   30 days            
Reset rate   10.75%            
Percentage below issue price   110.00%            
Percentage of holders required to approve rate reset election   25.00%            
Multiplier liquidation value percentage prior to September 1, 2024 110.00%              
Multiplier liquidation value percentage thereafter 105.00%              
Conversion ratio 1              
Aggregate amount of ownership required for initial purchasers to attend board meetings | $ $ 200,000              
Percentage required for initial purchasers to purchase securities 50.00%              
Aggregate number of ownership units required for initial purchasers to appoint directors (in units) | shares 11,124,747              
Number of directors that initial purchasers have right to appoint | director 2              
Class A Convertible Preferred Units | Minimum                
Temporary Equity [Line Items]                
Redemption premium percentage       115.00%        
Class A Convertible Preferred Units | Maximum                
Temporary Equity [Line Items]                
Redemption premium percentage       101.00%        
Class A Convertible Preferred Units | LIBOR | Scenario, Forecast                
Temporary Equity [Line Items]                
Basis spread   0.0750            
Private Placement | Class A Convertible Preferred Units                
Temporary Equity [Line Items]                
Private placement of convertible preferred units | $       $ 750,000        
Class A convertible preferred units issued (in units) | shares       22,249,494        
Cash purchase price per unit (in dollars per unit) | $ / shares       $ 33.71        
Number of initial purchasers | buyer       2