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Debt Obligations (Tables)
6 Months Ended
Jun. 30, 2022
Schedule of components of debt obligations

Debt obligations consist of the following (in thousands):

​

​

​

​

​

​

​

​

​

​

​

June 30,

​

December 31,

​

​

    

2022

    

2021

 

Revolving credit facility

​

$

360,000

​

$

220,000

​

Term loan

​

​

—

​

​

120,000

​

Notes to former owners

​

​

45,400

​

 

47,954

​

Finance lease liabilities (See Note 8)

​

​

—

​

​

266

​

Other debt

​

​

240

​

​

—

​

Total principal amount

​

​

405,640

​

 

388,220

​

Less—unamortized debt issuance costs

​

​

—

​

​

(190)

​

Total debt, net of unamortized debt issuance costs

​

​

405,640

​

​

388,030

​

Less—current portion

​

​

(2,448)

​

 

(2,788)

​

Total long-term portion of debt, net

​

$

403,192

​

$

385,242

​

Schedule of future principal payments of notes to former owners

At June 30, 2022, future principal payments of debt are as follows (in thousands):

​

​

​

​

​

​

Year ending December 31—

    

​

    

​

2022 (remainder of the year)

​

$

433

​

2023

    

​

9,467

 

2024

​

 

10,867

​

2025

​

 

22,229

​

2026

​

 

2,644

​

2027

​

 

360,000

​

​

​

$

405,640

​

Schedule of market rates relating to interest options under the Facility

​

​

​

​

Base Rate Loan Option:

    

    

 

Federal Funds Rate plus 0.50%

    

2.08%

​

Wells Fargo Bank, N.A. Prime Rate

​

4.75%

​

One-month SOFR plus 1.00%

​

2.09%

​

SOFR Loan Option:

​

​

​

One-month SOFR

​

1.09%

​

Six-month SOFR

​

0.39%

​

Summary of additional margins

​

​

​

​

​

​

​

​

​

​

​

​

​

​

Net Leverage Ratio

​

​

    

Less than 
1.00

    

1.00 to less than 1.75

    

1.75 to less than 2.50

    

2.50 to less than 3.00

 

3.00 or greater

​

Additional Per Annum Interest Margin Added Under:

​

​

​

​

​

​

​

​

​

​

​

Base Rate Loan Option

​

0.00

%

0.25

%  

0.50

%  

0.75

%

1.00

%

SOFR Loan Option

​

1.00

%

1.25

%

1.50

%

1.75

%

2.00

%

Letter of credit fees

​

1.00

%

1.25

%

1.50

%

1.75

%

2.00

%

Commitment fees on any portion of the Revolving Loan capacity not in use for borrowings or letters of credit at any given time

​

0.15

%  

0.175

%  

0.20

%  

0.225

%  

0.25

%

Notes to Former Owners  
Schedule of future principal payments of notes to former owners

​

​

​

​

​

​

​

​

​

Balance at

​

Range of Stated

​

    

June 30, 2022

​

Interest Rates

2022

    

$

400

 

2.5

%

2023

​

​

9,400

​

2.5

%

2024

​

 

10,800

​

2.5 - 3.0

%

2025

​

 

22,175

​

2.3 - 2.5

%

2026

​

 

2,625

​

2.5

%

Total

​

$

45,400

​

​

​