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DEBT (Credit Facilities Narrative) (Details)
3 Months Ended 6 Months Ended
Feb. 17, 2021
USD ($)
Apr. 02, 2020
USD ($)
Jun. 30, 2021
USD ($)
agreement
Jun. 30, 2020
USD ($)
Jun. 30, 2021
USD ($)
agreement
Jun. 30, 2020
USD ($)
Jun. 30, 2022
Short-term Debt              
Loss on debt extinguishment     $ 129,000 $ 0 $ 3,069,000 $ 0  
Debt modification expense         $ 90,000    
Line of credit facility covenant maximum leverage ratio (percentage) 60.00%   60.00%   60.00%    
Line of credit facility covenant maximum secured debt leverage ratio (percentage)     45.00%   45.00%    
Line of credit facility covenant minimum tangible net worth   $ 1,119,500,000          
Line of credit facility covenant percentage of net cash proceeds of issuance and sales of equity interests (percentage)   75.00%          
Line of credit facility covenant maximum annual distributions ( (percentage)   95.00%          
Forecast              
Short-term Debt              
Line of credit facility covenant maximum leverage ratio (percentage)             65.00%
Minimum              
Short-term Debt              
Line of credit facility covenant fixed charge coverage ratio     1.50   1.50    
Maximum              
Short-term Debt              
Line of credit facility covenant fixed charge coverage ratio 1.50            
Maximum | Forecast              
Short-term Debt              
Line of credit facility covenant fixed charge coverage ratio             1.20
Credit Agreement              
Short-term Debt              
Loss on debt extinguishment $ 635,000            
Debt modification expense 2,342,000            
Term Loans:              
Short-term Debt              
Number of unsecured credit agreements (agreements) | agreement     3   3    
Revolving line of credit, current borrowing capacity     $ 747,481,000   $ 747,481,000    
Line of credit ability to borrow 174,729,000            
Liquid assets requirement $ 30,000            
Term Loans: | Credit Facility              
Short-term Debt              
Revolving line of credit, current borrowing capacity     442,404,000   442,404,000    
Term Loans: | $250 Million Term Loan (First Term Loan)              
Short-term Debt              
Revolving line of credit, current borrowing capacity     278,846,000   278,846,000    
Term Loans: | $300 Million Senior Term Loan Agreement (Second Term Loan)              
Short-term Debt              
Debt instrument, face amount     26,231,000   26,231,000    
Term Loans: | $200 Million Senior Term Loan Agreement (Third Term Loan)              
Short-term Debt              
Debt instrument, face amount     $ 192,404,000   $ 192,404,000    
Revolving Line Of Credit              
Short-term Debt              
Line of credit, weighted average interest rate (percentage)     3.92% 4.23% 3.73% 4.21%  
Revolving Line Of Credit | Forecast              
Short-term Debt              
Line of credit facility covenant maximum secured debt leverage ratio (percentage)             60.00%
Revolving Line Of Credit | $250 Million Senior Revolving Line Of Credit (Line of Credit)              
Short-term Debt              
Revolving line of credit, current borrowing capacity     $ 250,000,000   $ 250,000,000