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Debt - Summary of Future Debt Payment Obligations (Detail)
$ in Thousands
Mar. 31, 2022
USD ($)
Debt Instrument [Line Items]  
Total $ 382,911
2022 0
2023 175,000
2024 0
2025 0
2026 0
Thereafter 207,911
0.875% Convertible Senior Notes [Member]  
Debt Instrument [Line Items]  
Total 207,911 [1]
2022 0 [1]
2023 0 [1]
2024 0 [1]
2025 0 [1]
2026 0 [1]
Thereafter 207,911 [1]
Revolving Facility [Member]  
Debt Instrument [Line Items]  
Total 175,000 [2]
2022 0 [2]
2023 175,000 [2]
2024 0 [2]
2025 0 [2]
2026 0 [2]
Thereafter $ 0 [2]
[1] Amount represents the face value of the 0.875% Convertible Senior Notes.
[2] Assumes no additional borrowings after March 31, 2022, payment of any required periodic installments of principal when due and that all drawn amounts are repaid upon maturity. On May 2, 2022, this amount was repaid with proceeds from the sale of the Hospitals and Large Physician Practices Business.