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Organization - COVID-19 (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Adjustments Due to Legislation [Line Items]      
Proceeds from provider relief funds   $ 93,300  
Provider relief funds returned $ 93,300    
Contract liabilities - deferred revenue 106,489 317,962  
Recoupment of Fund 211,500    
Net service revenue 2,219,622 2,063,204 $ 2,080,241
Sequestration Payment Adjustment      
Adjustments Due to Legislation [Line Items]      
Net service revenue 26,800 18,100  
Suspension of LTACH      
Adjustments Due to Legislation [Line Items]      
Net service revenue 25,700 19,200  
Due From Legislation      
Adjustments Due to Legislation [Line Items]      
Employee-related liabilities   $ 51,900  
Deferred taxes related to acquisition 1,700    
Other Current Liabilities | Due From Legislation      
Adjustments Due to Legislation [Line Items]      
Provider relief funds returned 26,800    
Employee-related liabilities $ 26,800