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Fair Value Measurement (Tables)
12 Months Ended
Dec. 31, 2021
Fair Value Measurement  
Schedule of fair value of financial instruments

Carrying

Fair

Amount

Value

Fair Value Measurements (Restated)

As of December 31, 2021

    

(Restated)

    

(Restated)

    

Level 1

    

Level 2

    

Level 3

Recurring assets and liabilities:

Long-term debt

$

1,012,452

$

803,668

$

$

803,668

$

Nonrecurring assets and liabilities:

Goodwill

358,323

358,323

358,323

Carrying

Fair

Fair Value Measurements

As of December 31, 2020

    

Amount

    

Value

    

Level 1

    

Level 2

    

Level 3

Recurring assets and liabilities:

Long-term debt

$

1,498,004

$

604,775

$

$

604,775

$

Interest rate swap liability

125

125

125

Acquisition contingent liability

300

300

300

Nonrecurring assets and liabilities:

Goodwill

359,781

359,781

359,781

Schedule of net assets and liabilities classified as Level 3 for reconciliation

December 31, 

December 31, 

    

2021

    

2020

Balance as of Beginning of Period

$

300

$

721

Earn-out Adjustment

279

Payments

(300)

(700)

Balance as of End of Period

$

$

300