XML 37 R28.htm IDEA: XBRL DOCUMENT v3.22.2.2
CREDIT FACILITY (Tables)
9 Months Ended
Sep. 30, 2022
CREDIT FACILITY.  
Schedule of reconciliation of principal amounts outstanding under the Credit Facility to borrowings under credit facilities recorded in the consolidated balance sheets

    

December 31, 

    

September 30, 

2021

2022

First Lien Term Loan - Tranche A

$

1,610,928

$

1,598,408

First Lien Term Loan - Tranche B

796,374

790,371

First Lien Revolver

50,000

Unamortized debt financing costs

 

(7,523)

 

(6,241)

Unamortized discount

 

(6,110)

 

(5,327)

Total

$

2,393,669

$

2,427,211