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Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2023
Fair Value Measurements  
Summary of aggregate carrying value and fair value of fixed rate debt

Fair Value

September 30, 2023

December 31, 2022

September 30, 2022

($ in thousands)

    

Measurement

    

Carrying Value

    

Fair Value

    

Carrying Value

    

Fair Value

Carrying Value

    

Fair Value

Term Loan Facility

Level 2

$

1,348,882

$

1,380,135

$

1,360,454

$

1,394,290

$

1,359,230

$

1,394,290

Floor Plan Facility Revolving Line of Credit

Level 2

20,885

20,999

20,885

19,823

20,885

18,191

Real Estate Facilities(1)

Level 2

192,565

195,585

145,911

145,664

21,666

20,153

Other Long-Term Debt

Level 2

8,327

6,700

3,280

2,944

3,311

2,926

(1)The carrying value of Real Estate Facilities at September 30, 2023 includes the $4.0 million reported as liabilities related to assets held for sale in the condensed consolidated balance sheet.