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DEBT - Term Loan due 2027 (Details) - USD ($)
$ in Millions
12 Months Ended
Mar. 10, 2021
Mar. 02, 2020
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Debt Instrument [Line Items]          
Loss on extinguishment of debt     $ 0.0 $ 0.4 $ 174.0
Interest rate swaps          
Debt Instrument [Line Items]          
Derivative, notional amount   $ 1,000.0 $ 1,000.0 1,000.0  
Term Loan due 2027 | Revolving Credit Facility          
Debt Instrument [Line Items]          
Line of credit facility, accordion feature, increase limit   $ 325.0      
Line of credit facility, accordion feature, increase limit as a percent of consolidated EBITDA   60.00%      
Debt covenant, maximum consolidated first lien net leverage ratio   375.00%      
Debt covenant, maximum consolidated total net leverage ratio   525.00%      
Term loan amortization rate   1.00%      
Stated interest rate   1.00%      
Loss on extinguishment of debt       $ 0.4  
Prepayment, percent of excess cash flow   50.00%      
Prepayment, net cash proceeds of certain asset sales and casualty and condemnation events and the incurrence of certain other indebtedness, percent   100.00%      
Term Loan due 2027 | Revolving Credit Facility | London Interbank Offered Rate (LIBOR)          
Debt Instrument [Line Items]          
Basis spread on variable rate   0.50%      
Term Loan due 2027 | Revolving Credit Facility | Fed Funds Effective Rate Overnight Index Swap Rate          
Debt Instrument [Line Items]          
Basis spread on variable rate   0.50%      
Term Loan due 2027 | Revolving Credit Facility | One Month London Interbank Offered Rate (LIBOR)          
Debt Instrument [Line Items]          
Basis spread on variable rate   1.00%      
Term Loan due 2027 | Revolving Credit Facility | Stated Percentage          
Debt Instrument [Line Items]          
Basis spread on variable rate 1.75% 2.00%      
Term Loan due 2027 | Revolving Credit Facility | One-, Two-, Three- Or Six-Month LIBOR Or, If Agreed By All Term Lenders, 12-month LIBOR Or, If Agreed To By The Term Agent, Any Shorter Period Selected At The Option Of The Borrower          
Debt Instrument [Line Items]          
Basis spread on variable rate 2.75% 3.00%