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Fair Value - Schedule of Estimated Fair Values (Details) - USD ($)
$ in Thousands
Dec. 31, 2019
Dec. 31, 2018
Carrying Amount    
Financial assets:    
Cash and cash equivalents $ 1,101,893 $ 577,883
Restricted cash 0 20,564
Carrying Amount | Revolving Credit Facility    
Financial liabilities:    
Debt 0 0
Carrying Amount | Term Loan B Facility    
Financial liabilities:    
Debt 2,076,962 2,073,784
Carrying Amount | Second Lien Notes    
Financial liabilities:    
Debt 498,480 498,480
Carrying Amount | CPLV CMBS Debt    
Financial liabilities:    
Debt 0 1,550,000
Carrying Amount | Senior Notes due 2026    
Financial liabilities:    
Debt 1,231,227 0
Carrying Amount | Senior Notes due 2029    
Financial liabilities:    
Debt 984,894 0
Fair Value    
Financial assets:    
Cash and cash equivalents 1,101,893 577,883
Restricted cash 0 20,564
Fair Value | Revolving Credit Facility    
Financial liabilities:    
Debt 0 0
Fair Value | Term Loan B Facility    
Financial liabilities:    
Debt 2,110,500 2,016,000
Fair Value | Second Lien Notes    
Financial liabilities:    
Debt 538,358 535,866
Fair Value | CPLV CMBS Debt    
Financial liabilities:    
Debt 0 1,539,040
Fair Value | Senior Notes due 2026    
Financial liabilities:    
Debt 1,287,500 0
Fair Value | Senior Notes due 2029    
Financial liabilities:    
Debt $ 1,045,000 $ 0