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Fair Value Measurements - Narrative (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Oct. 03, 2022
Disclosure Of Reconciliation Of The Companys Financial Asset And Liability Measured At Fair Value [Line Items]        
Investment $ 32.3      
Unfunded commitments 50.1      
Capital contributions 28.4      
Payments to acquire other investments $ 38.0      
Accounts Receivable | Customer Concentration Risk | One Customer        
Disclosure Of Reconciliation Of The Companys Financial Asset And Liability Measured At Fair Value [Line Items]        
Concentration risk, percentage 12.00% 0.00%    
Revenue Benchmark | Customer Concentration Risk | One Customer        
Disclosure Of Reconciliation Of The Companys Financial Asset And Liability Measured At Fair Value [Line Items]        
Concentration risk, percentage 0.00% 0.00% 0.00%  
Two Distribution Partners | Accounts Receivable | Customer Concentration Risk        
Disclosure Of Reconciliation Of The Companys Financial Asset And Liability Measured At Fair Value [Line Items]        
Concentration risk, percentage 10.00%      
Interest rate swap        
Disclosure Of Reconciliation Of The Companys Financial Asset And Liability Measured At Fair Value [Line Items]        
Unrealized gain on derivatives $ 7.3      
Receive Variable Pay Fixed Rate | Interest rate swap        
Disclosure Of Reconciliation Of The Companys Financial Asset And Liability Measured At Fair Value [Line Items]        
Derivatives interest rate swap fixed interest rate       4.3923%
Minimum        
Disclosure Of Reconciliation Of The Companys Financial Asset And Liability Measured At Fair Value [Line Items]        
Investment fund term 7 years      
Investment fund option to extend term 2 years      
Maximum        
Disclosure Of Reconciliation Of The Companys Financial Asset And Liability Measured At Fair Value [Line Items]        
Investment fund term 10 years      
Investment fund option to extend term 3 years      
Fair Value Measured at Net Asset Value Per Share        
Disclosure Of Reconciliation Of The Companys Financial Asset And Liability Measured At Fair Value [Line Items]        
Equity securities without readily determinable fair value, amount $ 32.3 $ 3.2