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Fair Value Measurements (Tables)
3 Months Ended
Jun. 30, 2021
Fair Value Measurements [Abstract]  
Schedule of Assets and Liabilities Measured at Fair Value on Recurring Basis

Quoted in

Significant Other

Significant

Identical Markets

Observable Inputs

Unobservable Inputs

Total

(Level 1)

(Level 2)

(Level 3)

Balance at June 30, 2021:

Interest rate cap agreements

$

(15,654)

$

$

(15,654)

$

Total

$

(15,654)

$

$

(15,654)

$

Balance at March 31, 2021:

Interest rate cap agreements

$

(22,725)

$

$

(22,725)

$

Total

$

(22,725)

$

$

(22,725)

$

Reconciliation of Fair Value Derivative Using Unobservable Inputs

Three Months Ended

Three Months Ended

June 30, 2021

June 30, 2020

Balance at beginning of period

$

$

(3,000)

Gain (loss) included in Other, net

2,450

Balance at end of period

$

$

(550)

Carrying Amount and Estimated Fair Value of Financial Instruments

June 30, 2021

March 31, 2021

Carrying Amount

Fair Value

Carrying Amount

Fair Value

Cash and cash equivalents

$

109,104

$

109,104

$

113,101

$

113,101

Senior Credit Facilities (Level 2)

$

3,412,635

$

3,489,058

$

3,405,552

$

3,488,883

Senior Notes (Level 2)

$

1,318,475

$

1,346,200

$

1,318,079

$

1,351,500

Debt component of tangible equity units (Level 2)

$

16,476

$

17,182

$

20,345

$

21,435