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Derivative Financial Instruments - Schedule of Swap Agreements That Will Fix the Floating Interest Rates Associated With Its Term Loan (Details) - Interest Rate Swaps
12 Months Ended
Dec. 31, 2022
USD ($)
July 2021 Term Loan  
Derivatives Fair Value [Line Items]  
Designation Date 2021-07
Effective Date 2020-08
Initial Notional Amount $ 89,863,420
Notional Amount Outstanding as of December 31, 2022 $ 100,000,000
Fixed Rate 3.068%
Expiration Date 2023-02
December 2021 Term Loan One  
Derivatives Fair Value [Line Items]  
Designation Date 2021-12
Effective Date 2020-08
Initial Notional Amount $ 181,205,050
Notional Amount Outstanding as of December 31, 2022 $ 478,905,707
Fixed Rate 0.7203%
Expiration Date 2024-04
December 2021 Term Loan Two  
Derivatives Fair Value [Line Items]  
Designation Date 2021-12
Effective Date 2020-08
Initial Notional Amount $ 388,877,200
Notional Amount Outstanding as of December 31, 2022 $ 599,043,463
Fixed Rate 0.6826%
Expiration Date 2024-04
December 2021 Term Loan Three  
Derivatives Fair Value [Line Items]  
Designation Date 2021-12
Effective Date 2022-05
Initial Notional Amount $ 220,130,318
Notional Amount Outstanding as of December 31, 2022 $ 218,699,843
Fixed Rate 0.457%
Expiration Date 2024-04
December 2021 Term Loan Four  
Derivatives Fair Value [Line Items]  
Designation Date 2021-12
Effective Date 2022-05
Initial Notional Amount $ 306,004,562
Notional Amount Outstanding as of December 31, 2022 $ 302,505,737
Fixed Rate 0.448%
Expiration Date 2024-04
December 2021 Term Loan Five  
Derivatives Fair Value [Line Items]  
Designation Date 2021-12
Effective Date 2024-04
Initial Notional Amount $ 871,205,040
Fixed Rate 1.6533%
Expiration Date 2025-06
December 2021 Term Loan Six  
Derivatives Fair Value [Line Items]  
Designation Date 2021-12
Effective Date 2024-04
Initial Notional Amount $ 435,602,520
Fixed Rate 1.656%
Expiration Date 2025-06
December 2021 Term Loan Seven  
Derivatives Fair Value [Line Items]  
Designation Date 2021-12
Effective Date 2024-04
Initial Notional Amount $ 435,602,520
Fixed Rate 1.665%
Expiration Date 2025-06
March 2022 Term Loan  
Derivatives Fair Value [Line Items]  
Designation Date 2022-03
Effective Date 2025-06
Initial Notional Amount $ 1,197,000,000
Fixed Rate 2.554%
Expiration Date 2026-12