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Fair Value Measurement - Schedule of Financial Assets and Liabilities Measured at Fair Value on Recurring Basis (Details) - Measured at Fair Value on Recurring Basis - USD ($)
$ in Millions
Jun. 30, 2023
Dec. 31, 2022
Assets    
Total assets recorded at fair value $ 126 $ 134
Liabilities    
Total liabilities recorded at fair value 680 641
Interest Rate Swaps    
Assets    
Total assets recorded at fair value 126 134
Liabilities    
Total liabilities recorded at fair value 1  
Contingent Consideration Liability    
Liabilities    
Total liabilities recorded at fair value 13 13
Seller Earnouts Liability    
Liabilities    
Total liabilities recorded at fair value 122 96
Tax Receivable Agreement Liability    
Liabilities    
Total liabilities recorded at fair value [1] 544 532
Level 2    
Assets    
Total assets recorded at fair value 126 134
Liabilities    
Total liabilities recorded at fair value 1  
Level 2 | Interest Rate Swaps    
Assets    
Total assets recorded at fair value 126 134
Liabilities    
Total liabilities recorded at fair value 1  
Level 3    
Liabilities    
Total liabilities recorded at fair value 679 641
Level 3 | Contingent Consideration Liability    
Liabilities    
Total liabilities recorded at fair value 13 13
Level 3 | Seller Earnouts Liability    
Liabilities    
Total liabilities recorded at fair value 122 96
Level 3 | Tax Receivable Agreement Liability    
Liabilities    
Total liabilities recorded at fair value [1] $ 544 $ 532
[1] Excludes the portion of liability related to the exchanges of Class A Units not measured at fair value on a recurring basis.