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INTEREST RATE SWAPS (Tables)
12 Months Ended
Dec. 31, 2021
INTEREST RATE SWAPS  
Schedule of interest rate swap agreements

Hedged Item

Effective Date

Maturity Date

Rate

Amount

Fair Value as of December 31, 2021

2026 Term Loan (1)

3/10/2021

3/29/2024

0.22% + applicable spread

$

50,000

$

753

2026 Term Loan (2)

3/29/2024

3/10/2026

1.51% + applicable spread

$

50,000

$

(26)

2026 Term Loan

8/31/2021

3/10/2026

0.77% + applicable spread

$

15,000

$

240

2027 Term Loan (3)

11/5/2021

3/29/2024

0.73% + applicable spread

$

100,000

$

352

2027 Term Loan (4)

3/29/2024

1/31/2017

1.42% + applicable spread

$

100,000

$

198

(1)

Effective March 10, 2021, the Company redesignated the interest rate swap, entered into as of August 31, 2020, that previously hedged $50.0 million of the outstanding principal balance on the Credit Facility.

(2)

The interest rate swap agreement hedges the identical $50.0 million portion of the 2026 Term Loan borrowing under different terms and commences concurrent to the interest rate agreement maturing on March 29, 2024.

(3)

Effective November 5, 2021, the Company redesignated the interest rate swap, entered into as of March 31, 2020, that previously hedged $100.0 million of the outstanding principal balance on the Credit Facility.

(4)

The interest rate swap agreement hedges the identical $100.0 million portion of the 2027 Term Loan borrowing under different terms and commences concurrent to the interest rate agreement maturing on March 29, 2024.