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INTEREST RATE SWAPS (Tables)
6 Months Ended
Jun. 30, 2023
INTEREST RATE SWAPS  
Schedule of interest rate swap agreements Information related to the Company’s interest rate swap agreements as of June 30, 2023 is presented below (in thousands):

Hedged Item (1)

Effective Date

Maturity Date

Rate

Amount

Fair Value as of June 30, 2023

2026 Term Loan

3/10/2021

3/29/2024

0.12% + 0.10% + applicable spread

$

50,000

$

1,916

2026 Term Loan

3/29/2024

3/10/2026

1.44% + 0.10% + applicable spread

$

50,000

$

2,339

2026 Term Loan

8/31/2021

3/10/2026

0.70% + 0.10% + applicable spread

$

15,000

$

1,408

2027 Term Loan

11/5/2021

3/29/2024

0.64% + 0.10% + applicable spread

$

100,000

$

3,452

2027 Term Loan

3/29/2024

1/31/2027

1.35% + 0.10% + applicable spread

$

100,000

$

6,296

2028 Term Loan

9/30/2022

1/31/2028

3.78% + 0.10% + applicable spread

$

50,000

$

287

2028 Term Loan

9/30/2022

1/31/2028

3.78% + 0.10% + applicable spread

$

50,000

$

275

Credit Facility

1/31/2023

1/31/2030

3.27% + 0.10% + applicable spread

$

50,000

$

1,167

Credit Facility

1/31/2023

1/31/2030

3.26% + 0.10% + applicable spread

$

33,000

$

790

Credit Facility

1/31/2023

1/31/2030

3.36% + 0.10% + applicable spread

$

17,000

$

319

(1)

On September 30, 2022, the Company converted its existing interest rate swaps from 1-month LIBOR to SOFR.