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SUBSEQUENT EVENTS (Details) - USD ($)
1 Months Ended 12 Months Ended
Feb. 26, 2025
Dec. 31, 2024
Dec. 31, 2023
Jan. 27, 2025
Line of credit        
Subsequent Event [Line Items]        
Basis spread on variable rate (as a percent)   2.00%    
Line of credit | Subsequent Event | Revolving Credit Facility | Debt Covenant Period One        
Subsequent Event [Line Items]        
Maximum borrowing capacity $ 575,000,000      
First-Out First Lien Secured Notes due 2033 | Notes | Subsequent Event        
Subsequent Event [Line Items]        
Interest rate (as a percent) 8.125%      
Aggregate principal amount $ 1,430,000,000      
Term Loan B-3 | Term Loan        
Subsequent Event [Line Items]        
Basis spread on variable rate (as a percent)   3.00%    
Term Loan B-3 | Term Loan | Subsequent Event        
Subsequent Event [Line Items]        
Aggregate principal amount $ 711,400,000      
Term Loan B-6 | Term Loan | Subsequent Event        
Subsequent Event [Line Items]        
Basis spread on variable rate (as a percent) 3.30%      
Term Loan B-4 | Term Loan        
Subsequent Event [Line Items]        
Basis spread on variable rate (as a percent)   3.75%    
Term Loan B-4 | Term Loan | Subsequent Event        
Subsequent Event [Line Items]        
Aggregate principal amount $ 731,300,000      
Term Loan B-7 | Term Loan | Subsequent Event        
Subsequent Event [Line Items]        
Basis spread on variable rate (as a percent) 4.10%      
First-Out First Lien Revolving Credit Facility | Line of credit | Subsequent Event | Revolving Credit Facility        
Subsequent Event [Line Items]        
Basis spread on variable rate (as a percent) 2.00%      
Required prepayment, first lien leverage ratio 3.5      
Percent of borrowings exceeding total commitments 35.00%      
4.125% Senior Secured Notes, due December 1, 2030 | Notes        
Subsequent Event [Line Items]        
Interest rate (as a percent)   4.13% 4.125%  
4.125% Senior Secured Notes, due December 1, 2030 | Notes | Subsequent Event        
Subsequent Event [Line Items]        
Interest rate (as a percent) 4.125%     4.125%
Aggregate principal amount $ 63,600,000      
Percentage of principal amount redeemed 84.00%      
4.125% Senior Secured Notes, due December 1, 2030 | Notes | Subsequent Event | Debt Covenant Period Two        
Subsequent Event [Line Items]        
Aggregate principal amount $ 432,000,000      
4.125% Senior Secured Notes, due December 1, 2030 | Notes | Subsequent Event | Debt Covenant Period Three        
Subsequent Event [Line Items]        
Aggregate principal amount $ 242,000,000      
Senior Secured Second Lien Notes due 2033 | Notes | Subsequent Event        
Subsequent Event [Line Items]        
Interest rate (as a percent) 9.75%      
Second-Out First Lien Secured Notes due 2032 | Notes | Subsequent Event        
Subsequent Event [Line Items]        
Interest rate (as a percent) 4.375%      
Term Loan B-2 | Term Loan        
Subsequent Event [Line Items]        
Repayments of secured debt   $ 25,000,000 $ 26,000,000  
Basis spread on variable rate (as a percent)   2.50%    
Term Loan B-2 | Term Loan | Subsequent Event        
Subsequent Event [Line Items]        
Repayments of secured debt $ 1,175,000,000      
5.125% Senior Notes due 2027 | Notes        
Subsequent Event [Line Items]        
Interest rate (as a percent)   5.13% 5.125%  
5.125% Senior Notes due 2027 | Notes | Subsequent Event        
Subsequent Event [Line Items]        
Interest rate (as a percent) 5.125%      
Aggregate principal amount $ 104,000,000      
Percentage of principal amount redeemed 97.00%      
Third Lien Obligations | Term Loan | Subsequent Event        
Subsequent Event [Line Items]        
Aggregate principal amount $ 2,700,000      
Third Lien Obligations | Line of credit | Subsequent Event | Revolving Credit Facility        
Subsequent Event [Line Items]        
Aggregate principal amount $ 75,000,000