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Note 11 - Credit Agreements (Details Textual) - USD ($)
$ in Thousands
1 Months Ended 3 Months Ended 7 Months Ended 9 Months Ended
Jan. 01, 2023
May 31, 2013
Jun. 30, 2022
Sep. 30, 2023
Sep. 30, 2022
Jun. 30, 2022
Dec. 31, 2022
Sep. 30, 2023
Sep. 30, 2022
Short-Term Debt       $ 74,346     $ 48,990 $ 74,346  
Gain (Loss) on Extinguishment of Debt, Total [1]       0 $ 0     $ 0 $ (3,743)
Revolving Credit Facility [Member]                  
Line of Credit Facility, Maximum Borrowing Capacity     $ 1,250,000     $ 1,250,000      
Covenant Maximum Total Leverage Ratio               3.75  
Covenant Minimum Interest Coverage Ratio               3  
Total Leverage Ratio               2.37  
Interest Coverage Ratio               7  
Debt Issuance Costs, Net, Total     10,330     10,330      
Debt Instrument, Fee Amount     800     800      
Long-Term Line of Credit       200,000       $ 200,000  
Line of Credit Facility, Remaining Borrowing Capacity       1,049,945       1,049,945  
Line of Credit Facility, Current Borrowing Capacity       $ 822,111       $ 822,111  
ABL Revolving Credit Facility [Member]                  
Write off of Deferred Debt Issuance Cost     197            
Tranche B Term Loan Facility [Member]                  
Long-Term Debt, Maturity Date   Dec. 13, 2026              
Line of Credit Facility, Maximum Borrowing Capacity   $ 1,200,000              
Uncommitted Incremental Term Loan Facility   $ 300,000              
Debt Instrument, SOFR Floor       0.00%       0.00%  
Debt Instrument, Interest Rate, Effective Percentage       7.18%       7.18%  
Repayments of Long-Term Debt, Total     $ 250,000            
Gain (Loss) on Extinguishment of Debt, Total           $ 3,546      
Tranche B Term Loan Facility [Member] | Maximum [Member]                  
Threshold for Secured Leverage Ratio Excess Cash Flow Payment Requirement               3.75  
Secured Leverage Ratio               2.25  
Tranche B Term Loan Facility [Member] | Base Rate [Member]                  
Debt Instrument, Basis Spread on Variable Rate   1.75%           0.75%  
Tranche B Term Loan Facility [Member] | Adjusted LIBOR Rate [Member]                  
Debt Instrument, Basis Spread on Variable Rate   2.75%              
Tranche B Term Loan Facility [Member] | LIBOR Floor Rate [Member]                  
Debt Instrument, Basis Spread on Variable Rate   0.75%              
Tranche B Term Loan Facility [Member] | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate [Member]                  
Debt Instrument, Basis Spread on Variable Rate               1.75%  
Tranche A Term Loan Facility and Revolving Credit Facility [Member]                  
Long-Term Debt, Maturity Date     Jun. 29, 2027     Jun. 29, 2027      
Debt Instrument, SOFR Floor 0.00%   0.00%     0.00%      
Debt Instrument, Interest Rate, Effective Percentage       7.10%       7.10%  
Tranche A Term Loan Facility and Revolving Credit Facility [Member] | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate [Member]                  
Debt Instrument, Basis Spread on Variable Rate             1.50%    
Tranche A Term Loan Facility and Revolving Credit Facility [Member] | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate [Member] | Maximum [Member]                  
Debt Instrument, Basis Spread on Variable Rate 1.75%                
Tranche A Term Loan Facility and Revolving Credit Facility [Member] | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate [Member] | Minimum [Member]                  
Debt Instrument, Basis Spread on Variable Rate 1.25%                
Tranche A Term Loan Facility [Member]                  
Line of Credit Facility, Maximum Borrowing Capacity     $ 750,000     $ 750,000      
[1] Represents the write-off of original issue discount and capitalized debt issuance costs due to voluntary debt prepayment.