XML 51 R39.htm IDEA: XBRL DOCUMENT v3.24.1.u1
LONG-TERM DEBT (Tables)
3 Months Ended
Mar. 31, 2024
LONG-TERM DEBT  
Schedule of long-term debt

March 31, 

December 31, 

    

2024

    

2023

Convertible Notes due 2028

$

575,000

$

575,000

Term Loan Facility due 2026

350,000

355,000

Gross long-term debt, including current maturities

925,000

930,000

Less: debt discount

(13,505)

(14,321)

Net long-term debt, including current maturities

911,495

915,679

Less: current maturities

(20,000)

(20,000)

Net long-term debt

$

891,495

$

895,679

Schedule of contractual maturities of gross long-term debt

Year Ending December 31,

    

2024 (remaining)

$

15,000

2025

20,000

2026

315,000

2027

2028

575,000

Total

$

925,000

Schedule of borrowings under credit facility

    

March 31, 2024

Balance

    

Interest 
Rate

Convertible Notes

$

575,000

2.50%

Term Loan Facility at fixed interest rate due to interest rate swap

216,344

1.17%

Term Loan Facility at variable interest rate

133,656

6.18%

Total borrowings

$

925,000

Schedule of interest expense and unused line of credit fees

Three Months Ended March 31, 

    

2024

    

2023

    

Interest expense

$

6,302

$

2,590

Amortization of debt issuance costs

820

133

Total interest expense related to debt

$

7,122

$

2,723

Schedule of availability to withdraw on Revolving Facility

March 31, 

December 31, 

    

2024

    

2023

Available capacity on Revolving Facility

$

200,000

$

200,000