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Accumulated Other Comprehensive Loss (Detail) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2021
Jun. 30, 2021
Mar. 31, 2021
Sep. 30, 2020
Jun. 30, 2020
Mar. 31, 2020
Sep. 30, 2021
Sep. 30, 2020
Accumulated Other Comprehensive Income (Loss) [Line Items]                
Unrealized gain (loss) on interest rate swaps and cap, Net of Tax Amount $ (903)     $ (432)     $ 1,448 $ (9,738)
Beginning Balance Accumulated other comprehensive loss, Net of Tax Amount     $ (13,827)       (13,827)  
Other comprehensive income (loss), Net of Tax Amount 7,916 $ 1,323 2,964 (610) $ (1,025) $ (4,892) 12,203 (6,527)
Ending Balance Accumulated other comprehensive loss, Net of Tax Amount (1,624)           (1,624)  
Foreign currency translation adjustments                
Accumulated Other Comprehensive Income (Loss) [Line Items]                
Beginning Balance Before Tax Amount (3,365) (3,161) (3,014) 856 554 (1,718) (3,014) (1,718)
Change during period, Before Tax Amount 1,452 (204) (147) (1,060) 304 2,272    
Reclassification upon sale of business, Before Tax Amount         (2)      
Ending Balance Before Tax Amount (1,913) (3,365) (3,161) (204) 856 554 (1,913) (204)
Beginning Balance Net of Tax Amount (3,365) (3,161) (3,014) 856 554 (1,718) (3,014) (1,718)
Change during period, Net of Tax Amount 1,452 (204) (147) (1,060) 304 2,272    
Reclassification upon sale of business, Net of Tax Amount         (2)      
Ending Balance Net of Tax Amount (1,913) (3,365) (3,161) (204) 856 554 (1,913) (204)
Available-for-sale debt securities                
Accumulated Other Comprehensive Income (Loss) [Line Items]                
Beginning Balance Before Tax Amount 242 298 281 137 231 231 281 231
Unrealized gain (loss) Before Tax Amount 96 (56) 17          
Loss from impairment, Before Tax Amount       0 (94)      
Ending Balance Before Tax Amount 338 242 298 137 137 231 338 137
Beginning Balance Tax Effect (25) (40) (36)       (36)  
Unrealized gain (loss), Tax Effect (24) 15 (4)          
Ending Balance Tax Effect (49) (25) (40)       (49)  
Beginning Balance Available-for-sale debt securities, Net of Tax Amount 217 258 245 137 231 231 245 231
Unrealized gain (loss), Net of Tax Amount 72 (41) 13          
Loss from impairment, Net of Tax Amount       0 (94)      
Ending Balance Available-for-sale debt securities, Net of Tax Amount 289 217 258 137 137 231 289 137
Cash flow hedges                
Accumulated Other Comprehensive Income (Loss) [Line Items]                
Beginning Balance Before Tax Amount (8,472) (10,580) (14,708) (16,811) (15,169) (5,627) (14,708) (5,627)
Unrealized gain (loss) on interest rate swaps and cap, Before Tax Amount (235) 360 2,772 (576) (2,691) (9,704)    
Reclassification of losses from interest rate cap to net income (loss), Before Tax Amount     28 43 52 64    
Reclassification of prior hedge effectiveness to net income (loss), Before Tax Amount   1,748 1,328 1,132 997 98    
Reclassification to net loss upon extinguishment of interest rate swaps, Before Tax Amount 8,707              
Unrealized loss on interest rate swaps and cap, Before Tax Amount (235) 360 2,772 (576) (2,691) (9,704)    
Ending Balance Before Tax Amount 0 (8,472) (10,580) (16,212) (16,811) (15,169) 0 (16,212)
Beginning Balance Tax Effect 2,080 2,620 3,650 4,174 3,765 1,387 3,650 1,387
Unrealized gain (loss) on interest rate swaps and cap, tax effect, Tax Effect (668) (90) (691) 144 671 2,418    
Reclassification of losses from interest rate cap to net income (loss), Tax Effect     (8) (11) (13) (16)    
Reclassification of prior hedge effectiveness to net income (loss), Tax Effect   (450) (331) (282) (249) (24)    
Reclassification to net loss upon extinguishment of interest rate swaps, Tax Effect (1,412)              
Ending Balance Tax Effect 0 2,080 2,620 4,025 4,174 3,765 0 4,025
Beginning Balance Cash flow hedges, Net of Tax Amount (6,392) (7,960) (11,058) (12,637) (11,404) (4,240) (11,058) (4,240)
Unrealized gain (loss) on interest rate swaps and cap, Net of Tax Amount (903) 270 2,081 (432) (2,020) (7,286)    
Reclassification of losses from interest rate cap to net income (loss), Net of Tax Amount     20 32 39 48    
Reclassification of prior hedge effectiveness to net income (loss), Net of Tax Amount   1,298 997 850 748 74    
Reclassification to net income (loss) upon extinguishment of interest rate swaps, Net Of Tax Amount 7,295              
Ending Balance Cash flow hedges, Net of Tax Amount 0 (6,392) (7,960) (12,187) (12,637) (11,404) 0 (12,187)
Accumulated other comprehensive loss                
Accumulated Other Comprehensive Income (Loss) [Line Items]                
Beginning Balance Before Tax Amount (11,595) (13,443) (17,441) (15,818) (14,384) (7,114) (17,441) (7,114)
Other comprehensive income (loss), Before Tax Amount 10,020 1,848 3,998 (461) (1,434) (7,270)    
Ending Balance Before Tax Amount (1,575) (11,595) (13,443) (16,279) (15,818) (14,384) (1,575) (16,279)
Beginning Balance Tax Effect 2,055 2,580 3,614 4,174 3,765 1,387 3,614 1,387
Other comprehensive income (loss), Tax Effect (2,104) (525) (1,034) (149) 409 2,378    
Ending Balance Tax Effect (49) 2,055 2,580 4,025 4,174 3,765 (49) 4,025
Beginning Balance Accumulated other comprehensive loss, Net of Tax Amount (9,540) (10,863) (13,827) (11,644) (10,619) (5,727) (13,827) (5,727)
Other comprehensive income (loss), Net of Tax Amount 7,916 1,323 2,964 (610) (1,025) (4,892)    
Ending Balance Accumulated other comprehensive loss, Net of Tax Amount $ (1,624) $ (9,540) $ (10,863) $ (12,254) $ (11,644) $ (10,619) $ (1,624) $ (12,254)