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Senior Secured Term Loan, Net (Tables)
3 Months Ended
Mar. 31, 2021
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments
The table below provides the borrowings outstanding (on an as converted basis) and weighted-average fully-extended maturities by currency for the assets financed under the Barclays Private Securitization as of March 31, 2021 ($ in thousands):
Borrowings outstanding
Fully-Extended Maturity(1)
Total/Weighted-Average GBP$879,815
July 2024
Total/Weighted-Average SEK149,883March 2022
Total/Weighted-Average EUR143,600
February 2022(2)
Total/Weighted-Average Securitization$1,173,298December 2023
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(1)Assumes underlying loans extend to fully extended maturity and extensions at our option are exercised.
(2)The EUR portion of the Barclays Private Securitization has an "evergreen" feature such that the facility continues for one year and can be terminated by either party on certain dates with, depending on the date of notice, a minimum of nine to twelve months' notice.
The following table summarizes the terms of our Term Loans as of March 31, 2021 ($ in thousands):
Principal AmountUnamortized Issuance DiscountDeferred Financing CostsCarrying ValueSpreadMaturity Date
2026 Term Loan$491,250 $(1,816)$(6,703)$482,731 2.75 %5/15/2026
2028 Term Loan300,000 (2,964)(3,793)293,243 3.50 %3/11/2028
Total$791,250 $(4,780)$(10,496)$775,974 

The following table summarizes the terms of our Term Loans as of December 31, 2020 ($ in thousands):
Principal AmountUnamortized Issuance DiscountDeferred Financing CostsCarrying ValueSpreadMaturity Date
2026 Term Loan$492,500 $(1,905)$(7,130)$483,465 2.75 %5/15/2026