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DEBT - Narrative (Details)
1 Months Ended 3 Months Ended 6 Months Ended 12 Months Ended
Dec. 31, 2025
USD ($)
Jun. 30, 2022
USD ($)
payment
$ / shares
Apr. 01, 2022
USD ($)
shares
May 02, 2017
USD ($)
$ / shares
Jan. 06, 2022
Dec. 31, 2021
USD ($)
Jul. 31, 2020
USD ($)
$ / shares
Mar. 31, 2017
USD ($)
Jun. 30, 2022
USD ($)
d
payment
$ / shares
shares
Jun. 30, 2021
USD ($)
Jun. 30, 2022
USD ($)
d
segment
payment
$ / shares
shares
Jun. 30, 2021
USD ($)
Dec. 31, 2022
USD ($)
Dec. 07, 2026
USD ($)
Jan. 07, 2022
USD ($)
Dec. 30, 2021
USD ($)
Dec. 06, 2021
$ / shares
shares
DEBT AND FINANCING OBLIGATIONS                                  
Settlement period - convertible debt conversion request                     40 days            
Closing sale price (in dollars per share) | $ / shares   $ 58.30             $ 58.30   $ 58.30            
Amortization of debt discount (premium)                 $ 706,000 $ 5,744,000 $ 1,412,000 $ 11,401,000          
Common Stock                                  
DEBT AND FINANCING OBLIGATIONS                                  
Conversion of convertible securities (in shares) | shares     101,521           102,000   102,000            
Adjustments to APIC, convertible debt     $ 3,000,000                            
Convertible Senior Notes Due 2025                                  
DEBT AND FINANCING OBLIGATIONS                                  
Stated interest rate (as a percent)   0.75%             0.75%   0.75%            
Initial conversion price of notes into common stock (in dollars per share) | $ / shares   $ 71.78         $ 71.78   $ 71.78   $ 71.78            
Convertible debt, premium on common stock             32.50%                    
Closing sale price (in dollars per share) | $ / shares             $ 54.17                    
Market price of principal amount of notes   1.038             1.038   1.038            
Initial conversion rate of common stock per $1,000 of principal amount of Notes                     0.0139324            
Convertible Senior Notes Due 2025 | Debt Redemption Terms Prior to February 3, 2023                                  
DEBT AND FINANCING OBLIGATIONS                                  
Threshold percentage stock price trigger                 130.00%                
Threshold trading days | d                 20                
Threshold consecutive trading days | d                 30                
Convertible Senior Notes Due 2025 | Debt Redemption Terms on or after August 1, 2023                                  
DEBT AND FINANCING OBLIGATIONS                                  
Threshold percentage stock price trigger                     130.00%            
Threshold trading days | segment                     20            
Threshold consecutive trading days | d                     30            
Debt instrument, percentage of principal amount for computation of redemption price                     100.00%            
Convertible Senior Notes Due 2022                                  
DEBT AND FINANCING OBLIGATIONS                                  
Stated interest rate (as a percent)   2.375%             2.375%   2.375%            
Term Loan B Facility Due 2026                                  
DEBT AND FINANCING OBLIGATIONS                                  
Leverage ratio, maximum   1.75             1.75   1.75            
Leverage ratio, maximum, value   $ 150,000,000             $ 150,000,000   $ 150,000,000            
Weighted average interest rate, at point in time   7.81%             7.81%   7.81%            
Term Loan B Facility Due 2026 | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate                                  
DEBT AND FINANCING OBLIGATIONS                                  
Basis spread two on variable rate                     7.00%            
Basis spread one on variable rate                     1.00%            
Term Loan B Facility Due 2026 | Base Rate                                  
DEBT AND FINANCING OBLIGATIONS                                  
Basis spread on variable rate                     6.00%            
Term Loan B Facility Due 2026 | Minimum | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate                                  
DEBT AND FINANCING OBLIGATIONS                                  
Variable rate                     0.75%            
Term Loan B Facility Due 2026 | Minimum | Base Rate                                  
DEBT AND FINANCING OBLIGATIONS                                  
Variable rate                     1.75%            
Term Loan B Facility Due 2026 | Minimum | Federal Reserve Bank Of NY, Rate                                  
DEBT AND FINANCING OBLIGATIONS                                  
Basis spread on variable rate                     0.50%            
Convertible Senior Notes Due 2024                                  
DEBT AND FINANCING OBLIGATIONS                                  
Debt instrument, percentage of principal amount for computation of redemption price         100.00%                        
Convertible Senior Notes Due 2024 | Flexion                                  
DEBT AND FINANCING OBLIGATIONS                                  
Initial conversion price of notes into common stock (in dollars per share) | $ / shares       $ 26.78                         $ 317.40
Initial conversion rate of common stock per $1,000 of principal amount of Notes       0.0373413                          
Debt conversion, converted instrument, warrants or rights issued, per principal amount (in shares) | shares                                 37.3413
Convertible Senior Notes Due May 2024                                  
DEBT AND FINANCING OBLIGATIONS                                  
Stated interest rate (as a percent)   3.375%             3.375%   3.375%            
Unsecured Debt                                  
DEBT AND FINANCING OBLIGATIONS                                  
Long-term debt   $ 755,654,000       $ 1,049,230,000     $ 755,654,000   $ 755,654,000            
Unsecured Debt | Convertible Senior Notes Due 2025                                  
DEBT AND FINANCING OBLIGATIONS                                  
Debt instrument, face amount             $ 402,500,000                    
Debt instrument, unamortized discount   $ 0       64,718,000     $ 0   $ 0            
Stated interest rate (as a percent)   0.75%         0.75%   0.75%   0.75%            
Debt issued in private placement             $ 390,000,000       $ 402,500,000            
Long-term debt   $ 394,894,000       330,627,000     $ 394,894,000   394,894,000            
Unsecured Debt | Convertible Senior Notes Due 2022                                  
DEBT AND FINANCING OBLIGATIONS                                  
Debt instrument, unamortized discount   $ 0       1,920,000     $ 0   $ 0            
Stated interest rate (as a percent)   2.375%         2.375% 2.375% 2.375%   2.375%            
Debt issued in private placement               $ 345,000,000                  
Debt instrument, repurchased face amount             $ 185,000,000                    
Repayments of debt     156,900,000       $ 211,100,000                    
Long-term debt   $ 0       157,857,000     $ 0   $ 0            
Extinguishment of debt, amount     160,000,000                            
Amortization of debt discount (premium)     $ (4,800,000)                            
Unsecured Debt | Convertible Senior Notes Due 2024                                  
DEBT AND FINANCING OBLIGATIONS                                  
Stated interest rate (as a percent)   3.375%             3.375%   3.375%            
Repurchase amount                             $ 192,600,000    
Unsecured Debt | Convertible Senior Notes Due 2024 | Flexion                                  
DEBT AND FINANCING OBLIGATIONS                                  
Debt instrument, face amount       $ 201,300,000                          
Stated interest rate (as a percent)       3.375%                          
Unsecured Debt | Convertible Senior Notes Due May 2024                                  
DEBT AND FINANCING OBLIGATIONS                                  
Long-term debt   $ 8,640,000       $ 201,249,000     $ 8,640,000   $ 8,640,000            
Secured Debt | Term Loan B Facility Due 2026                                  
DEBT AND FINANCING OBLIGATIONS                                  
Discount rate           3.00%                      
Debt instrument, face amount           $ 375,000,000                      
Proceeds from lines of credit           363,800,000                      
Debt instrument, unamortized discount   9,649,000       11,060,000     9,649,000   9,649,000         $ 11,200,000  
Periodic payment, principal   $ 9,400,000             $ 9,400,000   $ 9,400,000            
Number of payments in next fiscal year | payment   3             3   3            
Prepayment penalty, percent, year 1   2.00%             2.00%   2.00%            
Prepayment penalty, percent, year 2   2.00%             2.00%   2.00%            
Prepayment penalty, percent, year 3 and thereafter   1.00%             1.00%   1.00%            
Long-term debt   $ 352,120,000       $ 359,497,000     $ 352,120,000   $ 352,120,000            
Secured Debt | Term Loan B Facility Due 2026 | Scenario, Forecast                                  
DEBT AND FINANCING OBLIGATIONS                                  
Periodic payment, principal $ 14,100,000                                
Balloon payment to be paid                           $ 188,000,000      
Secured Debt | Term Loan B Facility Due 2026 | Scenario, Forecast | Subsequent Event                                  
DEBT AND FINANCING OBLIGATIONS                                  
Periodic payment, principal                         $ 28,100,000