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Borrowings (Tables)
12 Months Ended
Dec. 31, 2022
Debt Disclosure [Abstract]  
Schedule of Borrowings Outstanding
The Company had the following borrowings outstanding as of December 31, 2022 and 2021: 
Issuance Date
($ in thousands)
Maturity Date
Interest Rate as of December 31, 2022
December 31,
2022
December 31,
2021
Credit Facilities:
February 21, 2019February 21, 20255.619%$729,144 $655,189 
Total Credit Facilities$729,144 $655,189 
Notes:
September 24, 2020 - August 2025 NotesAugust 4, 20254.660%$25,000 $25,000 
September 29, 2020 - August 2025 NotesAugust 4, 20254.660%25,000 25,000 
November 5, 2020 - Series B NotesNovember 4, 20254.250%62,500 62,500 
November 5, 2020 - Series C NotesNovember 4, 20274.750%112,500 112,500 
February 25, 2021 Series D NotesFebruary 26, 20263.410%80,000 80,000 
February 25, 2021 Series E NotesFebruary 26, 20284.060%70,000 70,000 
November 23, 2021 - November 2026 NotesNovember 23, 20263.300%350,000 350,000 
Less: Deferred financing fees(6,022)(7,444)
Total Notes$718,978 $717,556