XML 101 R73.htm IDEA: XBRL DOCUMENT v3.24.0.1
Schedule of Listing of Currently Applicable Restrictive and Financial Covenants (Detail)
12 Months Ended
Dec. 31, 2023
Senior Credit Facility [Member]  
Disclosure of long term debt [Line Items]  
Consolidated senior debt to consolidated covenant EBITDA(1) 0.07% [1]
Consolidated covenant EBITDA to consolidated interest expense 6.92%
Senior Credit Facility [Member] | Top of Range [Member]  
Disclosure of long term debt [Line Items]  
Consolidated senior debt to consolidated covenant EBITDA(1) 2.50% [1]
Senior Credit Facility [Member] | Bottom Of Range [Member]  
Disclosure of long term debt [Line Items]  
Consolidated covenant EBITDA to consolidated interest expense 2.50%
Unsecured Senior Notes [Member]  
Disclosure of long term debt [Line Items]  
Consolidated interest coverage ratio 7.50%
Unsecured Senior Notes [Member] | Bottom Of Range [Member]  
Disclosure of long term debt [Line Items]  
Consolidated interest coverage ratio 2.00%
Real Estate Credit Facility [Member]  
Disclosure of long term debt [Line Items]  
Consolidated covenant EBITDA to consolidated interest expense 6.92%
Real Estate Credit Facility [Member] | Bottom Of Range [Member]  
Disclosure of long term debt [Line Items]  
Consolidated covenant EBITDA to consolidated interest expense 2.50%
[1] For purposes of calculating the leverage ratio consolidated senior debt only includes secured indebtedness.