Post-effective amendment to a registration statement that is not immediately effective upon filing

SENIOR TERM LOAN (Details)

v3.22.1
SENIOR TERM LOAN (Details)
12 Months Ended
Dec. 31, 2021
Level 1 [Member]  
Short-term Debt [Line Items]  
Net EBITDA leverage ratio Less than or equal to 2.00:1.00
Base rate loan The applicable rate is the Base Rate plus 6.00% per annum, of which the Margin Cash Component is 5.50% and the Margin PIK Component is 0.50%
LIBOR loan The applicable rate is LIBOR plus 7.00% per annum, of which the Margin Cash Component is 5.50% and the Margin PIK Component is 1.50%
Level 2 [Member]  
Short-term Debt [Line Items]  
Net EBITDA leverage ratio Less than or equal to 3.00:1.00 but greater than 2.00:1.00
Base rate loan The applicable rate is the Base Rate plus 7.00% per annum, of which the Margin Cash Component is 5.50% and the Margin PIK Component is 1.50%
LIBOR loan The applicable rate is LIBOR plus 8.00% per annum, of which the Margin Cash Component is 5.50% and the Margin PIK Component is 2.50%
Level 3 [Member]  
Short-term Debt [Line Items]  
Net EBITDA leverage ratio Less than or equal to 4.00:1.00 but greater than 3.00:1.00
Base rate loan The applicable rate is the Base Rate plus 8.00% per annum, of which the Margin Cash Component is 5.50% and the Margin PIK Component is 2.50%
LIBOR loan The applicable rate is LIBOR plus 9.00% per annum, of which the Margin Cash Component is 5.50% and the Margin PIK Component is 3.50%
Level 4 [Member]  
Short-term Debt [Line Items]  
Net EBITDA leverage ratio Less than or equal to 5.00:1.00 but greater than 4.00:1.00
Base rate loan The applicable rate is the Base Rate plus 9.00% per annum, of which the Margin Cash Component is 5.50% and the Margin PIK Component is 3.50%
LIBOR loan The applicable rate is LIBOR plus 10.00% per annum, of which the Margin Cash Component is 5.50% and the Margin PIK Component is 4.50%
Level 5 [Member]  
Short-term Debt [Line Items]  
Net EBITDA leverage ratio Greater than 5.00:1.00
Base rate loan The applicable rate is the Base Rate plus 10.00% per annum, of which the Margin Cash Component is 5.50% and the Margin PIK Component is 4.50%
LIBOR loan The applicable rate is LIBOR plus 11.00% per annum, of which the Margin Cash Component is 5.50% and the Margin PIK Component is 5.50%