Quarterly report pursuant to Section 13 or 15(d)

Borrowings - Narrative (Details)

v3.22.2
Borrowings - Narrative (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 09, 2022
Jun. 30, 2022
Jun. 30, 2021
Jun. 30, 2022
Jun. 30, 2021
May 02, 2022
Dec. 31, 2021
Line of Credit Facility [Line Items]              
Credit facility borrowing base           $ 1,600,000  
Outstanding borrowings   $ 2,537,021   $ 2,537,021     $ 2,722,921
Loss on extinguishment of debt   (42,417) $ 0 (42,417) $ 0    
New Credit Facility              
Line of Credit Facility [Line Items]              
Maximum borrowing capacity   5,000,000   5,000,000      
Credit facility borrowing base   $ 1,600,000   $ 1,600,000      
Interest rate at period end (as a percent)   4.16%   4.16%      
Letters of credit outstanding   $ 16,400   $ 16,400      
New Credit Facility | Federal Funds Rate              
Line of Credit Facility [Line Items]              
Debt instrument, basis spread (as a percent)       0.50%      
New Credit Facility | LIBOR              
Line of Credit Facility [Line Items]              
Debt instrument, basis spread (as a percent)       1.00%      
New Credit Facility | Minimum              
Line of Credit Facility [Line Items]              
Unused capacity, commitment fee (as a percent)       0.375%      
New Credit Facility | Minimum | Base Rate              
Line of Credit Facility [Line Items]              
Debt instrument, basis spread (as a percent)       1.00%      
New Credit Facility | Minimum | Eurodollar              
Line of Credit Facility [Line Items]              
Debt instrument, basis spread (as a percent)       2.00%      
New Credit Facility | Maximum              
Line of Credit Facility [Line Items]              
Unused capacity, commitment fee (as a percent)       0.50%      
New Credit Facility | Maximum | Base Rate              
Line of Credit Facility [Line Items]              
Debt instrument, basis spread (as a percent)       2.00%      
New Credit Facility | Maximum | Eurodollar              
Line of Credit Facility [Line Items]              
Debt instrument, basis spread (as a percent)       3.00%      
Senior Secured Revolving Credit Facility due 2024              
Line of Credit Facility [Line Items]              
Outstanding borrowings   $ 779,000   $ 779,000     785,000
7.50% senior notes due 2030              
Line of Credit Facility [Line Items]              
Debt instrument, interest rate, stated (as a percent)   7.50%   7.50%      
7.50% senior notes due 2030 | Unsecured debt              
Line of Credit Facility [Line Items]              
Net proceeds from issuance of senior unsecured notes $ 588,000            
Percentage of principal amount redeemed 35.00%            
Debt covenant, percentage of aggregate principal outstanding 65.00%            
7.50% senior notes due 2030 | Unsecured debt | Debt Instrument, Redemption, Period One              
Line of Credit Facility [Line Items]              
Debt instrument redemption price percent (as a percent) 107.50%            
7.50% senior notes due 2030 | Unsecured debt | Debt Instrument, Redemption, Period Two              
Line of Credit Facility [Line Items]              
Debt instrument redemption price percent (as a percent) 100.00%            
7.50% senior notes due 2030 | Unsecured debt | On or After October 1, 2023, but Before October 1, 2024              
Line of Credit Facility [Line Items]              
Debt instrument redemption price percent (as a percent) 101.00%            
7.50% senior notes due 2030 | Minimum | Unsecured debt | Debt Instrument, Redemption, Period Three              
Line of Credit Facility [Line Items]              
Debt instrument redemption price percent (as a percent) 100.00%            
7.50% senior notes due 2030 | Maximum | Unsecured debt | Debt Instrument, Redemption, Period Three              
Line of Credit Facility [Line Items]              
Debt instrument redemption price percent (as a percent) 103.75%            
6.125% Senior note due 2024              
Line of Credit Facility [Line Items]              
Outstanding principal amount of issuance $ 460,200            
9.00% Second Lien Senior Secured Notes due 2025              
Line of Credit Facility [Line Items]              
Outstanding borrowings   $ 0   $ 0     $ 319,659
Debt instrument, interest rate, stated (as a percent)   9.00%   9.00%      
Outstanding principal amount of issuance $ 319,700