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Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2025
Fair Value Disclosures [Abstract]  
Schedule of Fair Value of Assets Measured on Recurring Basis
The following table provides the Company’s assets that are measured at fair value on a recurring basis, consistent with the fair value hierarchy, at September 30, 2025 and December 31, 2024:
September 30, 2025
TotalLevel 1Level 2Level 3
(In thousands)
Mutual fund investments$8,007 $8,007 $— $— 
December 31, 2024
TotalLevel 1Level 2Level 3
(In thousands)
Mutual fund investments$9,124 $9,124 $— $— 
Schedule of Fair Value Disclosures of Financial Instrument Liabilities
The following table provides the estimated fair values of the Company’s financial instrument liabilities, for which fair value is measured for disclosure purposes only, compared to the recorded amounts at September 30, 2025 and December 31, 2024:
September 30, 2025December 31, 2024
Recorded
Amount
Fair Value
Recorded
Amount
Fair Value
(In thousands)
Long-term debt (including current portion)$(1,802,113)$(1,756,332)$(1,851,873)$(1,778,719)