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Long-Term Debt (Tables)
3 Months Ended
Mar. 31, 2023
Debt Disclosure [Abstract]  
Summary of Convertible Notes
The Convertible Notes consisted of the following:
As of March 31, 2023As of December 31, 2022
PrincipalUnamortized Debt Issuance CostsNet Carrying AmountPrincipalUnamortized Debt Issuance CostsNet Carrying Amount
(in thousands)
2025 Notes$284,105 $(1,360)$282,745 $284,105 $(1,521)$282,584 
2026 Notes838,482 (4,375)834,107 838,482 (4,698)833,784 
2027 Notes1,150,000 (8,708)1,141,292 1,150,000 (9,239)1,140,761 
2028 Notes1,500,000 (13,907)1,486,093 1,500,000 (14,609)1,485,391 
Total$3,772,587 $(28,350)$3,744,237 $3,772,587 $(30,067)$3,742,520