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Long-Term Debt, Net - Narrative (Details)
1 Months Ended 12 Months Ended
Jan. 31, 2023
USD ($)
shares
Aug. 31, 2022
USD ($)
trading_day
businessDay
$ / shares
shares
May 31, 2022
USD ($)
Mar. 31, 2021
USD ($)
trading_day
collaborator
$ / shares
shares
Jan. 31, 2021
$ / shares
Nov. 30, 2019
USD ($)
Dec. 31, 2023
USD ($)
Dec. 31, 2022
USD ($)
Dec. 31, 2021
USD ($)
Aug. 15, 2022
$ / shares
Debt Instrument [Line Items]                    
Aggregate principal             $ 1,525,000,000 $ 1,538,483,000    
Proceeds from issuance of 2028 Convertible Notes, net             0 702,000,000 $ 0  
Debt issuance costs             0 7,104,000 424,000  
Payment for capped calls   $ 69,100,000                
Repayment of 2024 Convertible Notes   77,400,000         13,483,000 77,453,000 369,064,000  
Amount paid for conversion of debt instrument $ 13,500,000 $ 77,600,000                
Stock issued for conversion of debt instrument (shares) | shares 288,886 1,510,000                
Induced conversion expense related to convertible notes   $ 2,700,000         0 2,712,000 20,960,000  
Proceeds from revolving credit facilities             0 120,000,000 $ 0  
1.00% Convertible Senior Notes due 2028                    
Debt Instrument [Line Items]                    
Aggregate principal             720,000,000 720,000,000    
Proceeds from issuance of 2028 Convertible Notes, net   $ 702,000,000                
Cap call transaction, cap price per share (in usd per share) | $ / shares   $ 75.4075                
Sale of stock premium over last reported sale price, percentage   75.00%                
Sale of stock, price per share (in usd per share) | $ / shares                   $ 43.09
1.00% Convertible Senior Notes due 2028 | Convertible Debt                    
Debt Instrument [Line Items]                    
Stated interest rate (as a percent)   1.00%                
Aggregate principal   $ 720,000,000                
Lender fee   18,000,000                
Debt issuance costs   $ 1,000,000                
Conversion rate (shares)   17.8517                
Debt, convertible, conversion price (in usd per share) | $ / shares   $ 56.02                
1.00% Convertible Senior Notes due 2028 | Period One | Convertible Debt                    
Debt Instrument [Line Items]                    
Convertible, threshold percentage of stock price trigger   130.00%                
Convertible, threshold trading days | trading_day   20                
Convertible, threshold consecutive trading days | trading_day   30                
1.00% Convertible Senior Notes due 2028 | Period Two | Convertible Debt                    
Debt Instrument [Line Items]                    
Convertible, threshold percentage of stock price trigger   98.00%                
Convertible, threshold consecutive trading days | trading_day   5                
Convertible, threshold consecutive business days | businessDay   5                
0.25% Convertible Senior Notes due 2027                    
Debt Instrument [Line Items]                    
Aggregate principal             805,000,000 805,000,000    
Proceeds from issuance of 2028 Convertible Notes, net       $ 784,900,000            
0.25% Convertible Senior Notes due 2027 | Convertible Debt                    
Debt Instrument [Line Items]                    
Stated interest rate (as a percent)       0.25%            
Aggregate principal       $ 805,000,000            
Lender fee       20,100,000            
Debt issuance costs       $ 400,000            
Conversion rate (shares)       12.9576            
Debt, convertible, conversion price (in usd per share) | $ / shares       $ 77.17            
0.25% Convertible Senior Notes due 2027 | Period One | Convertible Debt                    
Debt Instrument [Line Items]                    
Convertible, threshold percentage of stock price trigger       130.00%            
Convertible, threshold trading days | trading_day       20            
Convertible, threshold consecutive trading days | trading_day       30            
Convertible, threshold consecutive business days | collaborator       5            
0.25% Convertible Senior Notes due 2027 | Period Two | Convertible Debt                    
Debt Instrument [Line Items]                    
Convertible, threshold percentage of stock price trigger       98.00%            
Convertible, threshold consecutive trading days | trading_day       5            
1.25% Convertible Senior Notes due 2024                    
Debt Instrument [Line Items]                    
Aggregate principal             0 $ 13,483,000    
Proceeds from issuance of 2028 Convertible Notes, net           $ 447,300,000        
Repayment of 2024 Convertible Notes       $ 369,100,000            
Amount paid for conversion of debt instrument       $ 370,200,000            
Stock issued for conversion of debt instrument (shares) | shares       9,080,000.00            
Induced conversion expense related to convertible notes       $ 21,000,000            
1.25% Convertible Senior Notes due 2024 | Convertible Debt                    
Debt Instrument [Line Items]                    
Stated interest rate (as a percent)           1.25%        
Aggregate principal           $ 460,000,000        
Lender fee           12,700,000        
Debt issuance costs           $ 300,000        
Conversion rate (shares)         41.9208          
Debt, convertible, conversion price (in usd per share) | $ / shares         $ 23.85          
Credit Agreement | Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Credit facility, maximum borrowing capacity   $ 575,000,000 $ 350,000,000              
Proceeds from revolving credit facilities     $ 120,000,000              
Debt issuance cost             3,600,000      
Credit Agreement | SOFR | Revolving Credit Facility | Variable Rate Component One                    
Debt Instrument [Line Items]                    
Basis spread on variable rate     0.10%              
Credit Agreement | Fed Funds Rate | Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Basis spread on variable rate     0.50%              
Credit Agreement | Period prior to expiration | Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Commitment fee percentage     0.15%              
Credit Agreement | Period prior to expiration | SOFR | Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Basis spread on variable rate     1.00%              
Credit Agreement | Period prior to expiration | SOFR | Revolving Credit Facility | Variable Rate Component Two                    
Debt Instrument [Line Items]                    
Basis spread on variable rate     1.25%              
Credit Agreement | Period prior to expiration | Base Rate | Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Basis spread on variable rate     0.25%              
Credit Agreement | Period after expiration | Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Commitment fee percentage     0.35%              
Credit Agreement | Period after expiration | SOFR | Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Basis spread on variable rate     1.10%              
Credit Agreement | Period after expiration | SOFR | Revolving Credit Facility | Variable Rate Component Two                    
Debt Instrument [Line Items]                    
Basis spread on variable rate     2.25%              
Credit Agreement | Period after expiration | Base Rate | Revolving Credit Facility                    
Debt Instrument [Line Items]                    
Basis spread on variable rate     1.25%              
Credit Agreement | Term Loan Facility                    
Debt Instrument [Line Items]                    
Credit facility, maximum borrowing capacity     $ 250,000,000              
Proceeds from revolving credit facilities     $ 250,000,000              
Unamortized debt issuance cost             $ 2,300,000      
Credit Agreement | Term Loan Facility | Year one                    
Debt Instrument [Line Items]                    
Stated interest rate (as a percent)     2.50%              
Credit Agreement | Term Loan Facility | Year two                    
Debt Instrument [Line Items]                    
Stated interest rate (as a percent)     5.00%              
Credit Agreement | Term Loan Facility | Year three                    
Debt Instrument [Line Items]                    
Stated interest rate (as a percent)     7.50%              
Credit Agreement | Term Loan Facility | Year four                    
Debt Instrument [Line Items]                    
Stated interest rate (as a percent)     10.00%