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Long-Term Debt, Net - Narrative (Details)
1 Months Ended
Aug. 31, 2022
USD ($)
trading_day
businessDay
$ / shares
May 31, 2022
USD ($)
Mar. 31, 2021
USD ($)
trading_day
businessDay
$ / shares
Sep. 30, 2025
USD ($)
Dec. 31, 2024
USD ($)
Aug. 15, 2022
$ / shares
Debt Instrument [Line Items]            
Aggregate principal       $ 1,525,000,000 $ 1,525,000,000  
Payment for capped calls $ 69,100,000          
1.00% Convertible Senior Notes due 2028            
Debt Instrument [Line Items]            
Aggregate principal       720,000,000 720,000,000  
Cap call transaction, cap price per share (usd per share) | $ / shares $ 75.4075          
Sale of stock premium over last reported sale price, percentage 75.00%          
Sale of stock, price per share (usd per share) | $ / shares           $ 43.09
1.00% Convertible Senior Notes due 2028 | Convertible Debt            
Debt Instrument [Line Items]            
Interest rate, stated percentage 1.00%          
Aggregate principal $ 720,000,000          
Lenders fee 18,000,000          
Proceeds from issuance of 2028 Convertible Notes 702,000,000          
Payment of debt issuance cost $ 1,000,000          
Debt, convertible, conversion ratio 17.8517          
Debt, convertible, conversion price (usd per share) | $ / shares $ 56.02          
1.00% Convertible Senior Notes due 2028 | Convertible Debt | Period One            
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 | Convertible Debt | Period Two            
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     $ 784,900,000      
0.25% Convertible Senior Notes due 2027 | Convertible Debt            
Debt Instrument [Line Items]            
Interest rate, stated percentage     0.25%      
Aggregate principal     $ 805,000,000      
Lenders fee     20,100,000      
Payment of debt issuance cost     $ 400,000      
Debt, convertible, conversion ratio     12.9576      
Debt, convertible, conversion price (usd per share) | $ / shares     $ 77.17      
0.25% Convertible Senior Notes due 2027 | Convertible Debt | Period One            
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      
0.25% Convertible Senior Notes due 2027 | Convertible Debt | Period Two            
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      
Credit Agreement | Revolving Credit Facility            
Debt Instrument [Line Items]            
Credit facility, maximum borrowing capacity   $ 575,000,000        
Debt issuance costs       3,600,000    
Credit Agreement | Revolving Credit Facility | Maximum            
Debt Instrument [Line Items]            
Commitment fee percentage   0.35%        
Credit Agreement | Revolving Credit Facility | Minimum            
Debt Instrument [Line Items]            
Commitment fee percentage   0.15%        
Credit Agreement | Revolving Credit Facility | SOFR | Maximum            
Debt Instrument [Line Items]            
Basis spread on variable rate   1.10%        
Credit Agreement | Revolving Credit Facility | SOFR | Minimum            
Debt Instrument [Line Items]            
Basis spread on variable rate   1.00%        
Credit Agreement | Revolving Credit Facility | Fed Funds Rate            
Debt Instrument [Line Items]            
Basis spread on variable rate   0.50%        
Credit Agreement | Revolving Credit Facility | Base Rate | Maximum            
Debt Instrument [Line Items]            
Basis spread on variable rate   1.25%        
Credit Agreement | Revolving Credit Facility | Base Rate | Minimum            
Debt Instrument [Line Items]            
Basis spread on variable rate   0.25%        
Credit Agreement | Revolving Credit Facility | Variable Rate Component One | SOFR            
Debt Instrument [Line Items]            
Basis spread on variable rate   0.10%        
Credit Agreement | Revolving Credit Facility | Variable Rate Component Two | SOFR | Maximum            
Debt Instrument [Line Items]            
Basis spread on variable rate   2.25%        
Credit Agreement | Revolving Credit Facility | Variable Rate Component Two | SOFR | Minimum            
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        
Unamortized debt issuance cost       $ 900,000    
Credit Agreement | Term Loan Facility | Year one            
Debt Instrument [Line Items]            
Interest rate, stated percentage   2.50%        
Credit Agreement | Term Loan Facility | Year two            
Debt Instrument [Line Items]            
Interest rate, stated percentage   5.00%        
Credit Agreement | Term Loan Facility | Year three            
Debt Instrument [Line Items]            
Interest rate, stated percentage   7.50%        
Credit Agreement | Term Loan Facility | Year four            
Debt Instrument [Line Items]            
Interest rate, stated percentage   10.00%