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Long-Term Debt, Net - Additional Information (Detail)
1 Months Ended 3 Months Ended 7 Months Ended 12 Months Ended
Dec. 31, 2022
USD ($)
shares
Jun. 30, 2022
USD ($)
shares
Apr. 30, 2020
USD ($)
TradingDay
Jan. 31, 2019
USD ($)
Jan. 28, 2023
USD ($)
Jul. 30, 2022
USD ($)
Dec. 31, 2022
USD ($)
Feb. 03, 2024
USD ($)
shares
Jan. 28, 2023
USD ($)
shares
Credit Facilities                  
Line Of Credit Facility [Line Items]                  
Credit facility interest rate               0.10  
Weighted average interest rate for borrowings               6.00%  
Interest expense               $ 1,100,000 $ 5,900,000
Credit Facilities | SOFR | Minimum                  
Line Of Credit Facility [Line Items]                  
Accrued interest margin rate               1.125%  
Credit Facilities | SOFR | Maximum                  
Line Of Credit Facility [Line Items]                  
Accrued interest margin rate               1.375%  
Credit Facilities | Alternate Base Rate | Minimum                  
Line Of Credit Facility [Line Items]                  
Accrued interest margin rate               0.125%  
Credit Facilities | Alternate Base Rate | Maximum                  
Line Of Credit Facility [Line Items]                  
Accrued interest margin rate               0.375%  
Credit Agreement | Credit Facilities                  
Line Of Credit Facility [Line Items]                  
Loans and letters of credit maximum borrowing capacity   $ 700,000,000   $ 400,000,000       $ 700,000,000  
Line of credit facility, expiration date       Jan. 30, 2024       Jun. 24, 2027  
Credit Agreement | Stand-by Letters of Credit                  
Line Of Credit Facility [Line Items]                  
Letters of credit outstanding amount               $ 7,700,000  
Credit Agreement | Credit Agreement Loans                  
Line Of Credit Facility [Line Items]                  
Outstanding borrowings         $ 0     $ 0 $ 0
Common Stock                  
Line Of Credit Facility [Line Items]                  
Exchange of Convertible Senior Notes (in shares) | shares               1,099,000 42,329,000
2025 Notes                  
Line Of Credit Facility [Line Items]                  
Aggregate principal amount of debt issued     $ 415,000,000            
Debt instrument, stated interest rate     3.75%            
Debt instrument, maturity year     2025            
Debt instrument, interest terms     The 2025 Notes had a stated interest rate of 3.75%, payable semi-annually.            
Debt instrument, redemption earliest date     Apr. 17, 2023            
Debt instrument, frequency of periodic payment of interest     payable semi-annually            
Notes exchange aggregate principal amount $ 60,800,000 342,400,000         $ 403,200,000    
Cash paid to noteholders   136,100,000              
Carrying value of notes $ 60,400,000 $ 339,200,000         $ 60,400,000    
Pre-tax inducement charge         $ 4,700,000 $ 55,700,000      
Debt instrument, redemption, scheduled trading day immediately preceding maturity date | TradingDay     40            
Debt instrument, redemption percentage of common stock price to conversion price     130.00%            
Debt instrument, redemption, effect for trading days | TradingDay     20            
Debt instrument, redemption, consecutive trading day period | TradingDay     30            
2025 Notes | Common Stock                  
Line Of Credit Facility [Line Items]                  
Exchange of Convertible Senior Notes (in shares) | shares 7,600,000 34,700,000