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Commitments and Contingencies - Summary of the Company's Commitments, Excluding Contingent Consideration (Details) - USD ($)
$ in Thousands
Jun. 30, 2026
Mar. 03, 2026
Jan. 14, 2026
Dec. 31, 2025
Long-Term Debt        
Long-term debt, net $ 1,249,841     $ 1,138,111
Interest payable        
2026 9,041      
2027 0      
2028 0      
2029 0      
2030 0      
Thereafter 0      
Total 9,041      
Operating lease payments        
2026 3,373      
2027 1,816      
2028 1,383      
2029 1,303      
2030 1,345      
Thereafter 5,627      
Total 14,847      
Total        
2026 341,602      
2027 149,893      
2028 578,641      
2029 36,510      
2030 507,258      
Thereafter 84,659      
Total 1,698,563      
Manufacturing reservation agreement        
Other Commitments        
2026 20,000      
2027 0      
2028 0      
2029 0      
2030 0      
Thereafter 0      
Total 20,000      
Total        
Total     $ 80,000  
Equipment supply contract        
Other Commitments        
2026 81,354      
2027 70,012      
2028 0      
2029 0      
2030 0      
Thereafter 0      
Total 151,366      
Transportation commitments        
Other Commitments        
2026 35,433      
2027 62,224      
2028 53,909      
2029 34,257      
2030 5,913      
Thereafter 33,032      
Total 224,768      
Software commitments        
Other Commitments        
2026 950      
2027 950      
2028 950      
2029 950      
2030 0      
Thereafter 0      
Total 3,800      
Temple Term Loan Facility | Secured Debt        
Long-Term Debt        
2026 10,000      
2027 10,000      
2028 361,998      
2029 0      
2030 0      
Thereafter 0      
Long-term debt, net 381,998      
Temple I Loan Agreements        
Interest payable        
2026 2,662      
2027 0      
2028 0      
2029 0      
2030 0      
Thereafter 0      
Total 2,662      
Promissory Note | Secured Debt        
Other Commitments [Line Items]        
Stated rate (percent)   5.00%    
Long-Term Debt        
2026 0      
2027 0      
2028 0      
2029 0      
2030 0      
Thereafter 46,000      
Long-term debt, net $ 46,000      
2030 Senior Notes (7.50%) | Secured Debt        
Other Commitments [Line Items]        
Stated rate (percent) 7.50%      
Long-Term Debt        
2026 $ 0      
2027 0      
2028 0      
2029 0      
2030 500,000      
Thereafter 0      
Long-term debt, net 500,000      
Line of Credit | RBL Credit Agreement | Secured Debt        
Long-Term Debt        
2026 0      
2027 0      
2028 100,000      
2029 0      
2030 0      
Thereafter 0      
Long-term debt, net 100,000      
Line of Credit | Temple I Loan Agreements | Secured Debt        
Long-Term Debt        
2026 176,000      
2027 0      
2028 0      
2029 0      
2030 0      
Thereafter 0      
Long-term debt, net 176,000      
Temple Revolving Facility | Temple Term Loan Facility | Line of Credit        
Long-Term Debt        
2026 0      
2027 0      
2028 60,000      
2029 0      
2030 0      
Thereafter 0      
Long-term debt, net 60,000      
Commitments | BKV-BPP Power commitment agreements | Line of Credit        
Other Commitments        
2026 2,789      
2027 4,891      
2028 401      
2029 0      
2030 0      
Thereafter 0      
Total $ 8,081