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Long-term Debt - Additional Information (Details)
12 Months Ended
Dec. 31, 2025
USD ($)
Sep. 18, 2025
USD ($)
Jan. 10, 2025
USD ($)
Dec. 31, 2024
USD ($)
May 24, 2024
USD ($)
Dec. 31, 2025
USD ($)
Dec. 31, 2024
USD ($)
Dec. 31, 2023
USD ($)
Sep. 30, 2025
USD ($)
Debt Instrument [Line Items]                  
Outstanding borrowings $ 1,603,606,000         $ 1,603,606,000      
Payments of Debt Issuance Costs           164,000 $ 17,988,000 $ 4,998,000  
Loss on extinguishment of debt           26,000 1,034,000 0  
Loss on extinguishment and modification of debt           6,226,000 15,113,000 $ 0  
Senior Notes | Debt Instrument, Redemption, Period One                  
Debt Instrument [Line Items]                  
Debt Instrument, Redemption Price, Percentage of Principal Amount Redeemed         100.00%        
Senior Notes | Debt Instrument, Redemption, Period Two                  
Debt Instrument [Line Items]                  
Debt Instrument, Redemption Price, Percentage of Principal Amount Redeemed         40.00%        
Debt Instrument, Redemption Price, Percentage         107.125%        
Senior Notes | Debt Instrument, Redemption, Period Three                  
Debt Instrument [Line Items]                  
Debt Instrument, Redemption Price, Percentage of Principal Amount Redeemed         10.00%        
Debt Instrument, Redemption Price, Percentage         103.00%        
May 2024 Credit Facility | Line of Credit [Member]                  
Debt Instrument [Line Items]                  
Maximum borrowing amount $ 285,000,000.0         $ 285,000,000.0      
Debt Instrument, Covenant, EBITDA Ratio, Maximum 1         1      
Debt Instrument, Covenant, Net Leverage Ratio, Maximum 5.50         5.50      
Senior Secured Notes Due May 2031 | Senior Notes                  
Debt Instrument [Line Items]                  
Incremental term loan         $ 600,000,000        
Debt Instrument, Interest Rate, Stated Percentage         7.125%        
2024 Credit Agreement | Line of Credit [Member]                  
Debt Instrument [Line Items]                  
Debt Instrument, Covenant, Net Leverage Ratio, Maximum 7.00         7.00      
January 2025 Refinancing | Medium-Term Note [Member]                  
Debt Instrument [Line Items]                  
Basis spread on variable rate (in basis points)     3.00%            
Debt Instrument, Covenant, Net Leverage Ratio, Maximum     4.00            
Debt Instrument, Margin Step-Down Rate     2.75%            
JPMorgan Credit Agreement | May 2024 Credit Facility | Line of Credit [Member]                  
Debt Instrument [Line Items]                  
Maximum borrowing amount         $ 600,000,000        
Credit spread adjustment (in basis points)         0.10%        
Outstanding borrowings on Revolving Facility $ 107,000,000.0     $ 0   $ 107,000,000.0 0    
Commitment fee on unused capacity       0.40%          
Debt Instrument, Variable Interest Rate, Type [Extensible Enumeration]         Secured Overnight Financing Rate (SOFR) [Member]        
JPMorgan Credit Agreement | May 2024 Credit Facility | Line of Credit [Member] | Minimum                  
Debt Instrument [Line Items]                  
Basis spread on variable rate (in basis points)         2.00%        
JPMorgan Credit Agreement | May 2024 Credit Facility | Line of Credit [Member] | Maximum                  
Debt Instrument [Line Items]                  
Basis spread on variable rate (in basis points)         3.00%        
JPMorgan Credit Agreement | May 2024 Credit Facility | Letter of Credit                  
Debt Instrument [Line Items]                  
Debt Instrument, Unused Borrowing Capacity, Amount $ 16,000,000.0     $ 12,000,000.0   16,000,000.0 12,000,000.0    
JPMorgan Credit Agreement | Total Net Leverage Reduction One | Line of Credit [Member]                  
Debt Instrument [Line Items]                  
Commitment fee on unused capacity       0.35%          
JPMorgan Credit Agreement | Total Net Leverage Reduction Two | Line of Credit [Member]                  
Debt Instrument [Line Items]                  
Commitment fee on unused capacity       0.30%          
JPMorgan Credit Agreement | Total Net Leverage Reduction Three | Line of Credit [Member]                  
Debt Instrument [Line Items]                  
Commitment fee on unused capacity       0.25%          
JPMorgan Credit Agreement | September 2025 Refinancing | Line of Credit [Member] | Minimum                  
Debt Instrument [Line Items]                  
Basis spread on variable rate (in basis points)   1.75%              
Credit spread adjustment (in basis points)   0.10%              
JPMorgan Credit Agreement | September 2025 Refinancing | Line of Credit [Member] | Maximum                  
Debt Instrument [Line Items]                  
Basis spread on variable rate (in basis points)   2.50%              
JPMorgan Credit Agreement | Amended and Restated Credit Agreement, As Amended Through Amendment No. 3 September 2025 | Line of Credit [Member]                  
Debt Instrument [Line Items]                  
Interest rate 6.39%                
Secured Debt [Member] | May 2024 Credit Facility | Medium-Term Note [Member]                  
Debt Instrument [Line Items]                  
Basis spread on variable rate (in basis points)         3.25%        
Outstanding borrowings $ 1,004,000,000.000     $ 835,800,000   $ 1,004,000,000.000 835,800,000    
Interest rate 6.25%                
Outstanding Borrowings, Cash Flow Prepayment, Percent         50.00%        
Debt Instrument, Issuance Price PercentageOfPar         99.75%        
Outstanding Borrowings, Net Cash Proceeds from Asset Dispositions, Prepayment, Percent         100.00%        
Outstanding Borrowings, Debt Proceeds, Prepayment, Percent         100.00%        
Line of Credit Facility, Periodic Payment, Principal         $ 2,500,000        
Debt Instrument, Margin Step-Down Rate         3.00%        
Secured Debt [Member] | May 2024 Credit Facility | Medium-Term Note [Member] | Maximum                  
Debt Instrument [Line Items]                  
Debt Instrument, Variable Interest Rate, Type [Extensible Enumeration]         Secured Overnight Financing Rate (SOFR) [Member]        
Secured Debt [Member] | Total Net Leverage Reduction One | Medium-Term Note [Member]                  
Debt Instrument [Line Items]                  
Outstanding Borrowings, Cash Flow Prepayment, Percent         25.00%        
Secured Debt [Member] | Total Net Leverage Reduction Two | Medium-Term Note [Member]                  
Debt Instrument [Line Items]                  
Outstanding Borrowings, Cash Flow Prepayment, Percent         0.00%        
Secured Debt [Member] | Credit Agreement, As Amended Through Amendment No. 7 September 2023 | JPMorgan Chase Bank, N.A. [Member] | Medium-Term Note [Member]                  
Debt Instrument [Line Items]                  
Maximum borrowing amount       $ 840,000,000     840,000,000    
Interest rate       7.61%          
Secured Debt [Member] | January 2025 Refinancing | Medium-Term Note [Member]                  
Debt Instrument [Line Items]                  
Maximum borrowing amount     $ 935,800,000            
Incremental debt amount provided     $ 100,000,000.0            
Secured Debt [Member] | Amended and Restated Credit Agreement, As Amended Through Amendment No. 1 December 2024 | Medium-Term Note [Member]                  
Debt Instrument [Line Items]                  
Outstanding borrowings       $ 835,800,000     $ 835,800,000    
Secured Debt [Member] | September 2025 Refinancing | Medium-Term Note [Member]                  
Debt Instrument [Line Items]                  
Outstanding borrowings   $ 1,006,000,000.000              
Incremental debt amount provided   $ 75,000,000.0              
Secured Debt [Member] | Amended and Restated Credit Agreement, As Amended Through Amendment No. 2 January 2025 | Medium-Term Note [Member]                  
Debt Instrument [Line Items]                  
Outstanding borrowings                 $ 931,100,000