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STOCKHOLDER’S EQUITY AND EQUITY-BASED COMPENSATION - Performance Stock Units (Details) - $ / shares
3 Months Ended
Jul. 01, 2022
Mar. 31, 2023
PSUs | 2021 LTIP    
Number of RSUs    
Beginning balance (in shares)   957,000
Granted (in shares)   1,262,000
Vested (in shares)   (133,000)
Forfeited (in shares)   0
Ending balance (in shares)   2,086,000
Weighted-Average Grant Date Fair Value    
Beginning balance (in dollars per share)   $ 2.17
Ending balance (in dollars per share)   $ 1.22
PSUs | 2021 LTIP | Minimum | First share price vesting threshold    
Weighted-Average Grant Date Fair Value    
Level of performance   0.00%
PSUs | 2021 LTIP | Minimum | Second share price vesting threshold    
Weighted-Average Grant Date Fair Value    
Level of performance   0.00%
PSUs | 2021 LTIP | Maximum | First share price vesting threshold    
Weighted-Average Grant Date Fair Value    
Level of performance   120.00%
PSUs | 2021 LTIP | Maximum | Second share price vesting threshold    
Weighted-Average Grant Date Fair Value    
Level of performance   200.00%
PSUs | 2021 LTIP | Common Class A | First share price vesting threshold    
Weighted-Average Grant Date Fair Value    
Shares that may settle into Class A common stock (in shares)   600,000
PSUs | 2021 LTIP | Common Class A | Second share price vesting threshold    
Weighted-Average Grant Date Fair Value    
Shares that may settle into Class A common stock (in shares)   1,300,000
Stock options | 2021 LTIP    
Weighted-Average Grant Date Fair Value    
Granted (in dollars per share)   $ 0
RSUs    
Number of RSUs    
Granted (in shares) 2,051,282  
RSUs | 2021 LTIP    
Number of RSUs    
Beginning balance (in shares)   16,162,000
Granted (in shares)   15,136,000
Vested (in shares)   (2,142,000)
Forfeited (in shares)   (1,334,000)
Ending balance (in shares)   27,822,000
Weighted-Average Grant Date Fair Value    
Beginning balance (in dollars per share)   $ 3.46
Ending balance (in dollars per share)   $ 1.87