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Supplemental Cash Flow Information - Non-Cash (Details) - USD ($)
$ in Thousands
12 Months Ended
Jul. 16, 2024
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Non-cash investing activity:        
Property and equipment, accrued but unpaid   $ 0 $ 55 $ 150
Right-of-use assets acquired in exchange for operating lease obligations   13,372 1,597 4,130
Purchase of equity investments with common stock   0 13,500 0
Disposition of investment in Consensus   0 0 112,286
Non-cash financing activity:        
Debt principal settled in exchange for Consensus common stock   0 0 112,286
Increase in fair value of conversion feature on 3.625% Convertible Notes   4,001 0 0
Excise tax on share repurchases   $ 1,099 $ 0 0
Disposition of investment       160,100
Aggregate purchase price       112,300
Loss on sale on investments       $ (47,800)
3.625% Convertible Notes        
Non-cash financing activity:        
Increase in fair value of conversion feature on 3.625% Convertible Notes $ 4,000      
3.625% Convertible Notes | Convertible Debt        
Non-cash financing activity:        
Stated interest rate 3.625%