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Fresh Start Accounting - Summary of Change in Cash and Cash Equivalents (Details) - Cash and Cash Equivalents
$ in Thousands
12 Months Ended
Dec. 31, 2023
USD ($)
Cash And Cash Equivalents [Line Items]  
Payment of professional fees $ (27,170)
Redemption of secured notes (60,117)
Total (238,053)
Exchangeable Notes  
Cash And Cash Equivalents [Line Items]  
Proceeds from Exchangeable Notes 50,000
Unsecured Claim Holders  
Cash And Cash Equivalents [Line Items]  
Payment for the settlement (98,801)
Predecessor Secured Credit Facility  
Cash And Cash Equivalents [Line Items]  
Payment for the settlement (100,000)
Exit Credit Agreement  
Cash And Cash Equivalents [Line Items]  
Payment for the settlement (1,192)
Exchangeable Notes and Secured Notes  
Cash And Cash Equivalents [Line Items]  
Payment for the settlement $ (773)