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Fresh Start Accounting - Schedule of Liabilities Subject to Compromise Settled in Accordance with the Plan (Details) - USD ($)
$ in Thousands
Sep. 30, 2025
Jun. 24, 2025
Dec. 28, 2024
Reorganization, Chapter 11 [Line Items]      
Long-term portion of operating lease liabilities $ 2,198 $ 2,588 $ 44,322
Portion of operating lease liabilities due within one year $ 1,256 9,094 $ 8,168
Reorganization, Chapter 11, Liabilities Subject to Compromise [Member]      
Reorganization, Chapter 11 [Line Items]      
Prepetition Term Loan Facility due April 13, 2028   945,000  
Prepetition Senior Secured Notes due April 15, 2029   500,000  
Prepetition Revolving Credit Facility due April 23, 2026   171,341  
Long-term portion of operating lease liabilities   39,681  
Accrued salaries and wages payable   10,670  
Portion of operating lease liabilities due within one year   6,540  
Accrued interest payable   5,635  
Total liabilities subject to compromise   1,678,867  
Less: Issuance of New Term Loan Facility issued to holders of prepetition First Lien Claims   (465,000)  
Less: Implied equity value issued to holders of prepetition First Lien Claims (9,100 Successor common shares)   (344,465)  
Less: Reinstatement of long-term operating lease liabilities   (39,681)  
Less: Reinstatement of salaries and wages payable   (10,670)  
Less: Reinstatement of portion of operating lease liabilities due within one year   (6,540)  
Gain on settlement of liabilities subject to compromise   $ 812,511