v3.25.4
Debt - Schedule of Debt (Parenthetical) (Details)
$ in Thousands
1 Months Ended 12 Months Ended
Oct. 31, 2024
USD ($)
Sep. 30, 2023
USD ($)
Dec. 31, 2025
CAD ($)
Dec. 31, 2025
USD ($)
Dec. 31, 2025
EUR (€)
Debt Instrument [Line Items]          
Long-term Debt       $ 1,570,683,000  
Senior Notes | Minimum          
Debt Instrument [Line Items]          
Senior Notes, redemption notice days     10 days    
Senior Notes | Maximum          
Debt Instrument [Line Items]          
Senior Notes, redemption notice days     60 days    
2026 Senior Notes          
Debt Instrument [Line Items]          
Proceeds and cash on hand used to redeem $ 300,000,000        
2028 Senior Notes          
Debt Instrument [Line Items]          
Debt, interest rate 12.875%   12.875% 12.875% 12.875%
Debt, maturity date Oct. 01, 2028        
Procced from issuance of debt $ 200,000,000        
Debt, face amount   $ 200,000,000      
Percentage of debt instrument issuance premium to face value 103.00%        
Net proceeds from issuance costs $ 202,008,000 $ 195,668,000      
2029 Senior Notes          
Debt Instrument [Line Items]          
Debt, interest rate     5.125% 5.125% 5.125%
Debt, maturity date     Feb. 01, 2029    
Debt Instrument, Redemption Price, Percentage     100.00%    
German Joint RCF - EUR 370.1 Million          
Debt Instrument [Line Items]          
Debt, interest rate     3.31% 3.31% 3.31%
Line of credit, maximum borrowing capacity | €         € 370,100,000
Debt, description of variable basis spread     Euribor    
Long-term Debt       $ 200,925,000 171,000,000
Debt, amount of debt supporting bank guarantees       16,958,000 14,400,000
Line of credit facility, remaining borrowing capacity       $ 217,014,000 € 184,700,000
German Joint RCF - EUR 370.1 Million | Minimum          
Debt Instrument [Line Items]          
Debt, variable basis spread     1.40%    
German Joint RCF - EUR 370.1 Million | Maximum          
Debt Instrument [Line Items]          
Debt, variable basis spread     2.35%    
Interest rate margin subject to upward or downward adjustments     0.05%    
Canadian Joint RCF - C$160 Million          
Debt Instrument [Line Items]          
Debt, interest rate     4.27% 4.27% 4.27%
Line of credit, maximum borrowing capacity     $ 160,000    
Long-term Debt     129,900 $ 94,758,000  
Line of credit facility, remaining borrowing capacity     17,500 12,753,000  
Line of credit, letters of credit outstanding, amount     $ 600 470,000  
Canadian Joint RCF - C$160 Million | Canadian Dollar Borrowings Rate Option 2          
Debt Instrument [Line Items]          
Debt, description of variable basis spread     designated prime rate    
Canadian Joint RCF - C$160 Million | Canadian Dollar Borrowings Rate Option 1          
Debt Instrument [Line Items]          
Debt, description of variable basis spread     Adjusted Term Canadian Overnight Repo Rate Average    
Canadian Joint RCF - C$160 Million | US Dollar Borrowings Rate Option 1a          
Debt Instrument [Line Items]          
Debt, description of variable basis spread     federal funds rate    
Debt, variable basis spread     0.50%    
Canadian Joint RCF - C$160 Million | US Dollar Borrowings Rate Option 1b          
Debt Instrument [Line Items]          
Debt, description of variable basis spread     Adjusted Term Secured Overnight Financing Rate (“SOFR”) for a one month tenor    
Debt, variable basis spread     1.00%    
Canadian Joint RCF - C$160 Million | US Dollar Borrowings Rate Option 1c          
Debt Instrument [Line Items]          
Debt, description of variable basis spread     bank’s applicable reference rate for dollar denominated loans    
Canadian Joint RCF - C$160 Million | US Dollar Borrowings Rate Option 2          
Debt Instrument [Line Items]          
Debt, description of variable basis spread     Adjusted Term SOFR    
Canadian Joint RCF - C$160 Million | Minimum | Canadian Dollar Borrowings Rate Option 1          
Debt Instrument [Line Items]          
Debt, variable basis spread     1.20%    
Canadian Joint RCF - C$160 Million | Minimum | US Dollar Borrowings Rate Option 2          
Debt Instrument [Line Items]          
Debt, variable basis spread     1.20%    
Canadian Joint RCF - C$160 Million | Maximum | Canadian Dollar Borrowings Rate Option 1          
Debt Instrument [Line Items]          
Debt, variable basis spread     1.45%    
Canadian Joint RCF - C$160 Million | Maximum | US Dollar Borrowings Rate Option 2          
Debt Instrument [Line Items]          
Debt, variable basis spread     1.45%    
Rosenthal Credit Facility - EUR 2.6 Million          
Debt Instrument [Line Items]          
Line of credit, maximum borrowing capacity | €         € 2,600,000
Debt, description of variable basis spread     three-month Euribor    
Debt, amount of debt supporting bank guarantees | €         € 2,600,000
Debt, variable basis spread     2.50%    
Line of credit facility, remaining borrowing capacity       $ 0  
Standby Letters of Credit Facility C$20 Million          
Debt Instrument [Line Items]          
Debt, interest rate     0.50% 0.50% 0.50%
Line of credit, maximum borrowing capacity     $ 20,000    
Line of credit facility, remaining borrowing capacity     18,900 $ 13,792,000  
Line of credit, letters of credit outstanding, amount     1,100 $ 800,000  
Debt instrument fee amount     $ 300