v3.25.2
Debt - ABL Facility (Details) - USD ($)
$ in Thousands
6 Months Ended
Mar. 15, 2019
Jun. 30, 2025
Mar. 25, 2025
Oct. 12, 2023
Mar. 14, 2019
ABL Facility          
Proceeds from line of credit (Amount drawn)   $ 75,000      
2025 Senior Secured Notes          
ABL Facility          
Outstanding debt   0      
Redemption amount     $ 181,400    
ABL Facility          
ABL Facility          
Borrowing capacity $ 175,000     $ 175,000 $ 125,000
Proceeds from line of credit (Amount drawn)   24,000      
Outstanding amount   $ 24,000      
Percentage of net book value of borrowers' eligible accounts receivables 85.00%        
Percentage of net book value of borrowers' eligible rental equipment 95.00%        
Percentage of net orderly liquidation value of borrowers' eligible rental equipment 85.00%        
Options to increase commitments $ 25,000        
Percentage of voting equity interests in non-US restricted subsidiary pledge 65.00%        
Minimum fixed charge coverage ratio 1.00%        
Maximum total net leverage ratio 2.50%        
ABL Facility | SOFR | Minimum          
ABL Facility          
Variable rate (as a percent) 4.25%        
ABL Facility | SOFR | Maximum          
ABL Facility          
Variable rate (as a percent) 4.75%        
ABL Facility | Base Rate | Minimum          
ABL Facility          
Variable rate (as a percent) 3.25%        
ABL Facility | Base Rate | Maximum          
ABL Facility          
Variable rate (as a percent) 3.75%        
Standby Letters of Credit [Member]          
ABL Facility          
Borrowing capacity $ 25,000        
Swingline          
ABL Facility          
Borrowing capacity $ 15,000