v3.26.1
Credit Facilities and Other Debt - Summary of Principal Terms of Term Debt (Details) - USD ($)
$ in Thousands
Dec. 31, 2025
Dec. 31, 2024
Credit Facilities and Other Debt    
Interest Rate, Line of Credit 4.65% 5.37%
Amount Outstanding $ 94,510 $ 95,161
ACCU Line of Credit. 9.25% maturing September 23, 2025    
Credit Facilities and Other Debt    
Amount Outstanding 0  
ACCU line of credit    
Credit Facilities and Other Debt    
Amount of Loan Collateral Pledged $ 0 0
ACCU line of credit | ACCU Line of Credit. 9.25% maturing September 23, 2025    
Credit Facilities and Other Debt    
Interest Rate, Line of Credit 8.00%  
Secured term-debt    
Credit Facilities and Other Debt    
Amount of Loan Collateral Pledged $ 6 6
Secured term-debt | ACCU Secured, Various Interest Rate, Maturing on various dates    
Credit Facilities and Other Debt    
Amount Outstanding 6  
Loans Receivable | ACCU Line of Credit. 9.25% maturing September 23, 2025    
Credit Facilities and Other Debt    
Amount of Loan Collateral Pledged 6,100 $ 7,000
Loans Receivable | ACCU line of credit | ACCU Line of Credit. 9.25% maturing September 23, 2025    
Credit Facilities and Other Debt    
Amount of Loan Collateral Pledged 6,071  
Other Assets | Secured term-debt | ACCU Secured, Various Interest Rate, Maturing on various dates    
Credit Facilities and Other Debt    
Amount of Loan Collateral Pledged $ 6