v3.26.1
Restructuring, Impairment and Other Related Charges - Schedule of Restructuring, Impairment and Other Related Charges (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Cash charges:      
Operating Expenses, Cash charges $ 231,588 $ 273,315 $ 285,536
Restructuring, Impairment and Other Related Charges, Cash charges 15,400    
Total, Cash charges 900 5,200  
Non-cash charges:      
Cost of Revenues, Total restructuring, impairment and other related charges 3,775 20,238
Non-cash charges [Member]      
Non-cash charges:      
Cost of Revenues, Non-cash charges 307 15,201  
Operating Expenses, Non-cash charges  
Restructuring, Impairment and Other Related Charges, Non-cash charges 9,147 16,347  
Total, Non-cash charges 9,454 31,548  
Total restructuring, impairment and other related charges [Member]      
Non-cash charges:      
Cost of Revenues, Total restructuring, impairment and other related charges 995 15,442  
Operating Expenses, Total restructuring, impairment and other related charges 942  
Restructuring, Impairment and Other Related Charges, Total restructuring, impairment and other related charges 11,386 19,973  
Total, Total restructuring, impairment and other related charges 12,381 36,357  
Employee-related costs [Member] | Cash charges [Member]      
Cash charges:      
Cost of Revenues, Cash charges 241  
Operating Expenses, Cash charges 942  
Restructuring, Impairment and Other Related Charges, Cash charges 353 3,098  
Total, Cash charges 353 4,281  
Other costs [Member] | Cash charges [Member]      
Cash charges:      
Cost of Revenues, Cash charges 688  
Operating Expenses, Cash charges  
Restructuring, Impairment and Other Related Charges, Cash charges 1,886 528  
Total, Cash charges 2,574 528  
Cash charges [Member]      
Cash charges:      
Cost of Revenues, Cash charges 688 241  
Operating Expenses, Cash charges 942  
Restructuring, Impairment and Other Related Charges, Cash charges 2,239 3,626  
Total, Cash charges 2,927 4,809  
Accelerated depreciation [Member] | Non-cash charges [Member]      
Non-cash charges:      
Cost of Revenues, Non-cash charges 307 11,175  
Operating Expenses, Non-cash charges  
Restructuring, Impairment and Other Related Charges, Non-cash charges 5,372 135  
Total, Non-cash charges 5,679 11,310  
Inventory write-downs [Member] | Non-cash charges [Member]      
Non-cash charges:      
Cost of Revenues, Non-cash charges 4,026  
Operating Expenses, Non-cash charges  
Restructuring, Impairment and Other Related Charges, Non-cash charges  
Total, Non-cash charges 4,026  
Write-down of long-lived assets [Member] | Non-cash charges [Member]      
Non-cash charges:      
Cost of Revenues, Non-cash charges  
Operating Expenses, Non-cash charges  
Restructuring, Impairment and Other Related Charges, Non-cash charges 867 5,245  
Total, Non-cash charges 867 5,245  
Impairment of assets [Member] | Non-cash charges [Member]      
Non-cash charges:      
Cost of Revenues, Non-cash charges  
Operating Expenses, Non-cash charges  
Restructuring, Impairment and Other Related Charges, Non-cash charges 2,908 10,967  
Total, Non-cash charges $ 2,908 $ 10,967