v3.26.1
Financial Instruments (Details) - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Nov. 30, 2024
Oct. 31, 2024
Financial Instruments [Line Items]          
Fair values of credit facility $ 106,060,000        
Fair values of convertible notes 590,252,000        
(Loss) gain from derivative assets and liabilities $ (50,415,000) $ 17,819,000 $ 48,000    
Interest rate 1.00%        
Amount initially recognized   22,407,000      
Principal amount of deposit   24,634,000      
Loss in initial recognition of the refundable deposits   (2,504,000)      
Effective interest rate 6.00%        
Interest income $ 539,000 364,000      
Recognized a total CECL   815,000      
Estimated term of security deposits 3 years        
Increase or decrease in exchange rates 5        
Impact on retained earnings $ 1,095,000 15,000      
Cash 573,462,000 59,542,000 $ 84,038,000    
Purchase of property, plant and equipment 129,662        
Credit Facility [Member]          
Financial Instruments [Line Items]          
Amortized cost 94,808,000        
Convertible Notes [Member]          
Financial Instruments [Line Items]          
Amortized cost 571,315,000        
Bitcoin [Member]          
Financial Instruments [Line Items]          
Crypto asset 180,285,000        
Derivative Financial Instruments, Assets [Member]          
Financial Instruments [Line Items]          
(Loss) gain from derivative assets and liabilities 63,890,000        
Panther Creek Refundable Deposit [Member]          
Financial Instruments [Line Items]          
Amount initially recognized 7,125,000        
Principal amount of deposit 7,125,000       $ 7,800,000
Loss in initial recognition of the refundable deposits   $ 675,000      
Effective interest rate   12.00%      
Scrubgrass Refundable Deposit [Member]          
Financial Instruments [Line Items]          
Amount initially recognized 7,542,000        
Principal amount of deposit 7,542,000     $ 7,800,000  
Loss in initial recognition of the refundable deposits   $ 258,000      
Effective interest rate   9.00%      
Refundable Hosting Deposits [Member] | Panther Creek Refundable Deposit [Member]          
Financial Instruments [Line Items]          
Principal amount of deposit 7,800,000        
Refundable Hosting Deposits [Member] | Scrubgrass Refundable Deposit [Member]          
Financial Instruments [Line Items]          
Principal amount of deposit $ 7,800,000        
Mining Pool Operator [Member] | Supplier Concentration Risk [Member] | Revenue Benchmark [Member]          
Financial Instruments [Line Items]          
Revenue percentage 88.00% 95.00% 96.00%