v3.26.1
Long-term Debt - Narrative (Details)
3 Months Ended
Apr. 01, 2026
USD ($)
shares
Jan. 28, 2026
USD ($)
Jul. 28, 2025
Jun. 30, 2026
USD ($)
Mar. 31, 2026
USD ($)
$ / shares
Debt Instrument [Line Items]          
Conversion price (in dollars per share) | $ / shares         $ 10.49
Subsequent Event          
Debt Instrument [Line Items]          
Repayments of convertible debt $ 25,500,000        
Repayment of borrowings using cash from revolving credit facility $ 25,000,000.0        
Stock issued upon conversion of debt | shares 529,428        
Fair value of stock issued from debt conversion $ 5,900,000        
4.75% Convertible Senior Notes          
Debt Instrument [Line Items]          
Debt instrument, face amount         $ 52,700,000
4.75% Convertible Senior Notes | Forecast          
Debt Instrument [Line Items]          
Gain (loss) on extinguishment of debt       $ (3,600,000)  
4.75% Convertible Senior Notes | Subsequent Event          
Debt Instrument [Line Items]          
Extinguishment of debt $ 52,700,000        
Cash Flow Credit Agreement          
Debt Instrument [Line Items]          
Maximum borrowing capacity   $ 125,000,000.0      
Cash Flow Credit Agreement | Term Loan          
Debt Instrument [Line Items]          
Maximum borrowing capacity   $ 50,000,000.0      
Cash Flow Credit Agreement | Line of Credit          
Debt Instrument [Line Items]          
Debt instrument, debt covenant, minimum interest coverage ratio   3.0      
Debt instrument, debt covenant, total net funded debt leverage ratio   2.5      
Debt instrument, debt covenant, maximum total net leverage ratio   3.25      
Debt instrument, debt covenant, maximum senior secured leverage ratio   2.0      
Cash Flow Credit Agreement | Line of Credit | Minimum          
Debt Instrument [Line Items]          
Commitment fee percentage (as a percent)   0.375%      
Cash Flow Credit Agreement | Line of Credit | Minimum | Secured Overnight Financing Rate (SOFR)          
Debt Instrument [Line Items]          
Basis spread on variable rate (as a percent)   2.50%      
Cash Flow Credit Agreement | Line of Credit | Minimum | Base Rate          
Debt Instrument [Line Items]          
Basis spread on variable rate (as a percent)   1.50%      
Cash Flow Credit Agreement | Line of Credit | Maximum          
Debt Instrument [Line Items]          
Commitment fee percentage (as a percent)   0.50%      
Cash Flow Credit Agreement | Line of Credit | Maximum | Secured Overnight Financing Rate (SOFR)          
Debt Instrument [Line Items]          
Basis spread on variable rate (as a percent)   3.50%      
Cash Flow Credit Agreement | Line of Credit | Maximum | Base Rate          
Debt Instrument [Line Items]          
Basis spread on variable rate (as a percent)   2.50%      
Cash Flow Credit Agreement | Revolving Credit Facility Due February 2028          
Debt Instrument [Line Items]          
Maximum borrowing capacity   $ 75,000,000.0      
Cash Flow Credit Agreement | Letter of Credit          
Debt Instrument [Line Items]          
Maximum borrowing capacity   $ 40,000,000.0      
ABL Agreement          
Debt Instrument [Line Items]          
Letters of credit outstanding         12,700,000
ABL Agreement | Revolving Credit Facility Due February 2028          
Debt Instrument [Line Items]          
Basis spread on variable rate (as a percent)     0.00%    
Long-term line of credit         0
Remaining borrowing capacity         112,300,000
ABL Agreement | Revolving Credit Facility Due February 2028 | Minimum          
Debt Instrument [Line Items]          
Commitment fee percentage (as a percent)     0.375%    
ABL Agreement | Revolving Credit Facility Due February 2028 | Maximum          
Debt Instrument [Line Items]          
Commitment fee percentage (as a percent)     0.50%    
ABL Agreement, Effective July 28, 2025 | Revolving Credit Facility Due February 2028 | Minimum | Secured Overnight Financing Rate (SOFR)          
Debt Instrument [Line Items]          
Basis spread on variable rate (as a percent)     2.25%    
ABL Agreement, Effective July 28, 2025 | Revolving Credit Facility Due February 2028 | Minimum | Base Rate          
Debt Instrument [Line Items]          
Basis spread on variable rate (as a percent)     1.25%    
ABL Agreement, Effective July 28, 2025 | Revolving Credit Facility Due February 2028 | Maximum | Secured Overnight Financing Rate (SOFR)          
Debt Instrument [Line Items]          
Basis spread on variable rate (as a percent)     2.75%    
ABL Agreement, Effective July 28, 2025 | Revolving Credit Facility Due February 2028 | Maximum | Base Rate          
Debt Instrument [Line Items]          
Basis spread on variable rate (as a percent)     1.75%    
4.75% Convertible Senior Notes          
Debt Instrument [Line Items]          
Debt instrument, face amount         $ 135,000,000.0
Stated interest rate (as a percent)         4.75%
Conversion ratio         0.0953516