Summary of Significant Accounting Policies (Tables)
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3 Months Ended |
Mar. 31, 2026 |
| Accounting Policies [Abstract] |
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| Schedule of Revenue from External Customers |
Revenue from external customers (including, but not limited to homeowners) for each group of similar products and services is as follows (in thousands): | | | | | | | | | | | | | | | | | | | | | | | Three Months Ended March 31, | | | | | | | 2026 | | 2025 | | Customer agreements | | | | | | $ | 447,102 | | | $ | 381,360 | | | Incentives | | | | | | 20,720 | | | 21,560 | | | Customer agreements and incentives | | | | | | 467,822 | | | 402,920 | | | | | | | | | | | | Energy systems | | | | | | 212,215 | | | 40,068 | | | Products | | | | | | 42,194 | | | 61,283 | | | Energy systems and product sales | | | | | | 254,409 | | | 101,351 | | | Total revenue | | | | | | $ | 722,231 | | | $ | 504,271 | |
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| Schedule of Cash and Restricted Cash |
The following table provides a reconciliation of cash and restricted cash reported within the consolidated balance sheets that sum to the total of the same such amounts shown in the consolidated statements of cash flows. Cash and restricted cash consists of the following (in thousands): | | | | | | | | | | | | | | | | | Three Months Ended March 31, | | | | 2026 | | 2025 | | Beginning of period: | | | | | | Cash | | $ | 823,380 | | | $ | 574,956 | | | Restricted cash, current and long-term | | 413,608 | | | 372,460 | | | Total | | $ | 1,236,988 | | | $ | 947,416 | | | | | | | | End of period: | | | | | | Cash | | $ | 679,552 | | | $ | 604,874 | | | Restricted cash, current and long-term | | 409,719 | | | 374,029 | | | Total | | $ | 1,089,271 | | | $ | 978,903 | |
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| Schedule of Cash and Restricted Cash |
The following table provides a reconciliation of cash and restricted cash reported within the consolidated balance sheets that sum to the total of the same such amounts shown in the consolidated statements of cash flows. Cash and restricted cash consists of the following (in thousands): | | | | | | | | | | | | | | | | | Three Months Ended March 31, | | | | 2026 | | 2025 | | Beginning of period: | | | | | | Cash | | $ | 823,380 | | | $ | 574,956 | | | Restricted cash, current and long-term | | 413,608 | | | 372,460 | | | Total | | $ | 1,236,988 | | | $ | 947,416 | | | | | | | | End of period: | | | | | | Cash | | $ | 679,552 | | | $ | 604,874 | | | Restricted cash, current and long-term | | 409,719 | | | 374,029 | | | Total | | $ | 1,089,271 | | | $ | 978,903 | |
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| Schedule of Accounts Receivable, Net |
Accounts receivable, net consists of the following (in thousands): | | | | | | | | | | | | | | | | | | March 31, 2026 | | December 31, 2025 | | Customer receivables | | $ | 204,225 | | | $ | 191,559 | | | Third party system sales receivables | | 42,652 | | | 44,419 | | | Grid services receivables | | 3,100 | | | 29,800 | | | Other receivables | | 5,417 | | | 17,541 | | | Allowance for credit losses | | (22,886) | | | (20,692) | | | Total | | $ | 232,508 | | | $ | 262,627 | |
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| Schedule of Deferred Revenue |
Deferred revenue consists of the following (in thousands): | | | | | | | | | | | | | | | | | March 31, 2026 | | December 31, 2025 | | Under Customer Agreements: | | | | | | Payments received, net | | $ | 1,047,600 | | | $ | 1,047,929 | | | Financing component balance | | 89,210 | | | 87,294 | | | | 1,136,810 | | | 1,135,223 | | | | | | | | Under SREC contracts: | | | | | | Payments received, net | | 367,997 | | | 356,263 | | | Financing component balance | | 25,579 | | | 21,847 | | | | 393,576 | | | 378,110 | | | | | | | | Total | | $ | 1,530,386 | | | $ | 1,513,333 | |
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