v3.26.1
BACKGROUND AND BASIS OF PRESENTATION - Narrative (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2026
Dec. 31, 2025
Mar. 31, 2025
Dec. 31, 2024
Product Information [Line Items]        
Stockholder's equity $ 466,106 $ 410,513 $ 454,235 $ 387,895
Accumulated deficit (1,073,965) (1,122,176)    
Cash and cash equivalents 126,129 104,963 90,898  
Restricted cash 47,865 64,275    
Other assets, current 251,800      
Outstanding borrowings 138,769 106,279 $ 127,543 $ 111,728
Short-term bank borrowings 111,200      
Bonds payable 41,693 $ 0    
Convertible debt 26,700      
Other accrued liabilities, current 214,800      
Short-term debt, refinanced, amount 30,100      
Capital Commitments        
Product Information [Line Items]        
Capital commitments 17,300      
Capital commitments payable 15,000      
Inventories        
Product Information [Line Items]        
Purchase obligation $ 29,100