v3.26.1
Long-Term Incentive Plans- Summary of Information Regarding Restricted Stock Units (Detail)
3 Months Ended
Mar. 31, 2026
$ / shares
shares
Equity-based Awards  
Vested, Number of Units (890,689)
TSUs  
Equity-based Awards  
Outstanding, Number of Units, Beginning Balance 1,252,925
Granted, Number of Units 678,402 [1]
Forfeited, Number of Units (12,459)
Vested, Number of Units (663,414)
Outstanding, Number of Units, Ending Balance 1,255,454
Outstanding, Weighted-Average Grant Date Fair Value per unit, Beginning balance | $ / shares $ 5.63 [2]
Granted, Weighted-Average Grant Date Fair Value per Unit | $ / shares 5.02 [1],[2]
Forfeited, Weighted-Average Grant Date Fair Value per Unit | $ / shares 5.02 [2]
Vested, Weighted-Average Grant Date Fair Value per Unit | $ / shares 6.18 [2]
Outstanding, Weighted-Average Grant Date Fair Value per unit, Ending balance | $ / shares $ 5.01 [2]
PSUs  
Equity-based Awards  
Outstanding, Number of Units, Beginning Balance 676,425
Granted, Number of Units 204,925 [3]
Forfeited, Number of Units (58,224)
Vested, Number of Units (227,275)
Outstanding, Number of Units, Ending Balance 595,851
Outstanding, Weighted-Average Grant Date Fair Value per unit, Beginning balance | $ / shares $ 8.79 [2]
Granted, Weighted-Average Grant Date Fair Value per Unit | $ / shares 6.86 [2],[3]
Forfeited, Weighted-Average Grant Date Fair Value per Unit | $ / shares 7.5 [2]
Vested, Weighted-Average Grant Date Fair Value per Unit | $ / shares 12.75 [2]
Outstanding, Weighted-Average Grant Date Fair Value per unit, Ending balance | $ / shares $ 6.74 [2]
[1] The aggregate grant-date fair value of TSUs issued for the three months ended March 31, 2026 was $3.4 million based on a grant-date market price at $5.02 per share.
[2] Determined by dividing the aggregate grant-date fair value of awards by the number of awards issued.
[3] The aggregate grant-date fair value of PSUs issued for the three months ended March 31, 2026 was $1.4 million based on a calculated fair value price at $6.86 per share.