v3.26.1
Hedging Instruments - Summary of Reconciliation of Cash Flow Hedge Component of Equity (Details) - Forward Foreign Currency Contracts - Cash Flow Hedges - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [line items]    
As of January 1 $ 40,615 $ (39,797)
Effective portion of changes in fair value arising from Forward foreign currency contracts forecasted expenditures (16,447) 37,694
Amount reclassified to the consolidated statement of operations Maturity of effective hedges (2,507) 734
As of March 31 $ 21,661 $ (1,369)