v3.26.1
Cash Equivalents and Marketable Securities - Schedule of Amortized Cost And Fair Value of the Company’s Cash Equivalents and Marketable Securities (Details) - USD ($)
$ in Thousands
Dec. 31, 2026
Jun. 30, 2026
Mar. 31, 2026
Dec. 31, 2025
Mar. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Cash and Cash Equivalents [Line Items]              
Cash and cash equivalents     $ 64,950 $ 50,761 $ 17,667 $ 16,709 $ 27,756
Amortized Cost     25,244 69,886      
Gross Unrealized Gain     0 22      
Gross Unrealized Loss     (2) 0      
Estimated Fair Value     25,242 69,908      
U.S. Treasury securities              
Cash and Cash Equivalents [Line Items]              
Amortized Cost     25,244 69,886      
Gross Unrealized Gain     0 22      
Gross Unrealized Loss     (2) 0      
Estimated Fair Value $ 69,908 $ 25,242 25,242 69,908      
Total cash equivalents              
Cash and Cash Equivalents [Line Items]              
Cash and cash equivalents     60,687 33,320   9,439  
Estimated Fair Value     60,687 33,320   9,439  
Money market funds              
Cash and Cash Equivalents [Line Items]              
Cash and cash equivalents     60,687 33,320   9,439  
Estimated Fair Value $ 33,320 $ 60,687 $ 60,687 $ 33,320   $ 9,439