v3.26.1
Debt - Senior Notes Due (Details) - USD ($)
$ in Thousands
12 Months Ended
Feb. 24, 2026
Jan. 28, 2026
Mar. 05, 2025
Jun. 01, 2021
Dec. 31, 2025
Jun. 30, 2026
Dec. 31, 2022
Nov. 02, 2021
Jul. 01, 2021
Jan. 26, 2021
Jan. 04, 2021
8.375% Senior Notes Due 2026                      
Debt                      
Senior notes                     $ 500,000
Interest rate (as a percent)                     8.375%
Issue price as percentage of par value                     100.00%
Percentage of redemption to principal amount (in %)     102.094%                
Redemption amount     $ 97,000                
8.375% Senior Notes Due 2026 | Debt Repurchase Program                      
Debt                      
Carrying value of debt repurchased             $ 228,000        
Redemption amount                 $ 175,000    
7.625% Senior Notes Due 2029                      
Debt                      
Senior notes         $ 365,353         $ 700,000  
Interest rate (as a percent)         7.625%         7.625%  
Issue price as percentage of par value                   100.00%  
Amount of debt repurchased         $ 42,000            
Repurchase price percentage 101.271%       103.00%            
Redemption amount $ 365,000             $ 293,000      
5.375% senior notes due 2030                      
Debt                      
Senior notes       $ 600,000 $ 600,000 $ 600,000          
Interest rate (as a percent)       5.375% 5.375% 5.375%          
Issue price as percentage of par value       100.00%              
Percentage of redemption to principal amount (in %)       101.792%              
Redemption price of the debt instrument in the event of change of control (as a percent)       101.00%              
5.375% senior notes due 2030 | On or after March 1, 2028                      
Debt                      
Percentage of redemption to principal amount (in %)       100.00%              
5.400% senior notes due 2036                      
Debt                      
Senior notes   $ 750,000       $ 750,000          
Interest rate (as a percent)   5.40%       5.40%          
Issue price as percentage of par value   99.869%                  
Basis spread on variable rate (as a percent)   0.20%                  
Debt Instrument, Variable Interest Rate, Type [Extensible Enumeration]   us-gaap:UsTreasuryUstInterestRateMember                  
Percentage of redeemed amount   100.00%