v3.26.1
Convertible Debt (Tables)
6 Months Ended
Jun. 30, 2026
0% Notes due 2030 [Member]  
Convertible Debt [Abstract]  
Convertible Senior Notes
At June 30, 2026, we had the following 0% Notes due 2030 outstanding (in millions except interest rate and price per share data):
 
  0% Notes due 2030 
Outstanding principal balance$770.0 
Unamortized debt issuance costs$16.6 
Maturity date 
December 2030
 
Interest rate 0%
Effective interest rate 0.5%
Conversion price per share$98.10 
Total shares of common stock subject to conversion 7.8 
1.75% Notes due 2028 [Member]  
Convertible Debt [Abstract]  
Convertible Senior Notes
At June 30, 2026, we had the following 1.75% Notes due 2028 outstanding (in millions except interest rate and price per share data):
 
 1.75% Notes due 2028
Outstanding principal balance$575.0 
Unamortized debt issuance costs$5.7 
Maturity date
June 2028
Interest rate 1.75%
Effective interest rate 2.3%
Conversion price per share$53.73 
Total shares of common stock subject to conversion 10.7