v3.26.1
Fair Value Measurements - Summary of Company's Cash Equivalents and Marketable Securities' Amortized Costs, Gross Unrealized Gains, Gross Unrealized Losses and Estimated Fair Values by Significant Investment Category (Details) - USD ($)
$ in Thousands
6 Months Ended 12 Months Ended
Jun. 30, 2026
Dec. 31, 2025
Debt Securities, Available-for-Sale [Line Items]    
Cash equivalents, Amortized cost $ 73,706 $ 188,612
Cash equivalents, Unrealized losses (24)  
Cash equivalents, Fair value 73,682 188,612
Short-term marketable securities, Amortized cost 245,087 92,112
Short-term marketable securities, Unrealized losses (312) (4)
Short-term marketable securities, Unrealized gain 6 102
Short-term marketable securities, Fair value 244,781 92,210
Long-term marketable securities, Amortized cost 62,814 4,008
Long-term marketable securities, Unrealized losses (296)  
Long-term marketable securities, Unrealized gain   24
Long-term marketable securities, Fair value 62,518 4,032
Cash equivalents and marketable securities, Amortized cost 381,607 284,732
Cash equivalents and marketable securities, Unrealized losses (632) (4)
Cash equivalents and marketable securities, Unrealized gain 6 126
Cash equivalents and marketable securities, Fair value 380,981 284,854
US Government Bonds    
Debt Securities, Available-for-Sale [Line Items]    
Short-term marketable securities, Amortized cost 116,661 41,014
Short-term marketable securities, Unrealized losses (163)  
Short-term marketable securities, Unrealized gain 6 79
Short-term marketable securities, Fair value 116,504 41,093
Long-term marketable securities, Amortized cost 15,485 4,008
Long-term marketable securities, Unrealized losses (35)  
Long-term marketable securities, Unrealized gain   24
Long-term marketable securities, Fair value $ 15,450 4,032
US Government Agency Bonds    
Debt Securities, Available-for-Sale [Line Items]    
Cash equivalents, Contractual Maturity Three months or less  
Cash equivalents, Amortized cost $ 8,826  
Cash equivalents, Unrealized losses (24)  
Cash equivalents, Fair value 8,802  
Short-term marketable securities, Amortized cost 81,714 11,604
Short-term marketable securities, Unrealized losses (92)  
Short-term marketable securities, Unrealized gain   9
Short-term marketable securities, Fair value 81,622 $ 11,613
Long-term marketable securities, Amortized cost 35,445  
Long-term marketable securities, Unrealized losses (201)  
Long-term marketable securities, Fair value 35,244  
Commercial Paper    
Debt Securities, Available-for-Sale [Line Items]    
Cash equivalents, Contractual Maturity   Three months or less
Cash equivalents, Amortized cost   $ 5,736
Cash equivalents, Fair value   5,736
Short-term marketable securities, Amortized cost 13,148 5,051
Short-term marketable securities, Unrealized losses (12)  
Short-term marketable securities, Unrealized gain   2
Short-term marketable securities, Fair value 13,136 $ 5,053
Treasury bill    
Debt Securities, Available-for-Sale [Line Items]    
Short-term marketable securities, Amortized cost 2,981  
Short-term marketable securities, Fair value 2,981  
Corporate Debt Securities    
Debt Securities, Available-for-Sale [Line Items]    
Cash equivalents, Contractual Maturity   Three months or less
Cash equivalents, Amortized cost   $ 642
Cash equivalents, Fair value   642
Short-term marketable securities, Amortized cost 29,079 32,933
Short-term marketable securities, Unrealized losses (44) (4)
Short-term marketable securities, Unrealized gain   12
Short-term marketable securities, Fair value 29,035 32,941
Long-term marketable securities, Amortized cost 11,884  
Long-term marketable securities, Unrealized losses (60)  
Long-term marketable securities, Fair value 11,824  
Foreign corporate debt securities    
Debt Securities, Available-for-Sale [Line Items]    
Short-term marketable securities, Amortized cost 1,504 1,510
Short-term marketable securities, Unrealized losses (1)  
Short-term marketable securities, Fair value $ 1,503 $ 1,510
Maximum | US Government Bonds    
Debt Securities, Available-for-Sale [Line Items]    
Short-term marketable securities, Contractual Maturity 1 year 1 year
Long-term marketable securities, Contractual Maturity 2 years 2 years
Maximum | US Government Agency Bonds    
Debt Securities, Available-for-Sale [Line Items]    
Short-term marketable securities, Contractual Maturity 1 year 1 year
Long-term marketable securities, Contractual Maturity 2 years  
Maximum | Commercial Paper    
Debt Securities, Available-for-Sale [Line Items]    
Short-term marketable securities, Contractual Maturity 1 year 1 year
Maximum | Treasury bill    
Debt Securities, Available-for-Sale [Line Items]    
Short-term marketable securities, Contractual Maturity 1 year  
Maximum | Corporate Debt Securities    
Debt Securities, Available-for-Sale [Line Items]    
Short-term marketable securities, Contractual Maturity 1 year 1 year
Long-term marketable securities, Contractual Maturity 2 years  
Maximum | Foreign corporate debt securities    
Debt Securities, Available-for-Sale [Line Items]    
Short-term marketable securities, Contractual Maturity 1 year 1 year
Minimum | US Government Bonds    
Debt Securities, Available-for-Sale [Line Items]    
Long-term marketable securities, Contractual Maturity 1 year 1 year
Minimum | US Government Agency Bonds    
Debt Securities, Available-for-Sale [Line Items]    
Long-term marketable securities, Contractual Maturity 1 year  
Minimum | Corporate Debt Securities    
Debt Securities, Available-for-Sale [Line Items]    
Long-term marketable securities, Contractual Maturity 1 year  
Money Market Funds    
Debt Securities, Available-for-Sale [Line Items]    
Cash equivalents, Contractual Maturity Three months or less Three months or less
Cash equivalents, Amortized cost $ 64,880 $ 182,234
Cash equivalents, Fair value $ 64,880 $ 182,234