v3.26.1
Term Loan Facility - Additional Information (Details)
6 Months Ended
Jun. 30, 2025
USD ($)
Tranche
Jun. 30, 2026
USD ($)
Line of Credit Facility [Line Items]    
Credit facility, maximum borrowing capacity $ 750,000,000  
Debt instrument, number of tranche | Tranche 3  
Maturity date, description The maturity date of the facility is the earlier of (i) six years after the funding of the first tranche of term loans and (ii) December 31, 2032.  
Debt instrument, basis spread on variable rate 5.75%  
Upfront fee percentage 2.00%  
Debt instrument redemption description Prepayments made prior to the second anniversary of the applicable funding date for the applicable tranche of loans are subject to a make-whole premium equal to the foregone interest through the second anniversary, as well as a prepayment premium of 3.00%. Prepayments made on or after the second anniversary but before the third anniversary are subject to a 3.00% prepayment premium, and prepayments made on or after the third anniversary are subject to a 1.00% prepayment premium. No make-whole or prepayment premium is due if repayment occurs at maturity.  
Loan amount drawn   $ 0
Tier One    
Line of Credit Facility [Line Items]    
Debt instrument redemption price percentage 3.00%  
Tier Two    
Line of Credit Facility [Line Items]    
Debt instrument redemption price percentage 3.00%  
Tier Three    
Line of Credit Facility [Line Items]    
Debt instrument redemption price percentage 1.00%  
Tranche One    
Line of Credit Facility [Line Items]    
Credit facility, maximum borrowing capacity $ 250,000,000  
Tranche Two    
Line of Credit Facility [Line Items]    
Credit facility, maximum borrowing capacity 250,000,000  
Tranche Three    
Line of Credit Facility [Line Items]    
Credit facility, maximum borrowing capacity $ 250,000,000  
Minimum    
Line of Credit Facility [Line Items]    
Debt instrument, basis spread on variable rate 3.50%