v3.26.1
Debt - Narrative (Details)
shares in Thousands
3 Months Ended 6 Months Ended 12 Months Ended
Aug. 21, 2025
USD ($)
Jun. 19, 2025
USD ($)
Dec. 06, 2024
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day
Jan. 20, 2023
USD ($)
Aug. 01, 2022
USD ($)
Sep. 30, 2025
USD ($)
Jun. 30, 2026
USD ($)
shares
Dec. 31, 2023
USD ($)
Aug. 31, 2025
USD ($)
Aug. 19, 2025
USD ($)
Aug. 18, 2025
USD ($)
Oct. 31, 2018
USD ($)
Debt Instrument [Line Items]                        
Upfront fees (in percent)     1.00%                  
Prepayment penalty after first anniversary of closing date but prior to second anniversary of closing date (in percent)         1.00%              
Prepayment penalty after second anniversary of closing date but prior to third anniversary of closing date (in percent)         0.00%              
Commitment fee percentage             0.50%          
Senior notes                        
Debt Instrument [Line Items]                        
Repurchase covenant, sale price as a percentage of conversion price             130.00%          
Repurchase covenant, trading days, minimum             20 days          
Consecutive trading days, minimum             30 days          
Payments of financing costs   $ 9,300,000                    
Senior notes | Common Class A                        
Debt Instrument [Line Items]                        
Repurchase of common stock $ 40,000,000.0                      
Line of credit | Term Loans                        
Debt Instrument [Line Items]                        
Maximum borrowing capacity       $ 240,000,000.0 $ 175,000,000.0              
Closing fee percentage       3.00% 2.00%              
Number of days prior to any junior debt maturity | day     91                  
Line of credit | Revolving Facility                        
Debt Instrument [Line Items]                        
Maximum borrowing capacity     $ 50,000,000.0 $ 25,000,000.0 $ 50,000,000.0              
Closing fee percentage     1.00% 3.00% 2.00%              
Line of credit | Credit Agreement                        
Debt Instrument [Line Items]                        
Prepayment penalty prior to first anniversary of closing date (in percent)         2.00%              
2024-A Delayed Draw Term Loan Facility                        
Debt Instrument [Line Items]                        
Upfront fees (in percent)     2.00%                  
2024-A Delayed Draw Term Loan Facility | Revolving Facility                        
Debt Instrument [Line Items]                        
Maximum borrowing capacity     $ 125,000,000.0                  
2024-B Delayed Draw Term Loan Facility | Revolving Facility                        
Debt Instrument [Line Items]                        
Maximum borrowing capacity     $ 75,000,000.0                  
Term Loans | First and Second Incremental Lien Facilities                        
Debt Instrument [Line Items]                        
Maximum borrowing capacity   150,000,000.0                    
Debt issuance costs   $ 3,300,000                    
Loss on incremental facility           $ 6,000,000.0            
Term Loans | Second Lien Term Loan                        
Debt Instrument [Line Items]                        
Interest rate per annum   5.00%                    
Maximum borrowing capacity   $ 175,000,000.0                    
Term Loans | Second Lien Term Loan | SOFR                        
Debt Instrument [Line Items]                        
Coupon interest rate per annum   6.00%                    
2025 Notes | Senior notes                        
Debt Instrument [Line Items]                        
Aggregate principal amount at issuance                       $ 172,500,000
Interest rate per annum                       1.50%
Debt instrument, repurchase amount 167,400,000                      
Gain on extinguishment of debt           $ 400,000            
3.50% Convertible Senior Notes Due 2029 | Senior notes                        
Debt Instrument [Line Items]                        
Aggregate principal amount at issuance               $ 402,500,000        
Interest rate per annum               3.50%        
4.50% Convertible Senior Notes Due 2031 | Senior notes                        
Debt Instrument [Line Items]                        
Aggregate principal amount at issuance $ 166,800,000               $ 166,800,000   $ 145,000,000.0  
Interest rate per annum                 4.50%      
Additional purchase option                   $ 21,800,000    
Senior Convertible Notes Due 2029 and 2031 | Senior notes                        
Debt Instrument [Line Items]                        
Conversion amount (in shares) | shares             22,900          
Senior Convertible Notes | Senior notes                        
Debt Instrument [Line Items]                        
Debt instrument, repurchase price due to fundamental change as percentage of principal amount             100.00%          
Repurchase covenant, sale price as a percentage of conversion price             130.00%          
Repurchase covenant, trading days, minimum             20 days          
Consecutive trading days, minimum             30 days          
Repurchase covenant, repurchase price due to change in sale price as percentage of conversion price             100.00%          
2031 Notes | Senior notes                        
Debt Instrument [Line Items]                        
Aggregate principal amount at issuance             $ 166,750,000          
Interest rate per annum             4.50%          
Conversion amount (in shares) | shares             12,325          
Repurchase covenant, sale price as a percentage of conversion price             150.00%          
Repurchase covenant, trading days, minimum             20 days          
Consecutive trading days, minimum             30 days          
Repurchase covenant, repurchase price due to fundamental change as percentage of principal amount 100.00%           100.00%          
Repayment of debt $ 166,800,000                      
Debt issuance costs             $ 8,307,000          
2029 Notes | Senior notes                        
Debt Instrument [Line Items]                        
Aggregate principal amount at issuance             $ 402,500,000          
Interest rate per annum             3.50%          
Conversion amount (in shares) | shares             10,592          
Debt issuance costs             $ 11,628,000          
2029 Notes | Senior notes | Term Loans                        
Debt Instrument [Line Items]                        
Number of days prior to any junior debt maturity | day     180                  
Credit Agreement | Term Loans                        
Debt Instrument [Line Items]                        
Line of credit facility, remaining borrowing capacity             117,200,000          
Credit Agreement | Revolving Facility                        
Debt Instrument [Line Items]                        
Aggregate principal amount at issuance             50,000,000          
Debt issuance costs             1,168,000          
Line of credit facility, remaining borrowing capacity             $ 62,500,000          
Credit Agreement | Revolving Facility | SOFR                        
Debt Instrument [Line Items]                        
Coupon interest rate per annum             4.15%          
Credit Agreement | Line of credit | Term Loans | SOFR                        
Debt Instrument [Line Items]                        
Coupon interest rate per annum         4.00%              
Credit Agreement | Line of credit | Term Loans | Base rate                        
Debt Instrument [Line Items]                        
Coupon interest rate per annum         3.00%              
Credit Agreement | Line of credit | Revolving Facility | SOFR                        
Debt Instrument [Line Items]                        
Coupon interest rate per annum         5.50%              
Credit Agreement | Line of credit | Revolving Facility | Base rate                        
Debt Instrument [Line Items]                        
Coupon interest rate per annum         4.50%              
Credit Agreement | Line of credit | Term Loan Facility                        
Debt Instrument [Line Items]                        
Repayments of long-term lines of credit               $ 415,000,000.0        
Second Lien Term Loan | Term Loans                        
Debt Instrument [Line Items]                        
Aggregate principal amount at issuance             $ 175,000,000          
Debt issuance costs             0          
Line of credit facility, remaining borrowing capacity             $ 175,000,000.0          
Second Lien Term Loan | Term Loans | SOFR                        
Debt Instrument [Line Items]                        
Coupon interest rate per annum             6.15%