v3.26.1
Debt - Additional Information (Details)
$ / shares in Units, $ in Thousands
1 Months Ended 3 Months Ended 6 Months Ended 12 Months Ended
Mar. 06, 2026
USD ($)
TradingDay
$ / shares
shares
Dec. 06, 2024
USD ($)
Dec. 03, 2024
USD ($)
TradingDay
$ / shares
shares
Mar. 29, 2024
USD ($)
Nov. 21, 2022
USD ($)
TradingDay
$ / shares
shares
Nov. 16, 2022
USD ($)
Oct. 12, 2021
CAD ($)
Mar. 31, 2026
USD ($)
Jun. 30, 2025
USD ($)
Jun. 30, 2026
USD ($)
Mar. 31, 2026
USD ($)
Jun. 30, 2025
USD ($)
Jun. 30, 2026
USD ($)
shares
Jun. 30, 2025
USD ($)
Dec. 31, 2025
USD ($)
Dec. 31, 2024
USD ($)
Dec. 31, 2022
USD ($)
$ / shares
shares
Jun. 30, 2026
CAD ($)
Mar. 26, 2026
Mar. 18, 2026
USD ($)
Mar. 17, 2026
USD ($)
Dec. 31, 2025
CAD ($)
Dec. 05, 2024
USD ($)
Nov. 17, 2022
USD ($)
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Unamortized discount and issuance cost                   $ 11,826,000     $ 11,826,000   $ 8,990,000                  
Noncurrent liabilities - Long-term debt, net of current maturities                   416,065,000     416,065,000   353,401,000                  
Amortization of discount and issuance cost                         1,382,000 $ 1,354,000                    
Gain (loss) from extinguishment of debt                   0   $ 2,623,000 (3,656,000) 2,623,000                    
Outstanding amount                   427,891,000     427,891,000   362,391,000                  
Revolving credit facility | Wells Fargo                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Line of credit facility, maximum borrowing capacity       $ 10,000,000                                        
Restricted cash                   10,027,000     10,027,000                      
Amortization of debt issuance costs       $ 50,000                                        
Outstanding amount                   10,000,000     10,000,000                      
Interest expense                   $ 63,000   $ 111,000 $ 239,000 $ 277,000                    
Weighted average interest rate                   2.50%   4.50% 4.80% 5.60%                    
Revolving credit facility | Wells Fargo | SOFR                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Basis spread on variable rate (in percent)       1.75%                                        
Class A                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Share price (in dollars per share) | $ / shares $ 3.16   $ 4.03                                          
Redemption of shares (in shares) | shares                         0       1,112,524              
Treasury stock acquired, average cost per share (in dollars per share) | $ / shares                                 $ 6.65              
Share repurchase                                 $ 7,404,000              
Line of credit | Revolving credit facility                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Unamortized discount and issuance cost                   $ 38,000     $ 38,000   12,000                  
Noncurrent liabilities - Long-term debt, net of current maturities                   12,418,000     12,418,000   12,750,000                  
Outstanding amount                   $ 12,456,000     $ 12,456,000   12,762,000                  
2031 Notes | Senior Notes                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Interest rate                   4.00%     4.00%         4.00%            
Principal amount $ 1,000,000                                     $ 170,500,000        
Debt instrument, convertible, premium on initial conversion price 22.50%                                              
Initial conversion rate | shares 258.3312                                              
Debt instrument, convertible, conversion price (in dollars per share) | $ / shares $ 3.87                                              
Unamortized discount and issuance cost $ 5,452,000                 $ 5,159,000     $ 5,159,000                      
Noncurrent liabilities - Long-term debt, net of current maturities                   165,341,000     165,341,000                      
Amortization of discount and issuance cost                   237,000   $ 0 293,000 $ 0                    
Outstanding amount                   170,500,000     170,500,000                      
2031 Notes | Senior Notes | Debt Instrument, Redemption, Period One                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Principal amount $ 1,000,000                                              
Debt instrument, convertible, threshold consecutive trading days | TradingDay 30                                              
Debt instrument, convertible, threshold percentage of stock price trigger 130.00%                                              
Business days 5 days                                              
Measurement period 10 days                                              
Debt instrument, convertible, redemption price percentage (in percent) 98.00%                                              
2031 Notes | Senior Notes | Debt Instrument, Redemption, Period Two                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Principal amount $ 1,000,000                                              
Debt instrument, convertible, threshold consecutive trading days | TradingDay 30                                              
Debt instrument, convertible, threshold percentage of stock price trigger 130.00%                                              
Debt instrument, convertible, redemption price percentage (in percent) 100.00%                                              
Debt Instrument, required outstanding amount not subject to redemption $ 50,000,000                                              
2031 Notes | Senior Notes | Minimum | Debt Instrument, Redemption, Period One                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Threshold trading days | TradingDay 20                                              
2031 Notes | Senior Notes | Minimum | Debt Instrument, Redemption, Period Two                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Threshold trading days | TradingDay 20                                              
2031 Notes | Senior Notes | Maximum                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Initial conversion rate | shares 316.4556                                              
Convertible Senior Notes Due 2031                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Long-term debt, fair value                   $ 241,258,000     $ 241,258,000                      
Redemption price, percentage                         141.50%                      
2029 Notes | Senior Notes                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Interest rate 3.50%                 3.50%     3.50%         3.50%            
Principal amount     $ 1,000,000                                       $ 218,500,000  
Debt instrument, convertible, premium on initial conversion price     27.50%                                          
Initial conversion rate | shares     194.6188                                          
Debt instrument, convertible, conversion price (in dollars per share) | $ / shares     $ 5.14                                          
Unamortized discount and issuance cost   $ 8,967,000               $ 6,386,000     $ 6,386,000   7,223,000                  
Noncurrent liabilities - Long-term debt, net of current maturities                   212,114,000     212,114,000   211,277,000                  
Long-term debt, fair value                   255,645,000     $ 255,645,000   $ 227,087,000                  
Redemption price, percentage                         117.00%   104.00%                  
Amortization of discount and issuance cost                   423,000   405,000 $ 837,000 801,000                    
Outstanding amount                   $ 218,500,000     $ 218,500,000   $ 218,500,000                  
2029 Notes | Senior Notes | Debt Instrument, Redemption, Period One                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Principal amount     $ 1,000,000                                          
Debt instrument, convertible, threshold consecutive trading days | TradingDay     30                                          
Debt instrument, convertible, threshold percentage of stock price trigger     130.00%                                          
Business days     5 days                                          
Measurement period     10 days                                          
Debt instrument, convertible, redemption price percentage (in percent)     98.00%                                          
2029 Notes | Senior Notes | Debt Instrument, Redemption, Period Two                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Debt instrument, convertible, threshold consecutive trading days | TradingDay     30                                          
Debt instrument, convertible, threshold percentage of stock price trigger     130.00%                                          
Debt instrument, convertible, redemption price percentage (in percent)     100.00%                                          
Debt Instrument, required outstanding amount not subject to redemption     $ 50,000,000                                          
2029 Notes | Senior Notes | Minimum | Debt Instrument, Redemption, Period One                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Threshold trading days | TradingDay     20                                          
2029 Notes | Senior Notes | Minimum | Debt Instrument, Redemption, Period Two                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Threshold trading days | TradingDay     20                                          
2029 Notes | Senior Notes | Maximum                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Initial conversion rate | shares     248.1399                                          
2029 Notes Capped Call Transactions | Senior Notes                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Capped call transactions, cap price per share (in dollars per share) | $ / shares     $ 8.06                                          
Debt instrument, convertible, premium on initial conversion price     100.00%                                          
2029 Notes Capped Call Transactions | Senior Notes | Call Option                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Payments for derivative instrument, financing activities                               $ 23,380,000                
2027 Notes | Senior Notes                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Interest rate 4.50%                 4.50%     4.50%         4.50%            
Principal amount         $ 1,000,000                                     $ 160,000,000
Debt instrument, convertible, premium on initial conversion price         30.00%                                      
Initial conversion rate | shares         115.5869                                      
Debt instrument, convertible, conversion price (in dollars per share) | $ / shares         $ 8.65                                      
Share price (in dollars per share) | $ / shares         $ 6.655                                      
Unamortized discount and issuance cost         $ 5,374,000         $ 240,000     $ 240,000   1,752,000                  
Noncurrent liabilities - Long-term debt, net of current maturities                   25,760,000     25,760,000   128,248,000                  
Amortization of discount and issuance cost                   40,000   267,000 227,000 528,000                    
Outstanding amount                   26,000,000     26,000,000   130,000,000                  
2027 Notes | Senior Notes | Debt Instrument, Redemption, Period One                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Principal amount         $ 1,000,000         $ 1,000,000     $ 1,000,000                      
Debt instrument, convertible, threshold consecutive trading days | TradingDay         30                                      
Debt instrument, convertible, threshold percentage of stock price trigger         130.00%                                      
Business days         5 days                                      
Measurement period         5 days                                      
Debt instrument, convertible, redemption price percentage (in percent)         98.00%                                      
2027 Notes | Senior Notes | Debt Instrument, Redemption, Period Two                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Principal amount         $ 1,000,000                                      
Debt instrument, convertible, threshold consecutive trading days | TradingDay         30                                      
Debt instrument, convertible, threshold percentage of stock price trigger         130.00%                                      
Debt instrument, convertible, redemption price percentage (in percent)         100.00%                                      
2027 Notes | Senior Notes | Minimum | Debt Instrument, Redemption, Period One                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Threshold trading days | TradingDay         20                                      
2027 Notes | Senior Notes | Minimum | Debt Instrument, Redemption, Period Two                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Threshold trading days | TradingDay         20                                      
2027 Notes | Senior Notes | Maximum                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Initial conversion rate | shares         150.2629                                      
2027 Notes | Repurchase agreement | Senior Notes                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Interest rate           4.50%                                    
Repurchase of senior notes $ 107,814,000                                              
Unamortized discount and issuance cost               $ 1,284,000     $ 1,284,000       515,000                  
Noncurrent liabilities - Long-term debt, net of current maturities               26,000,000     26,000,000       130,000,000                  
Aggregate principal amount           $ 104,000,000   104,000 $ 30,000,000   104,000 30,000,000   30,000,000                    
Extinguishment of debt                     $ 106,371                          
Repurchased price                 26,844,000     $ 26,844,000   $ 26,844,000                    
Ttransaction related to professional fees                 158,000                              
Gain (loss) from extinguishment of debt               (3,656,000) $ 2,623,000                              
Accrued interest paid           $ 1,443,000   $ 1,443,000             $ 143,000                  
Convertible Senior Notes Due 2027                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Interest rate                   111.64%     111.64%   96.00%     111.64%       96.00%    
Principal amount                   $ 29,026,000     $ 29,026,000   $ 124,982,000                  
CIBC loan, due 2026 | Line of credit                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Unamortized discount and issuance cost                   3,000     3,000   3,000                  
Noncurrent liabilities - Long-term debt, net of current maturities                   432,000     432,000   1,126,000                  
Line of credit facility, maximum borrowing capacity             $ 9,440                                  
Outstanding amount                   435,000     435,000   1,129,000                  
Indie Canada Line Of Credit | Line of credit                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Line of credit facility, maximum borrowing capacity                                   $ 6,000       $ 6,000    
Outstanding amount                   435,000     $ 435,000   $ 1,129,000     619       1,548    
Monthly interest payment             $ 155                                  
Indie Canada Line Of Credit | Line of credit | Prime Rate                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Basis spread on variable rate (in percent)             0.25%           0.25%   0.25%                  
Tera Xion Line Of Credit Used As Securitization | Revolving credit facility                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Line of credit facility, maximum borrowing capacity                                   6,000            
Tera Xion Line Of Credit Used As Securitization | Line of credit | Revolving credit facility                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Outstanding amount                   $ 1,926,000     $ 1,926,000   $ 2,453,000     $ 2,742       $ 3,363    
Initial Purchasers | 2031 Notes | Senior Notes                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Interest rate 4.00%                                   4.00%   4.00%      
Principal amount $ 150,000,000                                       $ 20,500,000      
Exercisable period 13 days                                              
Net proceeds from offering $ 165,048,000                                              
Initial Purchasers | 2029 Notes | Senior Notes                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Interest rate   3.50%                                            
Principal amount   $ 190,000,000                                            
Exercisable period   13 days                                            
Initial Purchasers | 2027 Notes | Senior Notes                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Interest rate           4.50%                                    
Principal amount           $ 140,000,000                                    
Exercisable period           30 days                                    
Additional Notes | 2031 Notes | Senior Notes                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Principal amount $ 25,000,000                                              
Additional Notes | 2029 Notes | Senior Notes                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Principal amount   $ 28,500,000                                            
Additional Notes | 2027 Notes | Senior Notes                                                
Schedule of Long Term and Short Term Debt Instruments [Line Items]                                                
Interest rate           4.50%                                    
Principal amount           $ 20,000,000