v3.26.1
DEBT - Narrative (Details) - USD ($)
1 Months Ended 3 Months Ended 6 Months Ended
Mar. 23, 2026
Oct. 08, 2025
Jun. 30, 2026
Apr. 30, 2026
Mar. 31, 2026
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2026
Jun. 30, 2025
Dec. 31, 2025
Debt instrument                    
Unamortized premium     $ 2,000,000     $ 2,000,000   $ 2,000,000   $ 2,000,000
Loss on early extinguishment of debt           28,000,000 $ 0 49,000,000 $ 1,000,000  
Senior Notes (Unsecured) | 2035 Senior Notes                    
Debt instrument                    
Initial investment amount     $ 550,000,000     $ 550,000,000   $ 550,000,000    
Debt instrument, interest rate, stated percentage     7.25%     7.25%   7.25%    
Proceeds from issuance of debt     $ 543,000,000              
Debt instrument, redemption price, percentage of principal amount redeemed     40.00%              
Debt issuance costs     $ 7,000,000     $ 7,000,000   $ 7,000,000    
Senior Notes (Unsecured) | 2035 Senior Notes | Period One                    
Debt instrument                    
Redemption price     100.00%              
Senior Notes (Unsecured) | 2035 Senior Notes | Period Two                    
Debt instrument                    
Redemption price     107.25%              
Senior Notes (Unsecured) | 2035 Senior Notes | Period Three                    
Debt instrument                    
Redemption price     103.625%              
Senior Notes (Unsecured) | 2035 Senior Notes | Period Four                    
Debt instrument                    
Redemption price     101.813%              
Senior Notes (Unsecured) | 2035 Senior Notes | Period Five                    
Debt instrument                    
Redemption price     100.00%              
Senior Notes (Unsecured) | 2035 Senior Notes | Period Six                    
Debt instrument                    
Redemption price     101.00%              
Senior Notes (Unsecured) | 2029 Senior Notes                    
Debt instrument                    
Debt instrument, interest rate, stated percentage     8.25%   8.25% 8.25%   8.25%    
Unamortized premium     $ 23,000,000   $ 17,000,000 $ 23,000,000   $ 23,000,000    
Repurchase face amount     550,000,000   350,000,000 550,000,000   550,000,000    
Debt instrument, repurchase amount     573,000,000   367,000,000 573,000,000   573,000,000    
Loss on early extinguishment of debt     28,000,000   21,000,000          
Write off of deferred debt issuance cost     5,000,000   $ 4,000,000          
Remaining repurchase amount     $ 0     $ 0   $ 0    
Senior Notes (Unsecured) | 2034 Senior Notes                    
Debt instrument                    
Initial investment amount $ 350,000,000 $ 400,000,000                
Debt instrument, interest rate, stated percentage   7.00% 7.00%     7.00%   7.00%    
Proceeds from issuance of debt 347,000,000 $ 393,000,000                
Unamortized premium 2,000,000                  
Repayments of debt   449,000,000                
Debt issuance costs $ 5,000,000 $ 7,000,000                
Revolving Credit Facility | Line of Credit                    
Debt instrument                    
Line of credit facility, maximum borrowing capacity     $ 1,460,000,000     $ 1,460,000,000   $ 1,460,000,000    
Line of credit facility, remaining borrowing capacity     1,279,000,000     1,279,000,000   1,279,000,000    
Basis spread on variable rate, reduction       0.25%            
Basis spread on variable rate, incremental reduction       0.10%            
Borrowing base       $ 1,500,000,000            
Letter of Credit | Line of Credit                    
Debt instrument                    
Line of credit facility, maximum borrowing capacity     300,000,000     300,000,000   300,000,000    
Letters of credit outstanding, amount     $ (181,000,000)     $ (181,000,000)   $ (181,000,000)