v3.26.1
Investments In Securities and Fair Value (Schedule of Cost-method Investments) (Details) - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
Fair​Value​Assets​Measured​On​Nonrecurring​Basis​Reconciliation​Calculation​Roll​Forward [Line Items]    
Equity investments in unconsolidated affiliates, measurement alternative $ 14,502 $ 7,863
Notes receivable, fair value disclosure 730 891
Other assets, fair value disclosure 15,232 8,754
Level 1    
Fair​Value​Assets​Measured​On​Nonrecurring​Basis​Reconciliation​Calculation​Roll​Forward [Line Items]    
Equity investments in unconsolidated affiliates, measurement alternative 0 0
Notes receivable, fair value disclosure 0 0
Other assets, fair value disclosure 0 0
Level 2    
Fair​Value​Assets​Measured​On​Nonrecurring​Basis​Reconciliation​Calculation​Roll​Forward [Line Items]    
Equity investments in unconsolidated affiliates, measurement alternative 0 0
Notes receivable, fair value disclosure 0 0
Other assets, fair value disclosure 0 0
Level 3    
Fair​Value​Assets​Measured​On​Nonrecurring​Basis​Reconciliation​Calculation​Roll​Forward [Line Items]    
Equity investments in unconsolidated affiliates, measurement alternative 14,502 7,863
Notes receivable, fair value disclosure 730 891
Other assets, fair value disclosure $ 15,232 $ 8,754