Debt - Schedule of Revolving Credit Facility (Parenthetical) (Details) |
6 Months Ended | 12 Months Ended |
|---|---|---|
Jun. 30, 2026 |
Dec. 31, 2025 |
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| Debt Instrument [Line Items] | ||
| Debt Instrument, Term | 180 days | |
| Maturity Date | Oct. 27, 2039 | Aug. 24, 2039 |
| Revolving line of credit agreement | FMR LLC | ||
| Debt Instrument [Line Items] | ||
| Maturity Date | Jan. 27, 2026 | |
| 3M Term SOFR | ||
| Debt Instrument [Line Items] | ||
| Interest rate | 1.75% | |
| US 3M | ||
| Debt Instrument [Line Items] | ||
| Interest rate | 1.75% | 5.77% |
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- Definition Line items represent financial concepts included in a table. These concepts are used to disclose reportable information associated with domain members defined in one or many axes to the table. Reference 1: http://www.xbrl.org/2003/role/disclosureRef
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- Definition Date when the debt instrument is scheduled to be fully repaid, in YYYY-MM-DD format. Reference 1: http://www.xbrl.org/2003/role/disclosureRef
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- Definition Period between issuance and maturity of debt instrument, in 'PnYnMnDTnHnMnS' format, for example, 'P1Y5M13D' represents reported fact of one year, five months, and thirteen days. No definition available.
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- Definition The interest rate applicable to the portion of the carrying amount of long-term borrowings outstanding as of the balance sheet date, including current maturities, which accrues interest at a rate subject to change from time to time. Reference 1: http://www.xbrl.org/2009/role/commonPracticeRef
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