v3.26.1
Debt - Narrative (Details)
1 Months Ended 3 Months Ended 12 Months Ended
Mar. 26, 2026
USD ($)
$ / shares
Oct. 22, 2024
USD ($)
Jun. 26, 2024
USD ($)
Feb. 27, 2024
USD ($)
Jun. 23, 2023
USD ($)
Nov. 21, 2022
USD ($)
$ / shares
Feb. 03, 2022
USD ($)
$ / shares
Apr. 21, 2020
USD ($)
$ / shares
Jul. 31, 2023
USD ($)
Sep. 24, 2023
USD ($)
Jun. 29, 2025
USD ($)
day
Jun. 28, 2026
USD ($)
Mar. 18, 2026
$ / shares
Oct. 15, 2024
Oct. 11, 2024
USD ($)
Nov. 16, 2022
$ / shares
Jan. 31, 2022
$ / shares
Debt Instrument [Line Items]                                  
Share price (in dollars per share) | $ / shares                         $ 16.78        
Cap price (in USD per share) | $ / shares                               $ 202.538 $ 212.04
Cap price premium (as a percent)                               130.00% 125.00%
Unamortized discount and issuance costs                     $ (120,200,000) $ (94,500,000)          
Supply agreement, term                 10 years                
Convertible Notes                                  
Debt Instrument [Line Items]                                  
Threshold percentage of stock price trigger (as a percent)                     130.00%            
Threshold trading days | day                     20            
Threshold consecutive trading days | day                     30            
Convertible Notes | 1.5 Convertible Notes                                  
Debt Instrument [Line Items]                                  
Stated interest rate (as a percent) 3.50%                                
Debt instrument, face amount $ 379,000,000.0                                
Conversion price (USD per share) | $ / shares $ 20.14                                
Debt instrument, conversion premium, percent 0.200                                
Redemption price percentage (as a percent) 100.00%                                
Debt instrument, fundamental change, percent of common stock acquired 50.00%                                
Debt instrument, convertible, period prior to maturity 35 days                                
Unamortized discount and issuance costs                       $ (13,600,000)          
Conversion ratio (as a percent) 0.0496623                                
Convertible Notes | 1.5 Convertible Notes | Debt Conversion Terms One                                  
Debt Instrument [Line Items]                                  
Threshold percentage of stock price trigger (as a percent) 175.00%                                
Convertible Notes | 1.5 Convertible Notes | Debt Conversion Terms Two                                  
Debt Instrument [Line Items]                                  
Threshold percentage of stock price trigger (as a percent) 130.00%                                
Convertible Notes | Convertible Notes Due 2029                                  
Debt Instrument [Line Items]                                  
Debt instrument, face amount           $ 1,525,000,000                      
Conversion price (USD per share) | $ / shares           $ 118.88                      
Grace period                     30 days            
Payments of deferred financing costs           $ 1,718,600,000                      
Cash paid for capped call transactions           $ 273,900,000                      
Conversion ratio (as a percent)           0.0084118                      
Convertible Notes | Convertible Notes Due 2029 | Underwriters                                  
Debt Instrument [Line Items]                                  
Debt instrument, face amount           $ 225,000,000.0                      
Convertible Notes | Convertible Notes Due May 1, 2026, Excluding Over-Allotment Option                                  
Debt Instrument [Line Items]                                  
Debt instrument, face amount               $ 500,000,000.0                  
Convertible Notes | Convertible Notes Due May 1, 2026, Over-Allotment Option                                  
Debt Instrument [Line Items]                                  
Debt instrument, face amount               $ 75,000,000.0                  
Convertible Notes | Convertible Notes Due 2026                                  
Debt Instrument [Line Items]                                  
Conversion price (USD per share) | $ / shares               $ 47.32                  
Payments of deferred financing costs               $ 561,400,000                  
Conversion ratio (as a percent)               0.0211346                  
Convertible Notes | Convertible Notes Due 2028                                  
Debt Instrument [Line Items]                                  
Debt instrument, face amount             $ 650,000,000.0                    
Conversion price (USD per share) | $ / shares             $ 127.22                    
Payments of deferred financing costs             $ 732,300,000                    
Cash paid for capped call transactions             $ 108,200,000                    
Conversion ratio (as a percent)             0.0078602                    
Convertible Notes | Convertible Notes Due 2028 | Underwriters                                  
Debt Instrument [Line Items]                                  
Debt instrument, face amount             $ 100,000,000.0                    
Senior Notes | Senior Notes Due 2030                                  
Debt Instrument [Line Items]                                  
Debt instrument, face amount   $ 250,000,000.0     $ 1,250,000,000                   $ 750,000,000.0    
Payments of deferred financing costs   231,300,000     1,149,300,000                        
Unamortized discount and issuance costs   $ 10,000,000.0     $ 50,000,000.0                        
Unsecured Debt | Customer Refundable Deposit Agreement                                  
Debt Instrument [Line Items]                                  
Payments of deferred financing costs                   $ 1,000,000,000.0              
Maximum borrowing capacity                 $ 2,000,000,000.0                
Remaining borrowing capacity                 $ 1,000,000,000.0                
Repayment of prepaid deposits, percentage                 1.06                
Paid in kind interest rate                           15.00%      
Unsecured Debt | Customer Refundable Deposit Agreement | Variable Rate Component One                                  
Debt Instrument [Line Items]                                  
Basis spread on variable rate of debt instrument (as a percent)                 6.00%                
Unsecured Debt | Customer Refundable Deposit Agreement | Variable Rate Component Two | Minimum                                  
Debt Instrument [Line Items]                                  
Basis spread on variable rate of debt instrument (as a percent)                 10.00%                
Unsecured Debt | Customer Refundable Deposit Agreement | Variable Rate Component Two | Maximum                                  
Debt Instrument [Line Items]                                  
Basis spread on variable rate of debt instrument (as a percent)                 15.00%                
Unsecured Debt | Customer Refundable Deposit Agreement, Second Draw                                  
Debt Instrument [Line Items]                                  
Payments of deferred financing costs       $ 500,000,000.0                          
Unsecured Debt | Customer Refundable Deposit Agreement, Third Draw                                  
Debt Instrument [Line Items]                                  
Payments of deferred financing costs     $ 500,000,000.0