v3.26.1
Fair Value Measurements - Fair Value of Financial Instruments (Details) - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
Fair Value Disclosures [Abstract]    
Cash and cash equivalents - Book Value $ 352,624 $ 402,783
Cash and cash equivalents - Fair Value 352,624 402,783
Restricted cash - Book Value 189 186
Restricted cash - Fair Value 189 186
Other investments - Book Value 116,480 10,483
Other investments - Fair Value 116,480 10,483
Amounts due from related parties, short-term - Book Value 1,960 1,720
Amounts due from related parties, short-term - Fair Value 1,960 1,720
Amounts due from related parties, long-term - Book Value 7,142 7,142
Amounts due from related parties, long-term - Fair Value 7,142 7,142
Amounts due to related parties, short-term - Book Value (36,221) (23,484)
Amounts due to related parties, short-term - Fair Value (36,221) (23,484)
Senior unsecured bonds, net - Book Value 324,906 294,392
Senior unsecured bonds, net - Fair Value (338,587) (299,814)
Credit facilities and financial liabilities, including current portion, net - Book Value (1,627,843) (1,535,334)
Credit facilities and financial liabilities, including current portion, net - Fair Value (1,649,725) (1,557,238)
Fair value of derivatives, including current portion, Book Value (565) (2,261)
Fair value of derivatives, including current portion, Fair Value $ (565) $ (2,261)