v3.26.3
Fair Value Measurement - Schedule of EBP, Investment, Fair Value And NAV (Details) (Parenthetical) - EBP 002 [Member]
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Short-term investment funds [Member]    
EBP, Investment, Fair Value and NAV [Line Items]    
Participant Redemption Notice Period
Plan Sponsor Redemption Notice Period 15 days 15 days
Equity common/collective trust funds [Member]    
EBP, Investment, Fair Value and NAV [Line Items]    
Participant Redemption Notice Period
Equity common/collective trust funds [Member] | Maximum [Member]    
EBP, Investment, Fair Value and NAV [Line Items]    
Plan Sponsor Redemption Notice Period 15 days 15 days
Equity common/collective trust funds [Member] | Minimum [Member]    
EBP, Investment, Fair Value and NAV [Line Items]    
Plan Sponsor Redemption Notice Period 3 days 3 days
U.S. bond common/collective trust funds [Member]    
EBP, Investment, Fair Value and NAV [Line Items]    
Participant Redemption Notice Period
Plan Sponsor Redemption Notice Period 15 days 15 days
Non-U.S. bond common/collective trust funds [Member]    
EBP, Investment, Fair Value and NAV [Line Items]    
Participant Redemption Notice Period
Plan Sponsor Redemption Notice Period 15 days 15 days
Target date common/collective trust funds [Member]    
EBP, Investment, Fair Value and NAV [Line Items]    
Participant Redemption Notice Period
Plan Sponsor Redemption Notice Period 3 days 3 days