Annual report [Section 13 and 15(d), not S-K Item 405]

LONG-TERM DEBT - Narrative (Details)

v3.25.4
LONG-TERM DEBT - Narrative (Details)
$ / shares in Units, $ in Thousands
3 Months Ended 12 Months Ended
Oct. 22, 2025
USD ($)
Sep. 15, 2025
USD ($)
day
$ / shares
Dec. 03, 2024
USD ($)
day
$ / shares
Nov. 25, 2024
USD ($)
Jul. 11, 2024
USD ($)
Jan. 19, 2023
USD ($)
Dec. 31, 2024
USD ($)
Dec. 31, 2025
USD ($)
$ / Unit
Dec. 31, 2024
USD ($)
Dec. 31, 2023
USD ($)
Debt Instrument                    
Proceeds from convertible debt               $ 225,000 $ 0 $ 0
Total cash paid for debt repurchase               285,752 0 0
Loss on settlement of debt             $ 3,200 32,644 10,148 0
Debt issuance amortization expense               2,500 2,600 3,000
Payment for capped calls               26,888 0 0
Convertible Debt                    
Debt Instrument                    
Unamortized balance of deferred financing costs             6,331 8,549 6,331  
Convertible Senior Notes Due 2031 | Convertible Debt                    
Debt Instrument                    
Debt face amount   $ 225,000                
Proceeds from convertible debt   $ 216,700                
Debt instrument, convertible, conversion ratio   0.0182243                
Initial conversion price (in dollars per share) | $ / shares   $ 54.87                
Debt instrument, convertible, threshold percentage   130.00%                
Debt instrument, convertible, threshold trading days | day   5                
Debt instrument, convertible, threshold consecutive trading days | day   20                
Debt instrument, convertible, trading day period   30 days                
Unamortized balance of deferred financing costs             0 7,526 0  
Convertible debt, fair value               $ 264,100    
Capped calls, cap price (in dollars per unit) | $ / Unit               83.41    
Payment for capped calls               $ 26,900    
Convertible Senior Notes Due 2030 | Convertible Debt                    
Debt Instrument                    
Debt face amount     $ 165,000              
Debt instrument, interest rate, stated percentage     5.50%              
Debt instrument, convertible, conversion ratio     0.0436814              
Initial conversion price (in dollars per share) | $ / shares     $ 22.89              
Debt instrument, convertible, threshold percentage     130.00%              
Debt instrument, convertible, threshold trading days | day     20              
Debt instrument, convertible, threshold consecutive trading days | day     30              
Proceeds from convertible debt issuance used for repurchase               189,800    
Proceeds from line of credit facility used for repurchase               85,000    
Cash used for debt repurchase               11,000    
Debt repurchase amount               132,000    
Total cash paid for debt repurchase               285,800    
Loss on settlement of debt               32,600    
Reduction of unamortized debt issuance costs               4,300    
Reduction in equity               125,500    
Interest expense               12,600 22,000 $ 23,300
Unamortized balance of deferred financing costs             6,331 1,023 6,331  
Convertible debt, fair value             176,900 84,800 176,900  
Secured Debt | Term Loan Facility | Line of Credit                    
Debt Instrument                    
Maximum borrowing capacity         $ 55,000 $ 90,000        
Repayments of debt     $ 54,900              
Debt instrument, call premium percentage     3.00%              
Secured Debt | Term Loan Facility | Line of Credit | SOFR                    
Debt Instrument                    
Basis spread on variable rate           8.75%        
Secured Debt | Term Loan Facility | Line of Credit | SOFR | Minimum                    
Debt Instrument                    
Basis spread on variable rate         5.50%          
Secured Debt | Term Loan Facility | Line of Credit | SOFR | Maximum                    
Debt Instrument                    
Basis spread on variable rate         6.75%          
Secured Debt | Term Loan Facility | Line of Credit | SOFR Floor                    
Debt Instrument                    
Basis spread on variable rate           2.50%        
Revolving Credit Facility | Seventh Amended and Restated Credit Agreement | Line of Credit                    
Debt Instrument                    
Maximum borrowing capacity       $ 220,000 $ 200,000          
Revolving Credit Facility | Seventh Amended and Restated Credit Agreement | Line of Credit | Minimum                    
Debt Instrument                    
Commitment fee percentage       0.25%            
Revolving Credit Facility | Seventh Amended and Restated Credit Agreement | Line of Credit | Maximum                    
Debt Instrument                    
Commitment fee percentage       0.375%            
Revolving Credit Facility | Seventh Amended and Restated Credit Agreement | Line of Credit | SOFR                    
Debt Instrument                    
Basis spread on variable rate       0.10%            
Revolving Credit Facility | Seventh Amended and Restated Credit Agreement | Line of Credit | SOFR | Minimum                    
Debt Instrument                    
Basis spread on variable rate       2.75% 2.50%          
Revolving Credit Facility | Seventh Amended and Restated Credit Agreement | Line of Credit | SOFR | Maximum                    
Debt Instrument                    
Basis spread on variable rate       3.25% 3.00%          
Revolving Credit Facility | Seventh Amended and Restated Credit Agreement | Line of Credit | SOFR Floor                    
Debt Instrument                    
Basis spread on variable rate       1.00%            
Revolving Credit Facility | ABL Revolving Credit Facility | Line of Credit                    
Debt Instrument                    
Covenant, minimum fixed charge coverage ratio       1.10            
Debt instrument, covenant, minimum amount percentage       10.00%            
Debt Instrument, covenant, minimum amount       $ 15,000            
Amounts outstanding under revolving line of credit             10,000   10,000  
Remaining capacity under the credit facility             209,700   209,700  
Loss on settlement of debt                 10,100  
Prepayment fees                 4,500  
Unamortized balance of deferred financing costs             $ 3,000   3,000  
Revolving Credit Facility | ABL Revolving Credit Facility | Line of Credit | Interest Income (Expense), Nonoperating                    
Debt Instrument                    
Fees written off               600 500  
Revolving Credit Facility | ABL Revolving Credit Facility | Line of Credit | Gain (Loss) On Settlement Of Debt                    
Debt Instrument                    
Fees written off                 $ 5,600  
Revolving Credit Facility | Senior Secured, Cash Flow-Based Revolving Credit Facility | Line of Credit                    
Debt Instrument                    
Maximum borrowing capacity $ 300,000                  
Amounts outstanding under revolving line of credit               85,000    
Remaining capacity under the credit facility               212,800    
Net leverage ratio, maximum 4.50                  
Interest coverage ratio, minimum 3.50                  
Secured net leverage ratio, maximum 3.00                  
Increase in borrow $ 100,000                  
Unamortized balance of deferred financing costs               $ 3,000    
Revolving Credit Facility | Senior Secured, Cash Flow-Based Revolving Credit Facility | Line of Credit | Fiscal Quarter Ending December 31, 2025                    
Debt Instrument                    
Net leverage ratio, maximum 4.75                  
Revolving Credit Facility | Senior Secured, Cash Flow-Based Revolving Credit Facility | Line of Credit | Minimum                    
Debt Instrument                    
Basis spread on variable rate 1.25%                  
Unused capacity, commitment fee 0.20%                  
Revolving Credit Facility | Senior Secured, Cash Flow-Based Revolving Credit Facility | Line of Credit | Maximum                    
Debt Instrument                    
Basis spread on variable rate 2.125%                  
Unused capacity, commitment fee 0.35%