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Financial Instruments and Risk Concentration (Details)
12 Months Ended
Dec. 31, 2025
Nov. 10, 2025
Dec. 31, 2024
1.75% senior exchangeable notes due June 2029      
Financial Instruments and Risk Concentration      
Interest rate (as a percent) 1.75%   1.75%
7.50% senior guaranteed notes due January 2028      
Financial Instruments and Risk Concentration      
Interest rate (as a percent) 7.50%   7.50%
8.875% Senior Guaranteed Notes due August 2031      
Financial Instruments and Risk Concentration      
Interest rate (as a percent) 8.875%   8.875%
7.625% senior priority guaranteed notes due November 2032      
Financial Instruments and Risk Concentration      
Interest rate (as a percent) 7.625% 7.625%  
9.125% senior priority guaranteed notes      
Financial Instruments and Risk Concentration      
Interest rate (as a percent) 9.125%   9.125%
Net accounts receivables | Credit Concentration Risk | Saudi Arabia      
Financial Instruments and Risk Concentration      
Concentration risk (as a percent) 29.00%    
Net accounts receivables | Credit Concentration Risk | Mexico      
Financial Instruments and Risk Concentration      
Concentration risk (as a percent) 15.00%    
Net accounts receivables | Credit Concentration Risk | U.S.      
Financial Instruments and Risk Concentration      
Concentration risk (as a percent) 13.00%