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Supplemental Balance Sheet, Income Statement and Cash Flow Information - Other, net (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Other, net      
(Gains) losses on sales, disposals and involuntary conversions of long-lived assets $ (46,872) $ 26,358 $ 13,923
Asset impairment 26,456    
Transaction related costs 19,858 6,763  
Other than temporary impairment on investment 15,182 26,080 8,293
Energy transition initiatives 1,062 1,260 6,502
Severance and reorganization costs 24,557 4,016 2,256
Warrant and derivative valuation (8,359) (16,894) (54,948)
Litigation expenses and reserves 480 6,284 26,451
Foreign currency transaction losses 5,674 28,149 37,285
Loss (gain) on debt buyback 15,538 14,857 (25,274)
Other losses (gains) 12,226 9,943 (15,214)
Total other, net $ 65,802 $ 106,816 $ (726)