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Equity-based Awards - Summary of Information Regarding Restricted Stock Units (Detail) - $ / shares
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Restricted stock units | TSUs    
Equity-based Awards    
Outstanding, Number of Units, Beginning Balance 1,502,556 1,074,420
Granted, Number of Units 713,689 [1] 963,027
Forfeited, Number of Units (72,095) (52,485)
Vested, Number of Units (812,694) (482,406)
Outstanding, Number of Units, Ending Balance 1,331,456 1,502,556
Outstanding, Weighted-Average Grant Date Fair Value per unit, Beginning balance [2] $ 3.82 $ 3.66
Granted, Weighted-Average Grant Date Fair Value per Unit [2] 8.07 [1] 4.05
Forfeited, Weighted-Average Grant Date Fair Value per Unit [2] 6.05 4.30
Vested, Weighted-Average Grant Date Fair Value per Unit [2] 4.16 3.85
Outstanding, Weighted-Average Grant Date Fair Value per unit, Ending balance [2] $ 5.77 $ 3.82
Management Incentive Plan | PSUs and PRSUs    
Equity-based Awards    
Outstanding, Number of Units, Beginning Balance 380,512 262,317
Granted, Number of Units 321,436 189,904
Forfeited, Number of Units (144,567) (22,614)
Vested, Number of Units (154,680) (49,095)
Outstanding, Number of Units, Ending Balance 402,701 380,512
Outstanding, Weighted-Average Grant Date Fair Value per unit, Beginning balance $ 4.28 $ 2.14
Granted, Weighted-Average Grant Date Fair Value per Unit 10.59 6.20
Forfeited, Weighted-Average Grant Date Fair Value per Unit 6.55 2.57
Vested, Weighted-Average Grant Date Fair Value per Unit 2.20 1.24
Outstanding, Weighted-Average Grant Date Fair Value per unit, Ending balance $ 9.31 $ 4.28
[1] The aggregate grant date fair value of TSUs issued for the year ended December 31, 2023 was $5.8 million based on a grant date market price ranging from $6.52 to $8.91 per share.
[2] Determined by dividing the aggregate grant date fair value of awards by the number of awards issued.