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Fair Value Measurements - Recurring (Details) - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2022
Dec. 31, 2021
Nov. 09, 2020
Fair Value Measurements      
Cash and cash equivalents $ 35,484 $ 33,461  
Marketable securities 127,566 148,327  
Derivative assets 101 239  
Derivative liabilities 83,794 236,291  
Energy Capital Facility      
Fair Value Measurements      
Derivative liabilities 28,100 69,400 $ 4,200
Recurring | Embedded conversion option | 2023 Notes      
Fair Value Measurements      
Derivative liabilities 328 5,817  
Recurring | Embedded conversion option | PHC Notes      
Fair Value Measurements      
Derivative liabilities 63,847 149,058  
Recurring | Embedded conversion option | 2025 Notes.      
Fair Value Measurements      
Derivative liabilities 19,947 81,417  
Recurring | Money market funds      
Fair Value Measurements      
Cash and cash equivalents 33,610 29,197  
Recurring | Corporate debt securities      
Fair Value Measurements      
Marketable securities 36,784 57,369  
Recurring | Commercial paper      
Fair Value Measurements      
Marketable securities 32,614 39,748  
Recurring | Asset backed Securities      
Fair Value Measurements      
Marketable securities 13,849 26,707  
Recurring | Government and agency securities      
Fair Value Measurements      
Marketable securities 44,319 24,503  
Recurring | PHC Option      
Fair Value Measurements      
Derivative assets 101 239  
Recurring | Put Or Call Option | Energy Capital Facility      
Fair Value Measurements      
Derivative liabilities 28,068 69,401  
Recurring | Level 1 | Money market funds      
Fair Value Measurements      
Cash and cash equivalents 33,610 29,197  
Recurring | Level 1 | Government and agency securities      
Fair Value Measurements      
Marketable securities 37,403 19,957  
Recurring | Level 2 | Embedded conversion option | 2023 Notes      
Fair Value Measurements      
Derivative liabilities 328    
Recurring | Level 2 | Embedded conversion option | 2025 Notes.      
Fair Value Measurements      
Derivative liabilities 19,947 81,417  
Recurring | Level 2 | Corporate debt securities      
Fair Value Measurements      
Marketable securities 36,784 57,369  
Recurring | Level 2 | Commercial paper      
Fair Value Measurements      
Marketable securities 32,614 39,748  
Recurring | Level 2 | Asset backed Securities      
Fair Value Measurements      
Marketable securities 13,849 26,707  
Recurring | Level 2 | Government and agency securities      
Fair Value Measurements      
Marketable securities 6,916 4,546  
Recurring | Level 3      
Reconciliation of items measured at fair value on a recurring basis that used significant unobservable inputs (Level 3)      
Balance at the beginning of the period 224,037    
Gain on fair value adjustment of option (41,333)    
Gain on change in fair value of derivatives (85,211)    
Financial asset (gain) impairment cost, net 138    
Change in fair value hierarchy classification (5,817)    
Balance at the end of the period 91,814    
Recurring | Level 3 | Embedded conversion option | 2023 Notes      
Fair Value Measurements      
Derivative liabilities   5,817  
Recurring | Level 3 | Embedded conversion option | PHC Notes      
Fair Value Measurements      
Derivative liabilities 63,847 149,058  
Recurring | Level 3 | PHC Option      
Fair Value Measurements      
Derivative assets 101 239  
Recurring | Level 3 | Put Or Call Option | Energy Capital Facility      
Fair Value Measurements      
Derivative liabilities $ 28,068 $ 69,401