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Debt - Narrative (Details) - USD ($)
3 Months Ended 6 Months Ended
Dec. 09, 2021
Dec. 09, 2021
Dec. 03, 2021
Oct. 14, 2020
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2024
Jun. 30, 2023
Dec. 31, 2023
Short-Term Debt [Line Items]                  
Debt         $ 698,701,000   $ 698,701,000   $ 703,064,000
Debt discount and issuance costs         $ 17,958,000   $ 17,958,000   20,644,000
Equity compensation anti-dilutive securities (in shares)         479,623 52,609 473,074 57,263  
STI                  
Short-Term Debt [Line Items]                  
Other long-term debt         $ 37,700,000   $ 37,700,000    
STI | Euro                  
Short-Term Debt [Line Items]                  
Other long-term debt         28,700,000   28,700,000    
STI | Brazilian Real                  
Short-Term Debt [Line Items]                  
Other long-term debt         9,000,000.0   9,000,000.0    
Convertible notes                  
Short-Term Debt [Line Items]                  
Debt         425,000,000   425,000,000   425,000,000
Carrying value         416,573,000   $ 416,573,000   415,632,000
Equity compensation anti-dilutive securities (in shares)             0 0  
Other debt                  
Short-Term Debt [Line Items]                  
Debt         $ 37,676,000   $ 37,676,000   39,889,000
Minimum | Other debt | STI                  
Short-Term Debt [Line Items]                  
Stated interest rate (as a percent)         0.40%   0.40%    
Maximum | Other debt | STI                  
Short-Term Debt [Line Items]                  
Stated interest rate (as a percent)         15.17%   15.17%    
Senior Secured Credit Facility                  
Short-Term Debt [Line Items]                  
Debt         $ 236,025,000   $ 236,025,000   238,175,000
Convertible Senior Notes due 2028 | Convertible notes                  
Short-Term Debt [Line Items]                  
Debt discount and issuance costs         $ 8,400,000   $ 8,400,000   9,400,000
Bridge loan facility aggregate principal amount $ 425,000,000 $ 425,000,000              
Stated interest rate (as a percent) 1.00% 1.00% 1.00%            
Proceeds from convertible debt $ 413,300,000 $ 48,600,000 $ 364,700,000            
Debt instrument, interest rate, effective percentage discount (as a percent) 2.75% 2.75% 2.75%            
Debt instrument, annual interest rate (as a percent)         1.00%   1.00%    
Convertible notes         $ 425,000,000.0   $ 425,000,000.0   425,000,000.0
Carrying value         416,600,000   $ 416,600,000   415,600,000
Convertible Senior Notes due 2028 | Convertible notes | Common Stock                  
Short-Term Debt [Line Items]                  
Conversion of stock, shares converted per dollar (in shares)             41.9054    
Convertible notes payable         $ 1,000   $ 1,000    
Convertible note, conversion price (in dollar per share)         $ 23.86   $ 23.86    
Debt conversion, converted instrument, shares issued (in shares)             10,100,000    
Convertible Senior Notes due 2028, $375 Million | Convertible notes                  
Short-Term Debt [Line Items]                  
Bridge loan facility aggregate principal amount     $ 375,000,000            
Convertible Senior Notes due 2028, $50 Million | Convertible notes                  
Short-Term Debt [Line Items]                  
Bridge loan facility aggregate principal amount $ 50,000,000 $ 50,000,000              
Convertible Note Capped Call Transactions                  
Short-Term Debt [Line Items]                  
Debt conversion, converted instrument, shares issued (in shares)             17,800,000    
Fees paid on issuance of convertible notes             $ 52,900,000    
Derivatives, cap price (in dollars per share)         36.02   $ 36.02    
Derivatives, exercise price (in dollars per share)         $ 23.86   $ 23.86    
Term loan facility                  
Short-Term Debt [Line Items]                  
Debt instrument term       7 years          
Debt         $ 236,000,000   $ 236,000,000   238,200,000
Debt discount and issuance costs         $ 9,500,000   $ 9,500,000   11,300,000
Debt issuance costs and discounts, amortization rate (as a percent)         10.27%   10.27%    
Term loan facility | Senior Secured Credit Facility                  
Short-Term Debt [Line Items]                  
Maximum borrowing capacity       $ 575,000,000          
Term loan facility | Secured Overnight Financing Rate (SOFR)                  
Short-Term Debt [Line Items]                  
Revolving loan applicable margin (as a percent)             3.25%    
Revolving loan applicable margin, floor (as a percent)             0.50%    
Term loan facility | Secured Overnight Financing Rate (SOFR) Plus 1%                  
Short-Term Debt [Line Items]                  
Revolving loan applicable margin (as a percent)             2.25%    
Revolving loan applicable margin, floor (as a percent)             1.00%    
Revolving credit facility                  
Short-Term Debt [Line Items]                  
Debt instrument term       5 years          
Debt         $ 0   $ 0   0
Available borrowing capacity         184,100,000   $ 184,100,000   175,200,000
Revolving credit facility | Senior Secured Credit Facility                  
Short-Term Debt [Line Items]                  
Maximum borrowing capacity       $ 200,000,000          
Revolving credit facility | Secured Overnight Financing Rate (SOFR)                  
Short-Term Debt [Line Items]                  
Revolving loan applicable margin (as a percent)             3.25%    
Revolving credit facility | Secured Overnight Financing Rate (SOFR) Plus 1%                  
Short-Term Debt [Line Items]                  
Revolving loan applicable margin (as a percent)             2.25%    
Revolving loan applicable margin, floor (as a percent)             1.00%    
Standby Letters of Credit                  
Short-Term Debt [Line Items]                  
Letters of credit outstanding         $ 15,900,000   $ 15,900,000   $ 24,800,000