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Concentration of Credit Risk (Details) - Medicare Advantage Payors
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Payor A | Revenue from Contract with Customer Benchmark      
Concentration Risk [Line Items]      
Concentration risk, percentage 17.00% 21.00% 22.00%
Payor B | Revenue from Contract with Customer Benchmark      
Concentration Risk [Line Items]      
Concentration risk, percentage 16.00% 18.00% 16.00%
Payor B | Receivables      
Concentration Risk [Line Items]      
Concentration risk, percentage   11.00%  
Payor C | Revenue from Contract with Customer Benchmark      
Concentration Risk [Line Items]      
Concentration risk, percentage 13.00% 10.00% 14.00%
Payor C | Receivables      
Concentration Risk [Line Items]      
Concentration risk, percentage 15.00% 12.00%  
Payor D | Receivables      
Concentration Risk [Line Items]      
Concentration risk, percentage 18.00% 13.00%  
Payor E | Revenue from Contract with Customer Benchmark      
Concentration Risk [Line Items]      
Concentration risk, percentage 10.00%   10.00%
Payor E | Receivables      
Concentration Risk [Line Items]      
Concentration risk, percentage 10.00% 15.00%  
Payor F | Receivables      
Concentration Risk [Line Items]      
Concentration risk, percentage 14.00%