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Commitments and Contingencies (Tables)
12 Months Ended
Dec. 31, 2025
Commitments and Contingencies Disclosure [Abstract]  
Summary of the Company's commitments, excluding contingent consideration

A summary of the Company’s commitments as of December 31, 2025, is provided in the following table:

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(in thousands)

  ​ ​ ​

2026

  ​ ​ ​

2027

  ​ ​ ​

2028

  ​ ​ ​

2029

  ​ ​ ​

2030

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Thereafter

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Total

Temple Term Loan Facility

 

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10,000

 

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10,000

 

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381,883

 

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—

 

​

—

 

​

—

 

​

401,883

Temple Revolving Facility

 

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—

 

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—

 

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60,000

 

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—

 

​

—

 

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—

 

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60,000

Interest payable

 

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10,104

 

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—

 

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—

 

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—

 

​

—

 

​

—

 

​

10,104

BKV-BPP Power commitment agreements

 

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5,647

 

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4,891

 

​

401

 

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—

 

​

—

 

​

—

 

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10,939

Temple I Loan Agreements

 

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191,000

 

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—

 

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—

 

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—

 

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—

 

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—

 

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191,000

Interest payable on Temple I Loan Agreements

 

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2,969

 

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—

 

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—

 

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—

 

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—

 

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—

 

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2,969

Operating lease payments

 

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6,216

 

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1,139

 

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924

 

​

947

 

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978

 

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2,684

 

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12,888

Transportation commitments

 

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70,249

 

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62,062

 

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53,909

 

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34,257

 

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5,913

 

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33,016

 

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259,406

Total

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$

296,185

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$

78,092

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$

497,117

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$

35,204

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$

6,891

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$

35,700

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$

949,189

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