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Fair Value Measurement (Tables)
12 Months Ended
Dec. 31, 2025
Fair Value Disclosures [Abstract]  
Schedule of fair value of financial instruments

Successor

Consolidated

Carrying

Fair

Fair Value Measurements

As of December 31, 2025

  ​ ​ ​

Amount

  ​ ​ ​

Value

  ​ ​ ​

Level 1

  ​ ​ ​

Level 2

  ​ ​ ​

Level 3

Long-term debt

$

353,267

$

330,699

$

$

330,699

$

Current portion of long-term debts

34,334

34,334

34,334

Private Warrants liability

3

3

3

Predecessor

Combined and Consolidated

  ​ ​ ​

Carrying

Fair

  ​ ​ ​

Fair Value Measurements

As of December 31, 2024

  ​ ​ ​

Amount

  ​ ​ ​

Value

  ​ ​ ​

Level 1

  ​ ​ ​

Level 2

  ​ ​ ​

Level 3

Long-term debt

$

1,468

$

1,468

$

$

1,468

$

Current portion of long-term debts

1,433,484

267,781

267,781

Schedule of net assets and liabilities classified as level 3 for reconciliation

Successor

Consolidated

Period from August 1, 2025 through
December 31,

  ​ ​ ​

2025

Balance as at August 1, 2025

$

9

Reduction in the fair value of the Private Warrants liability

(6)

Balance as at December 31, 2025

 

3