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Supplemental Balance Sheet and Cash Flow Information - Schedule of Supplemental Cash Flow Information (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Non-cash investing activities:    
Issuance of notes receivable $ 7,142 $ 9,553
Collection of notes receivable 1,734 1,884
Capital expenditures 1,693 908
Non-cash financing activities:    
Exchange of THG units for shares of Class A Common Stock (Refer to Note 16) 698 234
Issuance of shares of Class A Common Stock resulting from the vesting of RSUs (Refer to Note 17) 100 100
Cash paid for interest 2,701 1,807
Cash paid for income taxes $ 230 $ 101