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Convertible Notes (Details) - Schedule of Key Terms of Convertible Notes
$ / shares in Units, $ in Thousands
3 Months Ended
Mar. 31, 2024
USD ($)
$ / shares
2023 Notes [Member]  
Schedule of Key Terms of Convertible Notes [Line Items]  
Principal outstanding | $ $ 130,000
Maturity date (unless earlier converted, repurchased or redeemed) Aug. 15, 2028
Interest rate 5.75%
Conversion price $ 9.54
Conversion rate 104.8658
Redemption price $ 12.4
2021 Notes [Member]  
Schedule of Key Terms of Convertible Notes [Line Items]  
Principal outstanding | $ $ 150,000
Maturity date (unless earlier converted, repurchased or redeemed) Jun. 15, 2026
Interest rate 3.25%
Conversion price $ 11.04
Conversion rate 90.5797
Redemption price $ 14.35