Annual report [Section 13 and 15(d), not S-K Item 405]

Acquisitions - Summary of Details of Business Combination (Details)

v3.25.4
Acquisitions - Summary of Details of Business Combination (Details) - USD ($)
$ in Thousands
Jun. 06, 2023
Mar. 01, 2023
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Business Acquisition [Line Items]          
Goodwill     $ 299,973 $ 299,973 $ 292,173
Transit Energy Group [Member]          
Business Acquisition [Line Items]          
Cash   $ 26,796      
GPMP Capital One Line of Credit   55,000      
Liability resulting from deferred purchase price   45,886      
Receivable from TEG   (156)      
Consideration provided by Blue Owl   258,019      
Total consideration   385,545      
Cash and cash equivalents   379      
Inventory   20,259      
Other assets   1,304      
Property and equipment, net   266,387      
Intangible assets   17,200      
Right-of-use assets under operating leases   69,254      
Environmental receivables   2,664      
Deferred tax asset   20,404      
Total assets   397,851      
Other liabilities   (2,086)      
Environmental liabilities   (2,939)      
Asset retirement obligations   (10,923)      
Operating leases   (57,569)      
Total liabilities   (73,517)      
Total identifiable net assets   324,334      
Goodwill   61,211      
Consideration paid in cash by the Company   81,796      
Less: cash and cash equivalent balances acquired   (379)      
Net cash outflow   $ 339,436      
WTG Fuels Holdings [Member]          
Business Acquisition [Line Items]          
Cash $ 11,396        
GPMP Capital One Line of Credit 19,200        
Consideration provided by Blue Owl 115,041        
Total consideration 145,637        
Cash and cash equivalents 60        
Inventory 5,694        
Other assets 149        
Property and equipment, net 108,522        
Intangible assets 14,440        
Right-of-use assets under operating leases 2,934        
Environmental receivables 4        
Deferred tax asset 5,865        
Total assets 137,668        
Other liabilities (598)        
Environmental liabilities (136)        
Asset retirement obligations (6,820)        
Operating leases (2,073)        
Total liabilities (9,627)        
Total identifiable net assets 128,041        
Goodwill 17,596        
Consideration paid in cash by the Company 30,596        
Less: cash and cash equivalent balances acquired (60)        
Net cash outflow $ 145,577