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

Schedule I - Condensed Balance Sheets (Details)

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Schedule I - Condensed Balance Sheets (Details) - USD ($)
$ in Thousands
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Current assets:        
Cash and cash equivalents $ 305,004 $ 261,758 $ 218,120 $ 298,529
Other current assets 109,520 97,413    
Total current assets 717,737 722,208    
Non-current assets:        
Deferred tax asset 62,625 67,689    
Total assets 3,534,812 3,620,658    
Current liabilities:        
Long-term debt, current portion 36,676 12,944    
Other current liabilities 148,340 159,239    
Total current liabilities 433,033 445,490    
Non-current liabilities:        
Long-term debt, net 875,469 868,055    
Other non-current liabilities 195,975 223,528    
Total liabilities 3,167,573 3,243,792    
Series A redeemable preferred stock 100,000 100,000    
Shareholders' equity 267,239 276,866    
Total liabilities, redeemable preferred stock and shareholders' equity 3,534,812 3,620,658    
Parent Company        
Current assets:        
Cash and cash equivalents 2,577 25,137    
Other current assets 15,017 13,885    
Total current assets 17,594 39,022    
Non-current assets:        
Investment in subsidiaries 409,170 373,753    
Loans to subsidiaries 420,000 450,000    
Deferred tax asset 2,780 2,384    
Total assets 849,544 865,159    
Current liabilities:        
Long-term debt, current portion 556 587    
Other current liabilities 4,889 11,363    
Total current liabilities 5,445 11,950    
Non-current liabilities:        
Long-term debt, net 446,137 445,263    
Loans from subsidiaries 30,000 30,000    
Other non-current liabilities 723 1,080    
Total liabilities 482,305 488,293    
Series A redeemable preferred stock 100,000 100,000    
Shareholders' equity 267,239 276,866    
Total liabilities, redeemable preferred stock and shareholders' equity $ 849,544 $ 865,159