Annual report pursuant to Section 13 and 15(d)

Fair Value Measurements - Fair Value of Assets and Liabilities Measured on Recurring Basis (Details)

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Fair Value Measurements - Fair Value of Assets and Liabilities Measured on Recurring Basis (Details) - USD ($)
$ in Thousands
Dec. 31, 2023
Dec. 31, 2022
Level 1 | Fair Value, Recurring    
Derivative Assets    
Total net assets $ 0  
Derivative Liabilities    
Total net assets (liabilities) 0  
Level 2 | Fair Value, Recurring    
Derivative Assets    
Total net assets 24,437  
Derivative Liabilities    
Total net assets (liabilities) (54,027)  
Level 3 | Fair Value, Recurring    
Derivative Assets    
Total net assets 0  
Derivative Liabilities    
Total net assets (liabilities) 0  
Commodity derivative assets | Level 1 | Fair Value, Recurring    
Derivative Assets    
Total net assets 0 $ 0
Derivative Liabilities    
Total net assets (liabilities) 0 0
Commodity derivative assets | Level 2 | Fair Value, Recurring    
Derivative Assets    
Total net assets 11,857 21,786
Derivative Liabilities    
Total net assets (liabilities) (11,647) (29,612)
Commodity derivative assets | Level 3 | Fair Value, Recurring    
Derivative Assets    
Total net assets 0 0
Derivative Liabilities    
Total net assets (liabilities) 0 0
Contingent consideration arrangements | Level 1 | Fair Value, Recurring    
Derivative Assets    
Total net assets 0  
Derivative Liabilities    
Total net assets (liabilities) 0  
Contingent consideration arrangements | Level 2 | Fair Value, Recurring    
Derivative Assets    
Total net assets 12,580  
Derivative Liabilities    
Total net assets (liabilities) (42,380)  
Contingent consideration arrangements | Level 3 | Fair Value, Recurring    
Derivative Assets    
Total net assets 0  
Derivative Liabilities    
Total net assets (liabilities) $ 0  
Commodity derivative instruments | Not Designated as Hedging Instrument    
Derivative Liabilities    
Financial guarantee contracts deferred premium   $ 4,100