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Commitments and Contingencies - Letters of Credit (Details) - USD ($)
$ in Thousands
Sep. 30, 2023
Dec. 31, 2022
Other Commitments [Line Items]    
Cash-collateralized letter of credit $ 80,312 $ 169,868
Cash and cash equivalents [1] $ 557,384 348,498
3.04% Senior Secured Notes due June 2031 | Senior Secured Notes    
Other Commitments [Line Items]    
Interest rate 3.04%  
Variable Interest Entity, Primary Beneficiary    
Other Commitments [Line Items]    
Cash and cash equivalents   5,008
Variable Interest Entity, Primary Beneficiary | PPA II    
Other Commitments [Line Items]    
Cash-collateralized letter of credit $ 40,400 69,100
Variable Interest Entity, Primary Beneficiary | PPA Company 5    
Other Commitments [Line Items]    
Cash-collateralized letter of credit 32,300 $ 84,300
Variable Interest Entity, Primary Beneficiary | PPA Company 5 | KOREA, REPUBLIC OF    
Other Commitments [Line Items]    
Cash-collateralized letter of credit $ 60,400  
[1] We have a variable interest entity related to PPA V (see Note 10 - Portfolio Financings) and a joint venture in the Republic of Korea (see Note 16 - SK ecoplant Strategic Investment), which represent a portion of the consolidated balances recorded within these financial statement line items.In August 2023, we sold the PPA V entity as a result of the PPA V Repowering of Energy Servers (see Note 10 - Portfolio Financings), as such the consolidated balances recorded within these financial statement line items as of September 30, 2023 exclude PPA V balances.