Quarterly report [Sections 13 or 15(d)]

VARIABLE INTEREST ENTITIES AND EQUITY METHOD INVESTMENTS (Tables)

v3.26.1
VARIABLE INTEREST ENTITIES AND EQUITY METHOD INVESTMENTS (Tables)
6 Months Ended
Jun. 30, 2026
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Summary of Variable Interest Entities
The table below presents a summary of amounts related to our consolidated investment funds and joint ventures, which we determined meet the definition of a variable interest entity (“VIE”), as of:
June 30, 2026
December 31, 2025 (1)
Total VIEs
Investment Funds
Other VIEs
Total VIEs
Cash and cash equivalents
$
60,629 
$
68 
$
7,574 
$
7,642 
Restricted cash
26,967 
— 
14,025 
14,025 
Accounts receivable, net
20,164 
139 
32,657 
32,796 
Unbilled revenue
243,227 
— 
138,200 
138,200 
Prepaid expenses and other current assets
18,322 
— 
17,874 
17,874 
Income taxes receivable
4,499 
— 
3,056 
3,056 
Project development costs, net
30 
— 
Total VIE current assets
373,838 
207 
213,387 
213,594 
Property and equipment, net
255 
— 
— 
— 
Energy assets, net
765,211 
21,517 
89,521 
111,038 
Deferred income tax assets, net
17,461 
— 
2,349 
2,349 
Intangible assets, net
4,061 
— 
— 
— 
Right-of-use assets, net
2,503 
458 
— 
458 
Restricted cash, non-current portion
4,632 
— 
1,745 
1,745 
Other assets
164 
— 
170 
170 
Total VIE assets
$
1,168,125 
$
22,182 
$
307,172 
$
329,354 
Current portions of long-term debt and financing lease liabilities
$
75,709 
$
— 
$
25,547 
$
25,547 
Accounts payable
196,097 
78 
143,437 
143,515 
Accrued expenses and other current liabilities
9,725 
26 
2,996 
3,022 
Current portions of operating lease liabilities
326 
14 
— 
14 
Deferred revenue
2,106 
— 
5,931 
5,931 
Income taxes payable
1,644 
— 
408 
408 
Total VIE current liabilities
285,607 
118 
178,319 
178,437 
Long-term debt and financing lease liabilities, net of current portion, unamortized discount and debt issuance costs
435,912 
— 
— 
— 
Deferred income tax liability
19,600 
— 
— 
— 
Long-term operating lease liabilities, net of current portion
763 
445 
— 
445 
Other liabilities
2,376 
41 
391 
432 
Total VIE liabilities
$
744,258 
$
604 
$
178,710 
$
179,314 
(1) The amounts in the above table are reflected in Note 1 on our condensed consolidated balance sheets. As of June 30, 2026, there were no investment funds.
Summary of Equity Method Investments
The following table provides information about our equity and cost method investments in joint ventures:
As of
June 30, 2026
December 31, 2025
Equity and cost method investments
$
44,745 
$
45,883