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Supplemental Balance Sheet and Cash Flow Information - Schedule of Supplemental Cash Flow Information (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Non-cash investing activities:      
Issuance of notes receivable $ 12,132 $ 6,229 $ 6,492
Collection of notes receivable 4,669 8,084 6,094
Capital expenditures 1,693 723 282
Acquisitions and investments 0 0 2,142
Termination of MHH Joint Venture (Refer to Note 12) 0 0 2,929
Non-cash financing activities:      
Loss related to warrant liabilities, net 0 2,006 0
Exchange of THG units for shares of Class A Common Stock (Refer to Note 20) 16,996 3,227 2,311
Deferred tax assets and TRA liabilities recorded upon exchange of THG units for shares of Class A Common Stock (Refer to Note 23) 1,318 0 0
Issuance of shares of Class A Common Stock resulting from the vesting of RSUs (Refer to Note 21) 12,101 18,621 9,975
Cash paid for interest 10,160 8,613 6,126
Cash paid for income taxes      
Federal 15,900    
State 447    
Foreign 63    
Total cash paid for income taxes $ 16,410 $ 17,900 $ 10,500