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Debt (Tables)
12 Months Ended
Dec. 31, 2024
Debt Disclosure [Abstract]  
Schedule of total debt
The table below reflects the Company’s total debt, including borrowings under its credit agreement and equipment notes:
(dollars in thousands)Inception
Date
Stated Interest
Rate
(per annum)
Payment
Frequency
Term
(years)
Outstanding Balance as of December 31,
2024
Outstanding Balance as of December 31,
2023
Credit Agreement
Revolving loans5/31/2023VariableVariable5$58,395 $13,201 
Equipment Notes
Equipment Note 812/27/20192.75%Semi-annual5— 2,871 
Equipment Note 108/26/20224.32%Semi-annual515,957 20,125 
Other equipment note4/11/20224.55%Monthly529 44 
15,986 23,040 
Total debt74,381 36,241 
Less: current portion of long-term debt
(4,363)(7,053)
Long-term debt$70,018 $29,188 
Schedule of remaining principal payments for long term obligations The following table sets forth our remaining principal payments for the Company’s outstanding equipment notes as of December 31, 2024:
(in thousands)
Future
Equipment Notes
Principal Payments
2025$4,363 
20264,554 
20277,069 
2028— 
2029— 
Thereafter
— 
Total future principal payments
$15,986 
Less: current portion of equipment notes
(4,363)
Long-term principal obligations
$11,623