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Consolidated Statements of Cash Flows - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
CASH FLOWS FROM OPERATING ACTIVITIES:      
Net Income (Loss) $ 732,000 $ (117,688,000) $ (29,655,000)
Depreciation and amortization 200,741,000 219,512,000 228,774,000
Operating Lease, Right-of-Use Asset, Amortization Expense 17,251,000 21,344,000 21,910,000
Stock compensation 55,758,000 46,883,000 40,563,000
Loss on Disposition of Property Plant Equipment, net 5,900,000 2,522,000 2,109,000
Debt issuance cost amortization 6,178,000 6,807,000 6,814,000
Change in fair value of contingent earn-out 0 (5,399,000) (16,247,000)
Income (Loss) from Equity Method Investments 1,189,000 0 0
Gain (Loss) on Disposition of Business (44,792,000) 0 0
Gain (Loss) on Extinguishment of Debt 2,463,000 0 0
Other 24,471,000 32,621,000 47,536,000
Increase (Decrease) in Accounts Receivable 8,876,000 (46,844,000) 48,635,000
Increase (Decrease) in Inventories (26,252,000) 16,829,000 (6,079,000)
Increase (Decrease) in Prepaid Expense and Other Assets (10,958,000) (8,829,000) 11,672,000
Increase (Decrease) in Other Operating Assets (6,982,000) (23,154,000) (24,695,000)
Accounts payable 6,998,000 12,531,000 (68,301,000)
Accrued liabilities (36,967,000) 20,668,000 (14,479,000)
Income taxes, including excess tax benefits and deferred income taxes (24,759,000) 26,230,000 (82,356,000)
Net cash provided by (used in)operating activities 179,847,000 204,033,000 166,201,000
CASH FLOWS FROM INVESTING ACTIVITIES:      
Purchases of property, plant and equipment (88,043,000) (79,373,000) (83,893,000)
Proceeds from Divestiture of Businesses 211,185,000 0 0
Proceeds from sale of assets 8,059,000 746,000 1,501,000
Intangible asset additions (8,972,000) (10,833,000) (9,777,000)
Proceeds from sale of investment securities 0 500,000 4,222,000
Net cash used in by investing activities 122,229,000 (88,960,000) (87,947,000)
CASH FLOWS FROM FINANCING ACTIVITIES:      
Proceeds from issuance of long-term debt, net of lender debt issuance costs 313,000 0 0
Payments of Debt Issuance Costs (2,825,000) 0 0
Repayments of Long-term obligations (302,750,000) (51,000,000) (29,688,000)
Payment of third-party debt issuance costs 1,555,000    
Proceeds from exercise of stock options 6,106,000 10,939,000 4,022,000
Payments on finance leases (2,048,000) (1,147,000) (963,000)
Payment for Contingent Consideration Liability, Financing Activities 0 (2,600,000) 0
Purchase of treasury stock (8,766,000) (11,992,000) (9,350,000)
Net cash (used in) provided by financing activities (311,525,000) (55,800,000) (35,979,000)
Effect of Exchange Rate on Cash [Abstract]      
Effect of Exchange Rate on Cash, Cash Equivalent, Restricted Cash, and Restricted Cash Equivalent, Continuing Operation 8,846,000 (4,929,000) 3,163,000
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect, Total (603,000) 54,344,000 45,438,000
Cash, Cash Equivalent, Restricted Cash, and Restricted Cash Equivalent, Continuing Operation 307,963,000 308,566,000 254,222,000
SUPPLEMENTAL DISCLSOURE OF CASH FLOW INFORMATION      
Interest Paid, Excluding Capitalized Interest, Operating Activity 83,742,000 99,717,000 95,913,000
SUPPLEMENTAL DISCLOSURE OF NON-CASH INVESTING ACTIVITIES      
Accounts payable for property, plant and equipment 4,453,000 $ 7,443,000 $ 6,570,000
Issuance of long-term debt to refinance existing credit facility supplemental 750,000,000    
Direct payoff of a portion of the existing credit facility (749,687,000)    
Transfer to Investments $ 129,851,000