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REVENUES (Tables)
3 Months Ended
Mar. 31, 2025
Revenue from Contract with Customer [Abstract]  
SCHEDULE OF ACCRUALS AND ALLOWANCES

The following table summarizes activity and ending balances of the Company’s variable consideration provisions in the consolidated financial statements for the three months ended March 31, 2025, and 2024:

 

                             
   Accruals for Chargebacks, Returns, and Other Allowances 
   Chargebacks   Government Rebates   Returns   Administrative Fees and Other Rebates   Co-Pay Assistance   Prompt Pay Discounts   Total 
Balance at December 31, 2023  $2,810,000   $3,585,000   $771,000   $24,069,000   $971,000   $1,101,000   $33,307,000 
Accruals/Adjustments   1,112,000    2,295,000    594,000    7,608,000    5,335,000    300,000    17,244,000 
Credits Taken Against Reserve   (2,801,000)   1,000    (128,000)   (15,703,000)   (1,574,000)   (359,000)   (20,564,000)
Balance at March 31, 2024  $1,121,000   $5,881,000   $1,237,000   $15,974,000   $4,732,000   $1,042,000   $29,987,000 
                                    
Balance at December 31, 2024  $960,000   $12,360,000   $1,449,000   $32,873,000   $9,612,000   $2,377,000   $59,631,000 
Accruals/Adjustments   5,325,000    5,857,000    2,670,000    14,907,000    20,824,000    1,058,000    50,641,000 
Credits Taken Against Reserve   (3,687,000)   (3,136,000)   (2,590,000)   (28,698,000)   (27,109,000)   (1,943,000)   (67,164,000)
Balance at March 31, 2025  $2,598,000   $15,081,000   $1,529,000   $19,082,000   $3,327,000   $1,492,000   $43,109,000 
SCHEDULE OF DISAGGREGATED REVENUE

Revenue disaggregated by revenue source for the three months ended March 31, 2025 and 2024 consisted of the following:

   

         
   For the Three Months Ended 
   March 31, 
   2024   2024 
Product sales, net  $47,745,000   $34,508,000 
Other revenues   86,000    79,000 
Total revenues  $47,831,000   $34,587,000