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LEASES (Tables)
3 Months Ended
Mar. 31, 2025
LEASES  
Schedule of supplemental cash flow information related to the operating and finance leases

March 31, 

2025

2024

Cash paid for operating leases

    

$

1,669

    

$

1,601

Cash paid for interest on finance lease obligations

    

$

98

    

$

103

Assets acquired under operating leases

$

860

$

175

Operating lease assets obtained in acquisitions

$

$

378

Schedule of maturity of the operating lease liabilities

The following table presents the maturity of the Company’s operating and finance lease liabilities as of March 31, 2025:

    

Operating Leases

Finance Leases

Remainder of 2025

 

4,703

 

623

2026

5,731

848

2027

4,980

867

2028

3,806

886

2029

2,649

906

Thereafter

 

5,597

 

6,978

Total undiscounted cash flows

$

27,466

$

11,108

Less: present value discount

(3,213)

(2,611)

Total lease liabilities

$

24,253

$

8,497

Schedule of maturity of the financing lease liabilities

The following table presents the maturity of the Company’s operating and finance lease liabilities as of March 31, 2025:

    

Operating Leases

Finance Leases

Remainder of 2025

 

4,703

 

623

2026

5,731

848

2027

4,980

867

2028

3,806

886

2029

2,649

906

Thereafter

 

5,597

 

6,978

Total undiscounted cash flows

$

27,466

$

11,108

Less: present value discount

(3,213)

(2,611)

Total lease liabilities

$

24,253

$

8,497