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Debt Obligations (Tables)
12 Months Ended
Dec. 31, 2024
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments
The following table sets forth the Company's outstanding debt obligations as of December 31, 2024 and 2023:
(in thousands)MaturityInterest RateDecember 31, 2024December 31, 2023
New Term LoanMay 1, 2029SOFR +6.75%$271,250 $— 
Prior Term LoanMarch 1, 2026SOFR +8.5%— 309,368 
New ABL FacilityMay 1, 2028SOFR +
2.50% - 2.75%
23,891 — 
Prior ABL FacilityMarch 1, 2026SOFR +3.0%— 48,845 
Unamortized original issue discount and debt issuance costs(10,804)(9,316)
Total debt obligations$284,337 $348,897 
Current portion of Term Loan(13,125)(70,000)
Total long-term debt obligations$271,212 $278,897 
Schedule of Future Cash Commitments
The following table sets forth future cash commitments associated with the Company's New Term Loan and New ABL Facility:
 (in thousands)
Debt Obligations
2025$13,125 
202639,375 
202735,000 
202858,891 
2029148,750 
Total future cash commitments$295,141