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Note 20 - Fair Value of Financial Instruments - Reconciliation of the Fair Value (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Balance $ 2,860 $ 3,488
Liabilities, balance 0 3,375
Equity Method Investments [Member] | Limited Liability Investments [Member]    
Balance 2,859 3,496
Distributions received 0 (115)
Included in net loss 1 (8)
Balance 2,860 3,488
Included in other comprehensive income (loss) 0 0
Equity Method Investments [Member] | Limited Liability Investments [Member] | Realized Investment Gains (Losses) [Member]    
Included in net loss 0 115
Equity Method Investments [Member] | Limited Liability Investments [Member] | Gain (Loss) On Change In Fair Value Of Limited Liability Investments At Fair Value [Member]    
Included in net loss 1 (8)
Derivative Financial Instruments, Assets [Member] | Trust Preferred Debt Repurchase Options Contracts [Member]    
Balance 2,725 3,105
Balance 0 3,375
Included in other comprehensive income (loss) 0 0
Settlements of contingent consideration liabilities (2,725) 0
Included in net income, liability $ 0 $ 270