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BUSINESS SEGMENTS - Schedule of Segment Reporting Information by Segment (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Revenue from External Customer [Line Items]    
Net Sales $ 159,172 $ 138,957
Sales 164,738 143,972
Plant shutdowns, asset impairments, restructurings and other 1,167 1,671
Interest income 5 20
Interest expense 1,013 1,184
Corporate expenses, net 7,782 5,750
Income (loss) from continuing operations before income taxes 1,248 4,988
Income tax expense (benefit) 577 2,384
Net income (loss) from continuing operations 671 2,604
Income (loss) from discontinued operations, net of tax 9,430 684
Net income (loss) 10,101 3,288
Aluminum Extrusions    
Revenue from External Customer [Line Items]    
Net Sales 133,635 114,222
Variable costs 103,523 84,786
Manufacturing fixed costs 11,214 9,625
Selling, general and administrative costs 9,412 6,798
Other 326 473
EBITDA from ongoing operations 9,160 12,540
PE Films    
Revenue from External Customer [Line Items]    
Net Sales 25,537 24,735
Variable costs 11,977 12,024
Manufacturing fixed costs 3,459 3,243
Selling, general and administrative costs 2,592 2,516
Other (11) 48
EBITDA from ongoing operations 7,520 6,904
Subtotal    
Revenue from External Customer [Line Items]    
Variable costs 115,500 96,810
Manufacturing fixed costs 14,673 12,868
Selling, general and administrative costs 12,004 9,314
Other 315 521
EBITDA from ongoing operations 16,680 19,444
Depreciation and amortization 5,475 5,871
Freight    
Revenue from External Customer [Line Items]    
Add back freight $ 5,566 $ 5,015