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BUSINESS SEGMENTS - Schedule of Segment Reporting Information by Segment (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Revenue from External Customer [Line Items]        
Net Sales $ 172,963 $ 148,610 $ 332,133 $ 287,568
Sales 179,116 153,940 343,853 297,912
Plant shutdowns, asset impairments, restructurings and other 56 1,729 1,224 3,400
Interest income 6 5 11 25
Interest expense 1,785 1,139 2,798 2,323
Gain on investment in kaléo     0 144
Corporate expenses, net 6,024 5,426 13,804 11,177
Income (loss) from continuing operations before income taxes 2,812 9,132 4,060 14,120
Income tax expense (benefit) 984 (38) 1,560 2,346
Net income (loss) from continuing operations 1,828 9,170 2,500 11,774
Income (loss) from discontinued operations, net of tax (97) (378) 9,332 306
Net income (loss) 1,731 8,792 11,832 12,080
kaleo [Member]        
Revenue from External Customer [Line Items]        
Gain on investment in kaléo   144   144
Aluminum Extrusions        
Revenue from External Customer [Line Items]        
Net Sales 148,367 119,413 281,999 233,636
Variable costs 116,059 87,825 219,582 172,610
Manufacturing fixed costs 11,760 9,881 22,973 19,507
Selling, general and administrative costs 10,129 8,972 19,541 15,770
Other 1,136 (172) 1,462 302
EBITDA from ongoing operations 9,283 12,907 18,441 25,447
PE Films        
Revenue from External Customer [Line Items]        
Net Sales 24,596 29,197 50,134 53,932
Variable costs 11,688 13,183 23,664 25,228
Manufacturing fixed costs 3,243 3,115 6,702 6,336
Selling, general and administrative costs 2,867 2,791 5,459 5,307
Other 87 (25) 76 24
EBITDA from ongoing operations 6,711 10,133 14,233 17,037
Subtotal        
Revenue from External Customer [Line Items]        
Variable costs 127,747 101,008 243,246 197,838
Manufacturing fixed costs 15,003 12,996 29,675 25,843
Selling, general and administrative costs 12,996 11,763 25,000 21,077
Other 1,223 (197) 1,538 326
EBITDA from ongoing operations 15,994 23,040 32,674 42,484
Depreciation and amortization 5,323 5,763 10,799 11,633
Freight        
Revenue from External Customer [Line Items]        
Add back freight $ 6,153 $ 5,330 $ 11,720 $ 10,344