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BUSINESS SEGMENTS - Schedule of Segment Reporting Information by Segment (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2025
Sep. 30, 2024
Sep. 30, 2025
Sep. 30, 2024
Revenue from External Customer [Line Items]        
Net Sales $ 188,353 $ 140,596 $ 520,487 $ 428,164
Sales 194,942 146,064 538,796 443,976
Plant shutdowns, asset impairments, restructurings and other 915 2,170 2,138 5,570
Interest income 6 5 16 30
Interest expense 768 1,192 3,566 3,515
Gain on investment in kaléo     0 144
Corporate expenses, net 7,815 5,554 21,619 16,730
Income (loss) from continuing operations before income taxes 9,123 (2,561) 13,184 11,560
Income tax expense (benefit) 2,014 828 3,575 3,175
Net income (loss) from continuing operations 7,109 (3,389) 9,609 8,385
Income (loss) from discontinued operations, net of tax (35) (557) 9,297 (251)
Net income (loss) 7,074 (3,946) 18,906 8,134
kaleo [Member]        
Revenue from External Customer [Line Items]        
Gain on investment in kaléo   0   144
Aluminum Extrusions        
Revenue from External Customer [Line Items]        
Net Sales 162,470 115,717 444,470 349,353
Variable costs 124,462 90,397 344,043 263,007
Manufacturing fixed costs 11,906 10,218 34,879 29,726
Selling, general and administrative costs 8,948 8,549 28,489 24,319
Other 346 376 1,808 677
EBITDA from ongoing operations 16,808 6,177 35,251 31,624
PE Films        
Revenue from External Customer [Line Items]        
Net Sales 25,883 24,879 76,017 78,811
Variable costs 11,922 12,294 35,586 37,522
Manufacturing fixed costs 3,785 3,496 10,487 9,832
Selling, general and administrative costs 2,961 3,173 8,420 8,480
Other (6) 40 70 64
EBITDA from ongoing operations 7,221 5,876 21,454 22,913
Subtotal        
Revenue from External Customer [Line Items]        
Variable costs 136,384 102,691 379,629 300,529
Manufacturing fixed costs 15,691 13,714 45,366 39,558
Selling, general and administrative costs 11,909 11,722 36,909 32,799
Other 340 416 1,878 741
EBITDA from ongoing operations 24,029 12,053 56,705 54,537
Depreciation and amortization 5,414 5,703 16,214 17,336
Freight        
Revenue from External Customer [Line Items]        
Add back freight $ 6,589 $ 5,468 $ 18,309 $ 15,812