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Financial Liabilities (Tables)
6 Months Ended
Jun. 30, 2024
Financial Liabilities  
Schedule of Company's Debt Obligations

A summary of the Company’s debt obligations, including level within the fair value hierarchy (see Note 3. Fair Value Measurements), is as follows:

At June 30, 2024

(in thousands)

Principal
Amount

Unamortized Debt Discount and Debt Issuance Costs

Net
Carrying Value

Estimated
Fair Value

 

Level

Financial Liabilities:

  

  

  

  

  

2029 Term Loan

$

38,660

$

(2,119)

$

36,541

$

36,541

Level 2*

2026 Convertible Notes

$

230,000

$

(2,445)

$

227,555

$

170,200

Level 2**

At December 31, 2023

Financial Liabilities:

  

  

  

  

 

 

2027 Term Loans

$

250,000

$

(3,519)

$

246,481

$

246,481

Level 2*

2026 Convertible Notes

$

230,000

$

(3,112)

$

226,888

$

150,155

Level 2**

*The principal amounts outstanding are subject to variable interest rates based on three-month SOFR plus fixed percentages. Therefore, the Company believes the carrying amount of these obligations approximate their fair values.

**

The fair value is influenced by interest rates, the Company’s stock price and stock price volatility and is determined by prices observed in market trading. Since the market for trading of the 2026 Convertible Notes is not considered to be an active market, the estimated fair value is based on Level 2 inputs.

2029 Term Loans  
Financial Liabilities  
Schedule of Future Payments on Debt

Assuming the second quarter of 2024 interest rate of 13.3%, future payments on the 2029 Term Loan as of June 30, 2024 are as follows:

Year ending December 31, (in thousands)

Remainder of 2024 - interest only

$

2,632

2025 - interest only

 

5,221

2026 - interest only

 

5,222

2027 - interest only

5,222

2028 and thereafter - principal and interest

45,712

Total minimum payments

64,009

Less amount representing interest

 

(25,349)

2029 Term Loan, gross

 

38,660

Less unamortized debt discount and debt issuance costs

 

(2,119)

Net carrying amount of 2029 Term Loan

$

36,541

Schedule of royalty participation liability

    

June 30, 

(in thousands)

Balance Sheet Classification

2024

Revenue participation liability, current

Accrued and other current liabilities

$

2,682

Revenue participation liability, non-current

Other liabilities, non-current

25,963

Total

$

28,645

2027 Term Loans  
Financial Liabilities  
Schedule of Components of Interest Expense

The following table presents the components of interest expense related to the 2027 Term Loans:

    

Three Months Ended

Six Months Ended

June 30, 

June 30, 

(in thousands)

2024

2023

2024

2023

Contractual interest

$

1,169

$

8,469

$

9,916

$

16,614

Amortization of debt discount and debt issuance costs

305

243

1,277

575

Total interest expense

$

1,474

$

8,712

$

11,193

$

17,189

1.5% Convertible Senior Subordinated Notes due 2026  
Financial Liabilities  
Schedule of Future Payments on Debt

Future payments on the 2026 Convertible Notes as of June 30, 2024 are as follows:

Year ending December 31, (in thousands)

    

Remainder of 2024 - interest only

$

1,725

2025 - interest only

 

3,450

2026 - principal and interest

 

231,725

Total minimum payments

 

236,900

Less amount representing interest

 

(6,900)

2026 Convertible Notes, principal amount

 

230,000

Less unamortized debt discount and debt issuance costs

 

(2,445)

Net carrying amount of 2026 Convertible Notes

$

227,555

Schedule of Components of Interest Expense

The following table presents the components of interest expense related to the 2026 Convertible Notes:

Three Months Ended

Six Months Ended

June 30, 

June 30, 

(in thousands)

    

2024

2023

2024

    

2023

Stated coupon interest

$

862

$

862

$

1,725

$

1,725

Amortization of debt discount and debt issuance costs

 

335

 

327

 

667

 

653

Total interest expense

$

1,197

$

1,189

$

2,392

$

2,378