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Debt (Tables)
9 Months Ended
Sep. 30, 2025
Debt [Abstract]  
Debt Balances
The Company’s debt balances consisted of the following for the periods indicated:

   
September 30, 2025
   
December 31, 2024
 
   
(In thousands)
 
Credit facility
 
$
417,000
   
$
28,000
 
                 
SEPA
 
$
   
$
 
Fair value adjustment
   
     
790
 
SEPA, at fair value
 
$
   
$
790
 
                 
Senior convertible note
 
$
   
$
11,252
 
Fair value adjustment
   
     
1,303
 
Senior convertible note, at fair value
 
$
   
$
12,555
 
                 
Subordinated note – related party
 
$
1,458
   
$
3,214
 
Fair value adjustment
   
     
1,395
 
Subordinated note – related party
 
$
1,458
   
$
4,609