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Supplemental Disclosure of Cash Flow and Non-Cash Investing and Financing Activities (Tables)
12 Months Ended
Dec. 31, 2024
Supplemental Cash Flow Elements [Abstract]  
Schedule of Selected Cash Payments, Receipts, and Non-Cash Activities
Selected cash payments, receipts, and non-cash activities are as follows (in thousands):
Year Ended December 31,
 202420232022
Cash paid for interest$2,698 $6,034 $4,569 
Income taxes paid (refunded)3,247 (548)181 
Cash paid for operating leases1,618 1,635 1,567 
Non-cash activities:
Conversion of Series B Preferred Stock— 87,870 — 
Fair value of shares received in settlement of litigation9,300 — — 
Minimum Profit Share Payments pursuant to TELA APA2,731 — — 
Issuance of shares pursuant to employee stock purchase plan1,582 1,367 — 
Purchases of equipment included in accounts payable— 228 417 
Financing costs incurred but not paid for Citizens Financing Transaction— 138 — 
Legal fees associated with the Repurchase of Series B Preferred Stock— 45 — 
Lease right of use asset and liability5,333 — (37)
Contingent consideration payable441 — —