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Leases, Right-of-Use Assets and Related Liabilities (Tables)
6 Months Ended
Jun. 30, 2024
Leases, Right-of-Use Assets and Related Liabilities  
Schedule of Lease, Cost

The following tables present the (i) other quantitative information and (ii) future minimum payments under non-cancelable financing and operating leases as they relate to the Company’s leases (in thousands, except for weighted averages):

    

Six Months Ended June 30, 

 

2024

    

2023

 

Other Information

 

  

 

  

Cash paid for amounts included in the measurement of lease liabilities:

 

  

 

  

Operating cash flows from finance leases

$

255

$

22

Operating cash flows from operating leases

$

198

$

41

Finance cash flows from finance leases

$

36

$

2

Right-of-use asset obtained in exchange for new finance lease liabilities

$

2,444

$

Right-of-use asset obtained in exchange for new operating lease liabilities

$

32

$

Weighted-average remaining lease term, finance lease (months)

 

43

 

312

Weighted-average remaining lease term, operating leases (months)

 

51

 

58

Weighted-average discount rate - finance leases (1)

 

17

%  

 

12

%

Weighted-average discount rate - operating leases (1)

 

6

%  

 

5

%

(1)When our leases do not provide an implicit interest rate, we calculate the lease liability at lease commencement as the present value of unpaid lease payments using our estimated incremental borrowing rate. The incremental borrowing rate represents the rate of interest that we would have to pay to borrow an amount equal to the lease payments on a collateralized basis over a similar term and is determined using a portfolio approach based on information available at the commencement date of the lease.
Schedule of Operating Lease, Liability, Fiscal Year Maturity

Year Ending December 31, 

    

Operating Leases

    

Finance Leases

2024 (remaining)

$

210

$

983

2025

 

411

 

1,674

2026

 

367

 

26

2027

 

334

 

26

2028

 

344

 

26

2029 and thereafter

 

 

544

Total

 

1,666

 

3,279

Less: amounts representing present value discounts

 

187

 

769

Total lease liabilities

 

1,479

 

2,510

Less: current portion

 

344

 

1,520

Non-current portion

$

1,135

$

990

Schedule of Finance Lease, Liability, Fiscal Year Maturity

Year Ending December 31, 

    

Operating Leases

    

Finance Leases

2024 (remaining)

$

210

$

983

2025

 

411

 

1,674

2026

 

367

 

26

2027

 

334

 

26

2028

 

344

 

26

2029 and thereafter

 

 

544

Total

 

1,666

 

3,279

Less: amounts representing present value discounts

 

187

 

769

Total lease liabilities

 

1,479

 

2,510

Less: current portion

 

344

 

1,520

Non-current portion

$

1,135

$

990