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SUPPLEMENTAL CASH FLOW
12 Months Ended
Dec. 31, 2025
Supplemental Cash Flow Elements [Abstract]  
SUPPLEMENTAL CASH FLOW SUPPLEMENTAL CASH FLOW
Years Ended December 31,
202520242023
Supplemental cash flow information:
Cash paid for interest$2,905 $5,890 $6,072 
Cash paid for income taxes$725 $374 $1,356 
Supplemental non-cash investing and financing activities:
Warrants issued for common stock $3,807 $1,135 $1,633 
Operating lease liabilities arising in exchange for obtaining right-of-use assets$2,246 $1,419 $572 
Non-cash services and prepaid expenses in exchange for Common stock$3,000 $12,798 $— 
Non-cash services and prepaid expenses in exchange for Starlab equity$18,384 $8,500 $— 
Issuance of Class A common stock and Common stock in consideration for business acquisitions
$26,972 $— $— 
Issuance of Common stock for purchase of noncontrolling interest$4,787 $— $— 
Conversion of debt to Common stock upon initial public offering$25,336 $— $— 
Conversion of 2024 Convertible Notes to equity$8,002 $— $— 
Non-cash additions of property and equipment$8,692 $11,439 $6,130 
SAA receivable grant billed, but not received as of year end offsetting capital expenditures$3,600 $— $6,150