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Debt - Additional Information (Details)
Mar. 07, 2025
USD ($)
Aug. 15, 2024
USD ($)
D
$ / shares
shares
Mar. 08, 2024
USD ($)
Feb. 15, 2024
USD ($)
Aug. 29, 2022
USD ($)
Apr. 30, 2026
Dec. 31, 2025
Sep. 30, 2025
Jul. 23, 2025
USD ($)
Jul. 22, 2025
USD ($)
Jun. 30, 2025
USD ($)
$ / shares
Jan. 15, 2025
USD ($)
Dec. 31, 2024
USD ($)
$ / shares
Aug. 21, 2024
USD ($)
Mar. 07, 2024
USD ($)
Debt                              
Debt finance costs                       $ 1,400,000      
Short-term debt                     $ 75,170,000   $ 54,659,000    
Par value (in dollars per share) | $ / shares                     $ 0.01   $ 0.01    
Percentage of conversion price for conversion of convertible notes   130.00%                          
Number of trading days of certain fundamental change transactions that occur prior to close of business   35 days                          
Minimum liquidity covenant required                     $ 15,000,000        
Anti-Cash Hoarding Covenant Requirement Amount                     20,000,000        
Threshold consecutive trading days immediately preceding calendar year | D   30                          
Threshold trading days of 30 consecutive trading days for calculating share price | D   20                          
Revolving credit facility                              
Debt                              
Face amount         $ 200,000,000           200,000,000        
Line of credit                     172,500,000        
Letters of credit outstanding                     $ 2,600,000        
Weighted average effective rate (as a percent)                     8.20%        
Increase in available borrowings under the Credit Agreement                       $ 25,000,000      
Term Loan facility                              
Debt                              
Face amount         175,000,000                    
Effective rate (as a percent)                     8.20%        
Periodic payment principal amount         $ 2,800,000                    
Percentage of original principal amount         1.25%                    
Term Loan facility | Year four                              
Debt                              
Periodic payment principal amount         $ 4,200,000                    
Percentage of original principal amount         1.875%                    
Term Loan facility | Year five                              
Debt                              
Periodic payment principal amount         $ 5,600,000                    
Percentage of original principal amount         2.50%                    
Standby letter of credit                              
Debt                              
Letters of credit outstanding                     $ 2,600,000        
Delayed Draw Term Loan Facility                              
Debt                              
Face amount                     $ 50,000,000        
Effective rate (as a percent)                     8.30%        
Minimum | Subsequent Events                              
Debt                              
Interest coverage ratio             2 1.5              
Net Leverage Ratio           4.5                  
Maximum | Subsequent Events                              
Debt                              
Net Leverage Ratio           6.25                  
Maximum | Revolving credit facility | Test period ending June 30, 2025                              
Debt                              
Net Leverage Ratio                       6      
Maximum | Revolving credit facility | Test period ending September 30, 2025                              
Debt                              
Net Leverage Ratio                       5.5      
Maximum | Revolving credit facility | Test period ending December 31, 2025                              
Debt                              
Net Leverage Ratio                       5.25      
Base rate | One Month Interest Period                              
Debt                              
Interest rate (as a percent)         1.00%                    
Interest period         1 month                    
SOFR | One Month Interest Period                              
Debt                              
Variable rate (as a percent)         0.10%                    
Interest period         1 month                    
SOFR | Three Month Interest Period                              
Debt                              
Variable rate (as a percent)         0.15%                    
Interest period         3 months                    
SOFR | Six Month Interest Period                              
Debt                              
Variable rate (as a percent)         0.25%                    
Interest period         6 months                    
SOFR | Minimum | After the covenant relief period                              
Debt                              
Variable rate (as a percent)       2.00%                      
SOFR | Minimum | During the covenant relief period                              
Debt                              
Variable rate (as a percent)       3.00%                      
SOFR | Maximum | After the covenant relief period                              
Debt                              
Variable rate (as a percent)       3.00%                      
SOFR | Maximum | During the covenant relief period                              
Debt                              
Variable rate (as a percent)       4.00%                      
ABR rate | Minimum | After the covenant relief period                              
Debt                              
Variable rate (as a percent)       1.00%                      
ABR rate | Minimum | During the covenant relief period                              
Debt                              
Variable rate (as a percent)       2.00%                      
ABR rate | Maximum | After the covenant relief period                              
Debt                              
Variable rate (as a percent)       2.00%                      
ABR rate | Maximum | During the covenant relief period                              
Debt                              
Variable rate (as a percent)       3.00%                      
NYFRB                              
Debt                              
Interest rate (as a percent)         0.50%                    
New short-term trade finance facility                              
Debt                              
Face amount $ 85,000,000   $ 55,000,000                     $ 75,000,000 $ 70,000,000
Line of credit                     $ 75,200,000        
Debt term 1 year   1 year                        
New short-term trade finance facility | Subsequent Events                              
Debt                              
Face amount                 $ 102,500,000 $ 85,000,000          
New short-term trade finance facility | SOFR                              
Debt                              
Variable rate (as a percent) 4.00%   4.00%                        
New short-term trade finance facility | SOFR one-month                              
Debt                              
Variable rate (as a percent) 1.00%   1.00%                        
New short-term trade finance facility | Federal Funds Rate                              
Debt                              
Variable rate (as a percent) 1.00%   1.00%                        
5.00% convertible senior notes due 2029                              
Debt                              
Interest rate (as a percent)       5.00%                      
Face amount   $ 1,000   $ 72,000,000                      
Debt converted into shares | shares   77.88                          
Percentage of shares issuable on outstanding common stock   19.99%                          
Conversion price | $ / shares   $ 12.84                          
5.00% convertible senior notes due 2029 | Related Party                              
Debt                              
Face amount       $ 50,000,000