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Long-Term Debt (Tables)
12 Months Ended
Dec. 31, 2023
Debt Instrument [Line Items]  
Schedule of long-term debt instruments

At December 31, 2023 and 2022, long-term debt consisted of the following (in thousands):

    

December 31,

2023

    

2022

2021 Credit Facility

$

28,594

$

25,684

Credit Agreement

 

3,000

 

Economic Injury Disaster Loan

 

150

 

150

Total long-term debt

 

31,744

 

25,834

Less: deferred financing costs

 

(1,688)

 

(2,115)

Total long-term debt, net of deferred financing costs

 

30,056

 

23,719

Less: current portion

 

(1,478)

 

(655)

Total long-term debt, net of current portion

$

28,578

$

23,064

Schedule of future minimum payments related to long-term debt

As of December 31, 2023, future minimum payments related to long-term debt are as follows (in thousands):

2024

    

$

1,478

2025

 

 

4,460

2026

 

 

25,660

2027

 

 

3

2028

 

 

3

Thereafter

 

140

Total

 

31,744

Less current portion

 

(1,478)

Less deferred financing costs

 

(1,688)

Long-term debt, net

$

28,578

Lafayette Square  
Debt Instrument [Line Items]  
Schedule of components of interest expense and related fees for the lines of credit

The components of interest expense and related fees for the 2021 Credit Facility are as follows (in thousands):

Year Ended

 Ended 

December 31, 

    

2023

    

2022

Interest expense – Lafayette Square

$

3,655

$

2,498

Amortization of deferred financing costs – Lafayette Square

 

552

 

497

Total interest expense and amortization of deferred financing costs

$

4,207

$

2,995

Schedule of financial covenants

As of

Minimum TTM* EBITDA ($ in millions)

Minimum Liquidity ($ in millions)

Maximum Consolidated Total Leverage Ratio

Minimum Fixed Charge Coverage Ratio

June 30, 2024

n/a

n/a

n/a

n/a

September 30, 2024

$5.0

$1.5

n/a

n/a

December 31, 2024

$3.5

$1.5

n/a

n/a

March 31, 2025

$5.5

$2.0

n/a

n/a

June 30, 2025

$7.5

$2.0

n/a

1.50 to 1.00

September 30, 2025

n/a

$2.0

4.25 to 1.0

1.50 to 1.00

December 31, 2025

n/a

$2.0

4.00 to 1.0

1.50 to 1.00

March 31, 2026

n/a

$2.0

3.75 to 1.0

1.50 to 1.00

June 30, 2026

n/a

$2.0

3.50 to 1.0

1.50 to 1.00

September 30, 2026

n/a

$2.0

3.25 to 1.0

1.50 to 1.00

*TTM = Trailing Twelve Months

East West Bank  
Debt Instrument [Line Items]  
Schedule of components of interest expense and related fees for the lines of credit

The components of interest expense and related fees for the Credit Agreement and 2020 Revolving Credit Facility is as follows (in thousands):

December 31, 

    

2023

    

2022

Interest Expense:

Credit Agreement

$

102

$

2020 Revolving Credit Facility

23

Amortization of deferred financing costs:

Credit Agreement

62

2020 Revolving Credit Facility

101

Total interest expense and amortization of deferred financing costs

$

164

$

124

Schedule of financial covenants

As of

Minimum TTM(1) EBITDA ($ in millions)

Minimum Liquid Assets ($ in millions)

Maximum Total Funded Debt to EBITDA Leverage Ratio

Minimum Fixed Charge Coverage Ratio

Revolving Credit Availability (as of each month end)

June 30, 2024

n/a

$1.0

n/a

n/a

n/a

September 30, 2024

$5.0

$1.5

n/a

n/a

n/a

December 31, 2024

$3.5

$1.5

n/a

n/a

1.0 to 1.0(2)

March 31, 2025

$5.5

$2.0

n/a

n/a

1.5 to 1.0(3)

June 30, 2025

$7.5

$2.0

n/a

1.25 to 1.00

2.0 to 1.0(4)