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Debt and Stockholders' Equity (Details Narrative) - USD ($)
3 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Dec. 31, 2025
Long Term Debt And Stockholders Equity [Line Items]      
Issuance of common stock (shares) 2,876    
Outstanding borrowings under revolving loan agreement $ 33,034,000   $ 11,863,000
Deferred financing cost 4,000   $ 10,299
Cash settlement of stock options 1,462,000 $ 463,000  
Aggregate proceeds from exercise of employee stock options $ 97,000    
Common Stock      
Long Term Debt And Stockholders Equity [Line Items]      
Issuance of common stock (shares) 2,876    
Stock issued during period shares new issues related to net share settlement 759    
HSBC Bank      
Long Term Debt And Stockholders Equity [Line Items]      
Credit facility borrowing capacity $ 65,000,000    
Interest rate 1.75%    
Investment, Variable Interest Rate, Type [Extensible Enumeration] us-gaap:SecuredOvernightFinancingRateSofrMember    
Credit facility interest rate Secured Overnight Financing Rate (“SOFR”) plus a margin of +1.75%    
Revolving agreement expiration date May 31, 2027    
Facility fee per annum 0.125%    
HSBC Bank | Maximum      
Long Term Debt And Stockholders Equity [Line Items]      
Credit facility borrowing capacity $ 65,000,000    
First Aid Only Distribution Center      
Long Term Debt And Stockholders Equity [Line Items]      
Covenant terms and compliance Under the Loan Agreement, the Company is required to maintain a specific ratio of funded debt to EBITDA, a fixed charge coverage ratio and must have annual net income greater than $0, measured as of the end of each fiscal year    
Fixed interest rate 3.80%