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Commodity Derivative Instruments (Tables)
12 Months Ended
Dec. 31, 2025
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Pre-Tax Changes in Fair Value The following table summarizes pre-tax changes in the fair values of the Company’s commodity derivative instruments and the classification of such changes in the consolidated statements of operations:
 Fiscal Year
(in thousands)202520242023
Cost of sales$2,183 $(728)$1,220 
Selling, delivery and administrative expenses(455)(547)(2,281)
Total gain (loss)$1,728 $(1,275)$(1,061)
Schedule of Fair Values and Classification in Consolidated Balance Sheets of Derivative Instruments The following table summarizes the fair values of the Company’s commodity derivative instruments and the classification of such instruments in the consolidated balance sheets:
(in thousands)December 31, 2025December 31, 2024
Assets:
Prepaid expenses and other current assets$4,242 $2,472 
Total assets$4,242 $2,472 
Liabilities:
Other accrued liabilities$42 $— 
Total liabilities$42 $ 
Schedule of Gross Derivative Assets and Gross Derivative Liabilities in Consolidated Balance Sheets
The following table summarizes the Company’s gross commodity derivative instrument assets and gross commodity derivative instrument liabilities in the consolidated balance sheets:

(in thousands)December 31, 2025December 31, 2024
Gross commodity derivative instrument assets$4,994 $2,472 
Gross commodity derivative instrument liabilities794 — 
Schedule of Outstanding Commodity Derivative Agreements
The following table summarizes the Company’s outstanding commodity derivative instruments:

(in thousands)December 31, 2025December 31, 2024
Notional amount of outstanding commodity derivative instruments$12,714 $50,928 
Latest maturity date of outstanding commodity derivative instrumentsDecember 2026December 2025