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BANK DEBT (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 05, 2026
Mar. 31, 2026
Jun. 30, 2025
Dec. 31, 2025
BANK DEBT        
Deposited in money market     $ 19,000  
Loss on extinguishment of debt   $ (230)    
Future Covenants        
BANK DEBT        
Senior secured leverage ratio   2.00%    
Fixed charge coverage ratio   1.25%    
Minimum | Future Covenants        
BANK DEBT        
Total leverage ratio   3.00%    
Maximum | Future Covenants        
BANK DEBT        
Total leverage ratio   3.25%    
Physically Delivered Prepaid Power Contract        
BANK DEBT        
Prepaid contract     $ 35,000  
Letter of credit        
BANK DEBT        
Line of credit   $ 14,200    
Credit Agreement        
BANK DEBT        
Additional borrowing capacity   60,800    
Debt Instrument, Liquidity   97,500    
Outstanding letters of credit   14,200    
Unamortized bank fees   5,600   $ 300
Credit Agreement | Delayed Draw Term Loan        
BANK DEBT        
Delayed Draw Term Loan balance outstanding   0    
Percentage of original principal amount to be repaid every quarter 2.50%      
Credit Agreement | Revolving credit        
BANK DEBT        
Maximum borrowing capacity   75,000    
Third Amendment | Revolving credit        
BANK DEBT        
Outstanding letters of credit $ 0      
Loss on extinguishment of debt   $ 200    
New Credit Facility        
BANK DEBT        
Commitment fees, percentage 0.50% 0.50%    
Fixed charge coverage ratio   1.25%    
Covenant compliance   As of March 31, 2026, we were in compliance with all covenants defined in the New Credit Facility.    
Interest rate   3.50%    
All in rate   7.16%    
Percentage of floor on the variable rate   1.00%    
New Credit Facility | Minimum        
BANK DEBT        
Total leverage ratio   2.25%    
Senior secured leverage ratio   2.25%    
Minimum liquidity requirement   $ 20,000    
Interest rate   2.25%    
New Credit Facility | Maximum        
BANK DEBT        
Total leverage ratio   2.50%    
Senior secured leverage ratio   2.50%    
Minimum liquidity requirement   $ 25,000    
Interest rate   3.75%    
New Credit Facility | Swingline loans        
BANK DEBT        
Principal amount of debt instrument $ 10,000      
New Credit Facility | Delayed Draw Term Loan        
BANK DEBT        
Principal amount of debt instrument 45,000      
New Credit Facility | Revolving credit        
BANK DEBT        
Maximum borrowing capacity 75,000      
Additional revolving facility commitments 25,000      
Unamortized bank fees and other costs   $ 5,800    
Line of credit   $ 0    
New Credit Facility | Letter of credit        
BANK DEBT        
Maximum borrowing capacity $ 25,000      
Base rate loans | Federal Funds Rate        
BANK DEBT        
Interest rate 0.50%      
Base rate loans | Base rate | Minimum        
BANK DEBT        
Interest rate 2.25%      
Base rate loans | Base rate | Maximum        
BANK DEBT        
Interest rate 2.75%      
Base rate loans | SOFR rate        
BANK DEBT        
Interest rate 1.00%      
SOFR loans | Base rate | Minimum        
BANK DEBT        
Interest rate 3.25%      
SOFR loans | Base rate | Maximum        
BANK DEBT        
Interest rate 3.75%