Quarterly report [Sections 13 or 15(d)]

DEBT (Tables)

v3.26.1
DEBT (Tables)
3 Months Ended
Mar. 31, 2026
Debt Disclosure [Abstract]  
Schedule of Components of Debt
The components of the Company’s debt are as follows:
Effective Interest Rate Maturity Date March 31, 2026 (unaudited) December 31, 2025
Principal amounts:
2026 Term Loan
16% March 2029 $ 160,000  $ — 
Second Lien Notes n/a n/a —  86,194 
2024 Term Loan
n/a
n/a
—  46,075 
Acquisition-related promissory notes payable
8% - 13%
June 2026 - April 2027
29,737  28,337 
Mortgage loans
6% - 10%
January 2027 - September 2030
32,346  32,470 
Total debt subject to scheduled repayments 222,083  193,076 
Promissory notes payable to Sammartino (1)
10%
September 2024 - September 2026
21,500  21,500 
Total debt 243,583  214,576 
Less: debt issuance costs and original issue discounts (12,229) (8,742)
Total debt, net $ 231,354  $ 205,834 
Debt, net - current portion $ 12,887  $ 6,639 
Debt, net - non-current portion $ 218,467  $ 199,195 
(1)This amount is related to the promissory notes issued to Sammartino Investments LLC (“Sammartino”) in connection with the acquisition of Nature's Remedy of Massachusetts, Inc. (“Nature's Remedy”) in September 2021. The Company currently has no obligation to pay the principal and interest. See further discussion of the Sammartino Matter in Note 16 - Commitments and Contingencies for more information.
Schedule of Future Contractual Debt Maturities
As of March 31, 2026, aggregate future scheduled repayments of the Company’s debt were as follows:
Remainder of the year 2027 2028 2029 2030 Thereafter Total
2026 Term Loan
$ —  $ —  $ —  $ 160,000  $ —  $ —  $ 160,000 
Acquisition-related promissory notes payable 6,223  23,514  —  —  —  —  29,737 
Mortgage loans 386  9,304  383  418  21,855  —  32,346 
Total debt subject to scheduled repayments $ 6,609  $ 32,818  $ 383  $ 160,418  $ 21,855  $ —  $ 222,083 
Schedule of Interest Expense
Interest expense, net is comprised of the following:
Three Months Ended March 31,
2026 2025
Interest expense
Interest and accretion - Second Lien Notes $ 3,382  $ 3,103 
Interest and accretion - 2024 Term Loan
2,814  3,190 
Interest and accretion - 2026 Term Loan
274  — 
Interest and accretion - Finance lease liabilities 2,549  2,475 
Interest and accretion - Promissory notes
931  814 
Interest and accretion - Mortgage loans and other financing activities 619  602 
Capitalized interest (93) (62)
Total interest expense 10,476  10,122 
Interest income (88) (122)
Total interest expense, net $ 10,388  $ 10,000