Quarterly report pursuant to Section 13 or 15(d)

Note 8 - Debt (Tables)

v3.21.1
Note 8 - Debt (Tables)
3 Months Ended
Mar. 31, 2021
Notes Tables  
Schedule of Line of Credit Facilities [Table Text Block]
   

March 31,

   

December 31,

 
   

2021

   

2020

 

Revolving Facility:

               

Gross availability

  $ 75,000     $ 11,750  

Outstanding draws

    (32,000 )     -  

Letter of credit

    (800 )     (800 )

Landlord reserves

    -       (162 )

Availability on Revolving Facility

  $ 42,200     $ 10,788  
Schedule of Maturities of Long-term Debt [Table Text Block]
   

2021

   

2022

   

2023

   

2024

   

2025 and

thereafter

   

Total

 

Revolving Facility

  $ -     $ -     $ -     $ -     $ 32,000     $ 32,000  

Other financing

    551       222       -       -       -       773  

Total

  $ 551     $ 222     $ -     $ -     $ 32,000     $ 32,773  
Schedule of Debt [Table Text Block]

March 31, 2021

 

December 31, 2020

 
                                                   
   

Current

Portion

   

Long-Term

Portion

   

Total

     

Current

Portion

   

Long-Term

Portion

   

Total

 
Revolving Facility   $ -     $ 32,000       32,000   Revolving Facility   $ -     $ -     $ -  

Term Loan

    -       -       -  

Term Loan

    4,615       17,305       21,920  

Equipment Line

    -       -       -  

Equipment Line

    1,600       4,400       6,000  

2019 Equipment Line

    -       -       -  

2019 Equipment Line

    2,500       7,500       10,000  

Other financing

    745       28       773  

Other financing

    725       222       947  
      745       32,028       32,773         9,440       29,427       38,867  

Unamortized value of debt issuance costs

    (74 )     (281 )     (355 )

Unamortized value of debt issuance costs

    (17 )     (49 )     (66 )

Total

  $ 671     $ 31,747     $ 32,418  

Total

  $ 9,423     $ 29,378     $ 38,801