v3.25.2
Note 10 - Credit Agreements (Tables)
6 Months Ended
Jun. 30, 2025
Notes Tables  
Schedule of Long-Term Debt Instruments [Table Text Block]
  

June 30,

  

December 31,

 
  

2025

  

2024

 

Tranche A Term Loan Facility

 $693,750  $712,500 

Term Loan B Facility

  496,250   498,750 

Original issue discount and deferred financing costs

  (6,925)  (8,203)

Revolving Facility

  90,000   - 

Finance lease obligations

  89,064   66,355 

Other

  6,262   8,972 

Total

  1,368,401   1,278,374 

Less: current portion of debt

  67,424   60,753 

Less: current portion of finance lease obligation

  8,164   6,845 

Total long-term borrowings and finance lease obligations

 $1,292,813  $1,210,776 
Schedule of Maturities of Long-Term Debt [Table Text Block]
  

Tranche A Term Loan Facility

  

Term Loan B Facility

  

Revolving Facility

  

Total

 

2025

 $28,125  $2,500  $-  $30,625 

2026

  65,625   5,000   -   70,625 

2027

  600,000   5,000   90,000   695,000 

2028

  -   5,000   -   5,000 

2029

  -   5,000   -   5,000 

2030

  -   5,000   -   5,000 

2031

  -   468,750   -   468,750 

Total

 $693,750  $496,250  $90,000  $1,280,000