v3.26.1
Debt (Tables)
3 Months Ended
Apr. 30, 2026
Debt Disclosure [Abstract]  
Schedule of Debt, Current and Debt, Noncurrent
The following table presents a summary of debt, current and debt, noncurrent:
MaturityApril 30,
2026
January 31,
2026
(in thousands)
Debt, current
2025 Senior Loan
January 2030$15,598 $32,371 
Total debt, current$15,598 $32,371 
Debt, noncurrent
2025 Senior Loan
January 2030$212,892 $217,692 
2028 Convertible NotesApril 2028
Gross amount11,811 11,330 
Debt discount and issuance costs(568)(542)
Total 2028 Convertible Note11,243 10,788 
Total debt, noncurrent$224,135 $228,480 
Schedule of Interest Expense, Debt
The following table presents the Company’s interest expense related to convertible debt:
Three Months Ended
April 30,
20262025
(in thousands)
2028 Convertible Notes
Interest expense for Cash Interest and PIK Interest$301 $8,602 
PIK Fair Value Adjustment(94)(3,895)
Amortization of debt discount and issuance costs67 1,354 
Total interest expense$274 $6,061