| Schedule of Long-term Debt Instruments |
Long-term debt consisted of the following (amounts in thousands): | | | | | | | | | | | | | | | | | | | June 30, 2026 | | Principal Balance | | Unamortized Debt Issuance | | Net Carrying Amount | 7.00% senior secured notes due 2028 | $ | 400,000 | | | $ | (1,543) | | | $ | 398,457 | | | Revolving credit facility | 150,000 | | | — | | | 150,000 | | | Titan Europe credit facilities | 23,500 | | | — | | | 23,500 | | | Other debt | 21,294 | | | — | | | 21,294 | | | Total debt | 594,794 | | | (1,543) | | | 593,251 | | | Less amounts due within one year | 34,401 | | | — | | | 34,401 | | | Total long-term debt | $ | 560,393 | | | $ | (1,543) | | | $ | 558,850 | |
| | | | | | | | | | | | | | | | | | | December 31, 2025 | | Principal Balance | | Unamortized Debt Issuance | | Net Carrying Amount | 7.00% senior secured notes due 2028 | $ | 400,000 | | | $ | (1,971) | | | $ | 398,029 | | | Revolving credit facility | 156,000 | | | — | | | 156,000 | | | Titan Europe credit facilities | 21,630 | | | — | | | 21,630 | | | Other debt | 10,243 | | | — | | | 10,243 | | | Total debt | 587,873 | | | (1,971) | | | 585,902 | | | Less amounts due within one year | 21,185 | | | — | | | 21,185 | | | Total long-term debt | $ | 566,688 | | | $ | (1,971) | | | $ | 564,717 | |
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| Schedule of Maturities of Long-term Debt |
Aggregate principal maturities of debt at June 30, 2026 for each of the years (or other periods) set forth below were as follows (amounts in thousands): | | | | | | | July 1 - December 31, 2026 | $ | 20,309 | | | 2027 | 21,508 | | | 2028 | 550,990 | | | 2029 | 702 | | | 2030 | 549 | | | Thereafter | 736 | | | | $ | 594,794 | |
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