v3.26.1
Debt (Tables)
6 Months Ended
Jun. 30, 2026
Debt  
Schedule of future notes payable

Remainder of 2026

$

343

2027

 

373

2028

 

405

2029

 

443

2030

 

482

Thereafter

 

2,963

Total

$

5,009

$50 Million Credit Facility  
Debt  
Schedule of Line of Credit

June 30, 

2026

Total revolving credit facility

$

50,000

Revolving loans:

Borrowings outstanding at end of period

$

34,272

Weighted average daily borrowings for the period ended

$

34,272

Maximum daily borrowings for the period ended

$

34,272

Weighted average interest rate for the period ended

4.9

%

Interest rate at end of the period

 

4.9

%

Letters of credit issued

$

15,171

Total available capacity

$

557

$20 Million Credit Facility  
Debt  
Schedule of Line of Credit

June 30, 

2026

Total revolving credit facility

$

20,000

Borrowings outstanding at end of period

$

20,000

Weighted average daily borrowings for the period ended

$

20,000

Maximum daily borrowings for the period ended

$

20,000

Weighted average interest rate for the period ended

5.3

%

Interest rate at end of the period

 

5.3

%