v3.26.1
DEBT (Tables)
6 Months Ended
Jun. 30, 2026
DEBT [Abstract]  
Schedule of Long-term Debt Instruments

(Dollars in thousands)

June 30, 2026

  ​ ​ ​

December 31, 2025

TISL Borrowing Base Facility

$

8,500

$

ECA Credit Facility, due 2038, net of unamortized deferred finance costs of $6,355 and $3,030

158,310

78,464

2030 Bonds, due 2030, net of unamortized deferred finance costs of $4,358 and $4,774

245,642

245,226

BoComm Lease Financing, due 2030, net of unamortized deferred finance costs of $2,388 and $2,731

195,424

202,505

Toshin Lease Financing, due 2031, net of unamortized deferred finance costs of $163 and $189

10,349

11,092

Hyuga Lease Financing, due 2031, net of unamortized deferred finance costs of $134 and $157

10,039

10,808

Kaiyo Lease Financing, due 2030, net of unamortized deferred finance costs of $104 and $126

8,687

9,500

Kaisha Lease Financing, due 2030, net of unamortized deferred finance costs of $107 and $129

8,671

9,484

645,622

567,079

Less current portion

(39,204)

(25,788)

Long-term portion

$

606,418

$

541,291