v3.26.1
Condensed Consolidated Statements of Operations - USD ($)
shares in Thousands, $ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2026
Jun. 30, 2025
Total revenue $ 17,874 $ 9,652 $ 32,982 $ 18,403
Operating expenses:        
Cost of product sales 721 967 1,291 1,340
Research and development 118 107 167 201
Selling and marketing 10,659 4,784 22,081 8,011
General and administrative 4,639 6,526 7,825 12,391
Total operating expenses (16,137) (12,384) (31,364) (21,943)
Income/(loss) from operations 1,737 (2,732) 1,618 (3,540)
Other income/(expense)        
Unrealized foreign exchange (loss)/gain (6) 17 (18) 30
Amortization expense   (13)   (26)
Unrealized loss on securities   (1)   (2)
Interest income 287 171 626 407
Interest expense (3) (594) (10) (1,186)
Total other income/(expense) 278 (420) 598 (777)
Income/(loss) before provision for income taxes 2,015 (3,152) 2,216 (4,317)
Provision for income taxes 42   42 0
Net income/(loss) $ 1,973 $ (3,152) $ 2,174 $ (4,317)
Basic net income/(loss) per common share $ 0.06 $ (0.11) $ 0.06 $ (0.16)
Diluted net income/(loss) per common share $ 0.05 $ (0.11) $ 0.06 $ (0.16)
Weighted-average number of common shares outstanding basic 34,545 27,664 34,596 27,621
Weighted-average number of common shares outstanding diluted 36,430 27,664 37,410 27,621
PEDMARK product sales, net        
Total revenue $ 17,164 $ 9,652 $ 32,272 $ 18,403
Other revenue        
Total revenue $ 710   $ 710