v3.26.1
INTEREST RATE SWAPS (Tables)
3 Months Ended
Mar. 31, 2026
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of interest rate swap agreements Information related to the Company’s interest rate swap agreements as of March 31, 2026 is presented below (in thousands):

Hedged Item

Effective Date

Maturity Date

Rate

Amount

Fair Value as of March 31, 2026

2027 Term Loan

3/29/2024

1/31/2027

1.35% + 0.10% + applicable spread

$

100,000

$

1,903

2027 Term Loan (1)

1/29/2027

1/30/2032

3.75% + 0.10% + applicable spread

$

60,000

$

(448)

2028 Term Loan

9/30/2022

1/31/2028

3.78% + 0.10% + applicable spread

$

50,000

$

(181)

2028 Term Loan

9/30/2022

1/31/2028

3.78% + 0.10% + applicable spread

$

50,000

$

(185)

2028 Term Loan (1)

1/31/2028

1/31/2033

3.81% + 0.10% + applicable spread

$

60,000

$

(325)

2029 Term Loan

1/31/2023

1/31/2030

3.27% + applicable spread

$

50,000

$

444

2029 Term Loan

1/31/2023

1/31/2030

3.26% + applicable spread

$

33,000

$

305

2029 Term Loan

1/31/2023

1/31/2030

3.36% + applicable spread

$

17,000

$

99

2029 Term Loan

3/10/2026

3/10/2031

3.83% + applicable spread

$

20,000

$

(241)

2029 Term Loan

3/10/2026

1/30/2030

3.26% + applicable spread

$

5,000

$

46

2030 Term Loan

4/30/2025

4/30/2030

3.41% + applicable spread

$

50,000

$

211

2030 Term Loan

4/30/2025

4/30/2030

3.23% + applicable spread

$

50,000

$

556

2030 Term Loan

3/10/2026

3/10/2031

3.78% + applicable spread

$

20,000

$

(198)

2030 Term Loan

3/10/2026

4/30/2030

3.27% + applicable spread

$

5,000

$

48

Credit Facility

2/1/2024

1/31/2028

3.85% + 0.10% + applicable spread

$

50,000

$

(242)

(1)

The Company entered into forward swaps to further fix interest rates through periods that the Company reasonably expects to extend its current term loans.