Quarterly report pursuant to Section 13 or 15(d)

Debt and Interest (Tables)

v3.24.3
Debt and Interest (Tables)
9 Months Ended
Sep. 30, 2024
Debt and Interest  
Schedule of Debt

    

September 30, 

December 31,

    

    

($ in thousands)

2024

2023

Interest rate

Maturity

2024 Oaktree Note

$

35,350

$

 

12.9

%

July - 2027

2020 Oaktree Note

50,000

 

11.0

%

August - 2025

SWK Term Loan

20,000

15,000

14.9

%

December - 2027

Less: Discount on notes payable

(2,877)

(4,144)

Total notes payable

$

52,473

$

60,856

 

  

 

  

Interest Expense for all Debt Arrangements

Three Months Ended September 30, 

2024

2023

($ in thousands)

    

Interest

    

Fees

    

Total

    

Interest

    

Fees

    

Total

2024 Oaktree Note

861

145

1,006

2020 Oaktree Note

440

159

599

1,425

459

1,884

Loss on extinguishment of debt

3,582

3,582

Partner company convertible preferred shares

234

140

374

Partner company installment payments - licenses

177

177

Partner company notes payable

671

87

758

33

58

91

Partner company contingent call option accretion

261

261

Other

 

3

 

 

3

 

8

 

 

8

Total Interest Expense and Financing Fee

$

2,236

$

3,973

$

6,209

$

1,877

$

657

$

2,534

Nine Months Ended September 30, 

2024

2023

($ in thousands)

    

Interest

    

Fees

    

Total

    

Interest

    

Fees

    

Total

2024 Oaktree Note

861

145

1,006

2020 Oaktree Note

3,220

1,184

4,404

4,206

1,595

5,801

Loss on extinguishment of debt

3,582

3,582

Partner company convertible preferred shares

(290)

90

(200)

886

439

1,325

Partner company installment payments - licenses

353

353

Partner company notes payable

1,656

212

1,868

4,834

490

5,324

Partner company contingent call option accretion

261

261

Other

 

12

 

 

12

 

120

 

332

 

452

Total Interest Expense and Financing Fee

$

5,720

$

5,213

$

10,933

$

10,400

$

2,856

$

13,255