Quarterly report pursuant to Section 13 or 15(d)

Long-term Debt and Notes Payable (Details)

v3.24.2.u1
Long-term Debt and Notes Payable (Details)
3 Months Ended
Jul. 11, 2024
USD ($)
Jun. 19, 2023
USD ($)
Jan. 19, 2023
USD ($)
Jun. 29, 2024
USD ($)
Aug. 05, 2024
USD ($)
Jul. 10, 2024
USD ($)
Dec. 31, 2023
USD ($)
Debt Instrument              
Current Maturities of Long-term Debt       $ 1,300,000     $ 8,996,000
Effective interest rate       14.20%     14.20%
Debt issuance costs       $ 1,700,000      
SOFR              
Debt Instrument              
Basis spread on variable rate     8.75%        
ABL Revolving Credit Facility | Line of Credit | After Quarter Ended March 31, 2024              
Debt Instrument              
Minimum liquidity     $ 10,000,000        
Restated Agreement and Term Loan Agreement | Line of Credit              
Debt Instrument              
Minimum fixed charge coverage ratio     1.10        
Restated Agreement and Term Loan Agreement | Line of Credit | Subsequent Event              
Debt Instrument              
Minimum fixed charge coverage ratio 1.10            
Debt issuance costs         $ 3,900,000    
Debt Instrument, covenant, minimum amount $ 15,000,000            
Restated Agreement and Term Loan Agreement | Line of Credit | Second Quarter Of 2024              
Debt Instrument              
Minimum trailing EBITDA amount     $ 48,000,000        
Term Loan Agreement | Line of Credit              
Debt Instrument              
Commitment fee     5.00%        
Face amount     $ 90,000,000        
Commitment fee amount     4,500,000        
Commitment fees paid on closing date   $ 1,800,000 $ 1,800,000 900,000      
Current Maturities of Long-term Debt       1,300,000      
Balloon payment to be paid       800,000      
Remaining balance       79,700,000      
Deferred debt issuance costs       4,500,000      
Term Loan Agreement | Line of Credit | April 1, 2023 Through June 1, 2023              
Debt Instrument              
Monthly amortization rate     0.292%        
Term Loan Agreement | Line of Credit | July 1, 2023 Through September 1, 2023              
Debt Instrument              
Monthly amortization rate     0.542%        
Term Loan Agreement | Line of Credit | After September 1, 2023              
Debt Instrument              
Monthly amortization rate     0.833%        
Term Loan Agreement | Line of Credit | SOFR (at least)              
Debt Instrument              
Basis spread on variable rate     2.50%        
Revised Term Loan Facility | Line of Credit | Subsequent Event              
Debt Instrument              
Commitment fee 2.00%            
Face amount $ 55,000,000            
Commitment fee amount $ 137,500            
Monthly amortization rate 1.00%            
Current Maturities of Long-term Debt $ 550,000            
Revised Term Loan Facility | Line of Credit | SOFR (at least) | Subsequent Event              
Debt Instrument              
Basis spread on variable rate 1.00%            
Revised Term Loan Facility | Line of Credit | SOFR | Subsequent Event              
Debt Instrument              
Basis spread on variable rate 0.10%            
Revised Term Loan Facility | Line of Credit | Minimum | SOFR | Subsequent Event              
Debt Instrument              
Basis spread on variable rate 5.50%            
Revised Term Loan Facility | Line of Credit | Maximum | SOFR | Subsequent Event              
Debt Instrument              
Basis spread on variable rate 6.75%            
Revolving Credit Facility | ABL Revolving Credit Facility | Line of Credit              
Debt Instrument              
Maximum borrowing capacity     $ 115,000,000        
Amounts outstanding under revolving line of credit       97,400,000      
Remaining capacity under the credit facility       17,300,000      
Deferred debt issuance costs       $ 1,800,000      
Revolving Credit Facility | ABL Revolving Credit Facility | Line of Credit | Minimum              
Debt Instrument              
Commitment fee     0.25%        
Revolving Credit Facility | ABL Revolving Credit Facility | Line of Credit | Minimum | SOFR (at least)              
Debt Instrument              
Basis spread on variable rate     1.00%        
Revolving Credit Facility | ABL Revolving Credit Facility | Line of Credit | Minimum | SOFR              
Debt Instrument              
Basis spread on variable rate     2.25%        
Revolving Credit Facility | ABL Revolving Credit Facility | Line of Credit | Maximum              
Debt Instrument              
Commitment fee     0.375%        
Revolving Credit Facility | ABL Revolving Credit Facility | Line of Credit | Maximum | SOFR              
Debt Instrument              
Basis spread on variable rate     2.75%        
Revolving Credit Facility | Seventh Amended and Restated Credit Agreement | Line of Credit | Subsequent Event              
Debt Instrument              
Maximum borrowing capacity $ 200,000,000         $ 115,000,000  
Revolving Credit Facility | Seventh Amended and Restated Credit Agreement | Line of Credit | SOFR (at least) | Subsequent Event              
Debt Instrument              
Basis spread on variable rate 1.00%            
Revolving Credit Facility | Seventh Amended and Restated Credit Agreement | Line of Credit | SOFR | Subsequent Event              
Debt Instrument              
Basis spread on variable rate 0.10%            
Revolving Credit Facility | Seventh Amended and Restated Credit Agreement | Line of Credit | Minimum | Subsequent Event              
Debt Instrument              
Commitment fee 0.25%            
Revolving Credit Facility | Seventh Amended and Restated Credit Agreement | Line of Credit | Minimum | SOFR | Subsequent Event              
Debt Instrument              
Basis spread on variable rate 2.50%            
Revolving Credit Facility | Seventh Amended and Restated Credit Agreement | Line of Credit | Maximum | Subsequent Event              
Debt Instrument              
Commitment fee 0.375%            
Revolving Credit Facility | Seventh Amended and Restated Credit Agreement | Line of Credit | Maximum | SOFR | Subsequent Event              
Debt Instrument              
Basis spread on variable rate 3.00%