Schedule of Segment Information |
The following table summarizes certain information regarding segments of the Company's continuing operations:
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Three Months Ended September 30, |
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Nine Months Ended September 30, |
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(in thousands) |
2024 |
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2023 |
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2024 |
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2023 |
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Net sales |
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Tubular Products |
$ |
22,023 |
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$ |
26,695 |
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$ |
74,559 |
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$ |
86,748 |
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Specialty Chemicals |
20,878 |
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20,052 |
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62,642 |
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65,165 |
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All Other |
— |
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— |
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— |
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50 |
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$ |
42,901 |
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$ |
46,747 |
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$ |
137,201 |
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$ |
151,963 |
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Operating income (loss) |
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Tubular Products |
$ |
1,653 |
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$ |
(620) |
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$ |
1,040 |
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$ |
(7,215) |
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Specialty Chemicals |
385 |
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(11,481) |
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(625) |
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(10,935) |
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All Other |
(117) |
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(132) |
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(378) |
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(684) |
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Corporate |
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Unallocated corporate expenses |
(1,490) |
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(2,859) |
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(5,070) |
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(9,314) |
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Acquisition costs and other |
(2) |
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— |
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(53) |
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(274) |
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Gain on lease modification |
67 |
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— |
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67 |
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— |
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Total Corporate |
(1,425) |
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(2,859) |
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(5,056) |
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(9,588) |
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Operating income (loss) |
496 |
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(15,092) |
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(5,019) |
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(28,422) |
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Interest expense, net |
124 |
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1,063 |
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323 |
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3,217 |
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Other, net |
(91) |
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(97) |
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(303) |
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(344) |
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Income (loss) from continuing operations before income taxes |
$ |
463 |
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$ |
(16,058) |
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$ |
(5,039) |
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$ |
(31,295) |
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As of |
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(in thousands) |
September 30, 2024 |
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December 31, 2023 |
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Identifiable assets |
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Tubular Products |
$ |
64,571 |
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$ |
70,548 |
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Specialty Chemicals |
43,905 |
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49,547 |
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Corporate and other |
40,084 |
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42,339 |
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$ |
148,560 |
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$ |
162,434 |
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