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DEBT (Tables)
3 Months Ended
Oct. 31, 2024
Debt Disclosure [Abstract]  
Schedule of Components of Debt and Reconciliation to Carrying Amount
The components of debt are presented in the table below:
October 31,
2024
July 31,
2024
(In thousands)
Unsecured
7.50% Convertible Senior Note due September 1, 2024
$— $12,903 
Credit Facilities
Umpqua Revolver— — 
Total debt, net$— $12,903 
Schedule of Net carrying value of SPG note
Below is a reconciliation of interest expense related to the SPHG Note to total interest expense:
Three Months Ended
October 31,
20242023
(In thousands)
Interest expense related to contractual interest coupon on the SPHG Note$111 $247 
Total interest expense$111 $247