Quarterly report pursuant to Section 13 or 15(d)

Revenue (Tables)

v3.19.1
Revenue (Tables)
3 Months Ended
Mar. 31, 2019
Revenue from Contract with Customer [Abstract]  
Schedule of Disaggregation of Revenue

The following tables present further disaggregation of our revenues by different categories for our Services and Treatment Segments:

 

Revenue by Contract Type      
(In thousands)   Three Months Ended     Three Months Ended  
    March 31, 2019     March 31, 2018  
    Treatment     Services     Total     Treatment     Services     Total  
Fixed price   $ 9,905     $ 428     $ 10,333     $ 8,959     $ 90     $ 9,049  
Time and materials      ―       1,375       1,375        ―       3,609       3,609  
Total   $ 9,905     $ 1,803     $ 11,708     $ 8,959     $ 3,699     $ 12,658  

 

Revenue by generator      
(In thousands)   Three Months Ended     Three Months Ended  
    March 31, 2019     March 31, 2018  
    Treatment     Services     Total     Treatment     Services     Total  
Domestic government   $ 7,913     $ 686     $ 8,599     $ 6,536     $ 3,118     $ 9,654  
Domestic commercial     1,879       758       2,637       2,423       402       2,825  
Foreign government     57       337       394        ―       153       153  
Foreign commercial     56       22       78        ―       26       26  
Total   $ 9,905     $ 1,803     $ 11,708     $ 8,959     $ 3,699     $ 12,658  

Schedule of Contract Assets and Liabilities

The following table represents changes in our contract assets and contract liabilities balances:

 

(In thousands)   March 31, 2019     December 31, 2018    

Year-to-date

Change ($)

   

Year-to-date

Change (%)

 
Contract assets                                
Account receivables, net of allowance   $ 7,341     $ 7,735     $ (394 )     (5.1 )%
Unbilled receivables - current     3,316       3,105       211       6.8 %
                                 
Contract liabilities                                
Deferred revenue   $ 5,443     $ 6,595     $ (1,152 )     (17.5 )%