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Income Tax Effects Related to Components of Other Comprehensive Income (Loss) (Detail) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Sep. 30, 2019
Sep. 30, 2018
Sep. 30, 2019
Sep. 30, 2018
Accumulated Other Comprehensive Income Loss [Line Items]        
Foreign currency translation adjustments, Before-Tax Amount $ (574) $ (60) $ (35) $ (1,622)
Derivatives qualifying as cash flow hedges, net (loss) gain, Before-Tax Amount (305) (1,602) (131) (2,695)
Other comprehensive (loss) income, Before-Tax Amount (879) (1,662) (166) (4,317)
Foreign currency translation adjustments, Tax Effect 0 0 0 0
Other comprehensive (loss) income, Tax Effect 80 416 34 850
Foreign currency translation adjustments, Net (574) (60) (35) (1,622)
Other comprehensive (loss) income, Net (799) (1,246) (132) (3,467)
Derivatives Qualifying as Cash Flow Hedges [Member]        
Accumulated Other Comprehensive Income Loss [Line Items]        
Derivatives qualifying as cash flow hedges, net (loss) gain, Before-Tax Amount (305) (1,602) (131) (2,695)
Derivatives qualifying as cash flow hedges, net losses (gains), Tax Effect 80 416 34 850
Derivatives qualifying as cash flow hedges, net (loss) gain, Net (225) (1,186) (97) (1,845)
Derivatives Qualifying as Cash Flow Hedges [Member] | Foreign Exchange Contract [Member]        
Accumulated Other Comprehensive Income Loss [Line Items]        
Derivatives qualifying as cash flow hedges, net (losses) gains arising during the period, Before-Tax Amount (257) (1,803) 83 (2,010)
Derivatives qualifying as cash flow hedges, net losses (gains) reclassified into income, Before-Tax Amount (48) 201 (214) (685)
Derivatives qualifying as cash flow hedges, net (loss) gain, Before-Tax Amount (305) (1,602) (131) (2,695)
Derivatives qualifying as cash flow hedges, net (losses) gains arising during the period, Tax Effect 67 468 (22) 522
Derivatives qualifying as cash flow hedges, net losses (gains) reclassified into income, Tax Effect 13 (52) 56 328
Derivatives qualifying as cash flow hedges, net losses (gains), Tax Effect 80 416 34 850
Derivatives qualifying as cash flow hedges, net (losses) gains arising during the period, Net (190) (1,335) 61 (1,488)
Derivatives qualifying as cash flow hedges, net losses (gains) reclassified into income, Net (35) 149 (158) (357)
Derivatives qualifying as cash flow hedges, net (loss) gain, Net $ (225) $ (1,186) (97) (1,845)
Other comprehensive (loss) income, Net     $ (97) $ (1,845)