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Consolidated Statements of Equity - USD ($)
shares in Thousands, $ in Thousands
Total
Cross currency swap derivative
Interest rate swap
Total
Total
Cross currency swap derivative
Total
Interest rate swap
Common Stock
Additional Paid-in Capital
Treasury Stock
Retained Earnings
Accumulated Other Comprehensive Income (Loss)
Accumulated Other Comprehensive Income (Loss)
Cross currency swap derivative
Accumulated Other Comprehensive Income (Loss)
Interest rate swap
Noncontrolling Interest
Balance (in shares) at Dec. 31, 2022             56,096              
Balance at the start of the period at Dec. 31, 2022 $ 2,020,975     $ 1,867,571     $ 56 $ 1,259,072 $ (17,964) $ 623,907 $ 2,500     $ 153,404
Increase (Decrease) in Stockholders' Equity [Roll Forward]                            
Stock-based compensation 15,478     15,478       15,478            
Exercise of options/stock-based awards by employees and directors (in shares) [1]             123              
Exercise of options/stock-based awards by employees and directors [1] 314     314       314            
Issuance of common stock (in shares)             4,140              
Issuance of common stock 341,671     341,671     $ 4 341,667            
Cash paid to noncontrolling interest (7,648)                         (7,648)
Cash dividend declared (28,412)     (28,412)           (28,412)        
Change in noncontrolling interest rights (1,137)     901       901           (2,038)
Transaction with noncontrolling interest (29,055)     (2,663)       (2,663)           (26,392)
Net income 132,198     124,399           124,399       7,799
Other comprehensive income (loss), net of related taxes:                            
Change in foreign currency translation adjustments 1,257     822             822     435
Change in unrealized gains or losses in respect of the Company's share in derivative instruments of unconsolidated investment that qualifies as a cash flow hedge (470)     (470)             (470)      
Change in unrealized gains or losses in respect of a derivative instrument that qualifies as a cash flow hedge (net of related tax) (4,237) $ (4,237) $ 0 (4,237)             (4,237)      
Other 53     53             53      
Balance (in shares) at Dec. 31, 2023             60,359              
Balance at the end of the period at Dec. 31, 2023 2,440,987     2,315,427     $ 60 1,614,769 (17,964) 719,894 (1,332)     125,560
Increase (Decrease) in Stockholders' Equity [Roll Forward]                            
Stock-based compensation 20,197     20,197       20,197            
Exercise of options/stock-based awards by employees and directors (in shares) [1]             142              
Exercise of options/stock-based awards by employees and directors [1] 1     1     $ 1              
Cash paid to noncontrolling interest (4,707)                         (4,707)
Cash dividend declared (29,109)     (29,109)           (29,109)        
Buyout of class B membership in OPAL (1,418)     279       279           (1,697)
Net income 131,560     123,733           123,733       7,827
Other comprehensive income (loss), net of related taxes:                            
Change in foreign currency translation adjustments (8,232)     (7,052)             (7,052)     (1,180)
Change in unrealized gains or losses in respect of the Company's share in derivative instruments of unconsolidated investment that qualifies as a cash flow hedge 602     602             602      
Change in unrealized gains or losses in respect of a derivative instrument that qualifies as a cash flow hedge (net of related tax)   988 13   $ 988 $ 13           $ 988 $ 13  
Other 50     50             50      
Balance (in shares) at Dec. 31, 2024             60,501              
Balance at the end of the period at Dec. 31, 2024 2,550,932     2,425,129     $ 61 1,635,245 (17,964) 814,518 (6,731)     125,803
Increase (Decrease) in Stockholders' Equity [Roll Forward]                            
Stock-based compensation 19,390     19,390       19,390            
Exercise of options/stock-based awards by employees and directors (in shares) [1]             344              
Cash paid to noncontrolling interest (5,890)                         (5,890)
Cash dividend declared (29,072)     (29,072)           (29,072)        
Increase in noncontrolling interest related to tax monetization transactions 12,059                         12,059
Net income 126,643     123,898           123,898       2,745
Other comprehensive income (loss), net of related taxes:                            
Change in foreign currency translation adjustments 9,665     7,451             7,451     2,214
Change in unrealized gains or losses in respect of the Company's share in derivative instruments of unconsolidated investment that qualifies as a cash flow hedge (1,230)     (1,230)             (1,230)      
Change in unrealized gains or losses in respect of a derivative instrument that qualifies as a cash flow hedge (net of related tax)   $ (1,780) $ 113   $ (1,780) $ 113           $ (1,780) $ 113  
Other 45     45             45      
Balance (in shares) at Dec. 31, 2025             60,845              
Balance at the end of the period at Dec. 31, 2025 $ 2,680,874     $ 2,543,943     $ 61 $ 1,654,635 $ (17,964) $ 909,343 $ (2,132)     $ 136,931
[1] Resulted in an amount lower than $1 thousand.