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STOCK BASED COMPENSATION (Tables)
6 Months Ended
Jun. 30, 2017
Equity [Abstract]  
Schedule of Status of Options Granted
A summary of the status of options previously granted as of June 30, 2017, and 2016, and the changes during the periods then ended is presented below:
 
Three Months Ended June 30, 2017
 
Options
 
Weighted-Average Exercise Price
 
Aggregate Intrinsic Value
Options outstanding at beginning of the period
1,350,182

 
$
9.18

 
$

Forfeited
(77,094
)
 
$
7.35

 
$

Options outstanding at end of period
1,273,088

 
$
9.29

 
$

 
Three Months Ended June 30, 2016
 
Options
 
Weighted-Average Exercise Price
 
Aggregate Intrinsic Value
Options outstanding at beginning of the period
2,363,699

 
$
7.91

 
$
2,326,963

Forfeited
(90,376
)
 
$
8.30

 
$

Options outstanding at end of period
2,273,323

 
$
7.89

 
$
539,367

 
Six Months Ended June 30, 2017
 
Options
 
Weighted-Average Exercise Price
 
Aggregate Intrinsic Value
Options outstanding at beginning of the period
1,779,613

 
$
8.46

 
$
50,869

Exercised
(66,188
)
 
$
6.08

 
$
12,821

Forfeited
(440,337
)
 
$
6.43

 
$

Options outstanding at end of period
1,273,088

 
$
9.29

 
$

Exercisable at end of period
1,177,054

 
$
9.41

 
$

 
Six Months Ended June 30, 2016
 
Options
 
Weighted-Average Exercise Price
 
Aggregate Intrinsic Value
Options outstanding at beginning of the period
2,673,512

 
$
7.46

 
$
5,485,248

Exercised
(281,750
)
 
$
3.65

 
$
1,343,872

Forfeited
(118,439
)
 
$
8.18

 
$

Options outstanding at end of period
2,273,323

 
$
7.89

 
$
539,367

Exercisable at end of period
1,858,163

 
$
7.81

 
$
539,367


Schedule of Exercise Price Range
he following table summarizes information about options outstanding as of June 30, 2017:
 
Options Outstanding
 
Options
Exercisable
Exercise Price
Number
Outstanding
 
Weighted-
Average
Remaining
Contractual
Life
 
Number
Exercisable
 
 
 
(in years)
 
 
$  7.00 - $  7.99
356,750

 
3.6
 
292,842

$  8.00 - $  8.99
199,500

 
2.0
 
189,562

$  9.00 - $  9.99
480,000

 
2.8
 
465,312

$ 10.00 - $ 14.50
236,838

 
1.9
 
229,338

 
1,273,088

 
 
 
1,177,054

Performance Stock Units [Member]  
Equity [Abstract]  
Schedule of Nonvested Share Activity
A summary of the status of PSUs as of June 30, 2017 and 2016 and the changes during the periods then ended is presented below:
 
Three Months Ended June 30, 2017
 
Three Months Ended June 30, 2016
 
Shares
 
Weighted- Average Fair Value at
Grant Date
 
Shares
 
Weighted- Average Fair Value at
Grant Date
Non-vested at beginning of the period
977,504

 
$
6.95

 
670,838

 
$
8.03

Forfeited
(86,666
)
 
$
7.21

 

 
$

Non-vested at end of period
890,838

 
$
6.92

 
670,838

 
$
8.03


 
Six Months Ended June 30, 2017
 
Six Months Ended June 30, 2016
 
Shares
 
Weighted- Average Fair Value at Grant Date
 
Shares
 
Weighted- Average Fair Value at Grant Date
Non-vested at beginning of the period
580,004

 
$
8.02

 
415,000

 
$
9.25

Granted
397,500

 
$
5.38

 
417,500

 
$
7.24

Forfeited
(86,666
)
 
$
7.21

 
(26,667
)
 
$
8.50

Vested

 
$

 
(134,995
)
 
$
9.25

Non-vested at end of period
890,838

 
$
6.92

 
670,838

 
$
8.03

Schedule of Valuation Assumptions
The fair value of PSUs is measured using the Monte Carlo pricing model using the following assumptions:
 
 
Six Months Ended June 30,
 
 
 
2017
 
2016
 
Weighted average fair value of PSUs granted
 
$
5.38

 
$
7.24

 
Dividend yield of DHI Group, Inc. stock
 
%
 
%
 
Dividend yield of Russell 2000 Index
 
1.4
%
 
1.7
%
 
Risk free interest rate
 
1.5
%
 
0.9
%
 
Volatility of DHI Group, Inc. stock
 
41.0
%
 
33.5
%
 
Volatility of Russell 2000 Index
 
16.7
%
 
16.7
%
 
Restricted Stock Units (RSUs) [Member]  
Equity [Abstract]  
Schedule of Nonvested Share Activity
A summary of the status of restricted stock awards as of June 30, 2017 and 2016 and the changes during the periods then ended is presented below:
 
Three Months Ended June 30, 2017
 
Three Months Ended June 30, 2016
 
Shares
 
Weighted- Average Fair Value at Grant Date
 
Shares
 
Weighted- Average Fair Value at Grant Date
Non-vested at beginning of the period
2,548,625

 
$
6.68

 
2,379,975

 
$
8.13

Granted
238,500

 
$
3.85

 

 
$

Forfeited
(213,500
)
 
$
6.82

 
(31,625
)
 
$
8.07

Vested
(156,325
)
 
$
6.91

 
(112,100
)
 
$
8.71

Non-vested at end of period
2,417,300

 
$
6.38

 
2,236,250

 
$
8.10

 
Six Months Ended June 30, 2017
 
Six Months Ended June 30, 2016
 
Shares
 
Weighted- Average Fair Value at Grant Date
 
Shares
 
Weighted- Average Fair Value at Grant Date
Non-vested at beginning of the period
2,226,375

 
$
7.87

 
2,122,225

 
$
8.54

Granted
1,224,500

 
$
4.78

 
1,033,500

 
$
7.56

Forfeited
(254,625
)
 
$
6.99

 
(151,500
)
 
$
8.30

Vested
(778,950
)
 
$
7.94

 
(767,975
)
 
$
8.55

Non-vested at end of period
2,417,300

 
$
6.38

 
2,236,250

 
$
8.10