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FINANCIAL INSTRUMENTS - Fair Value Measurement Recognized in the Consolidated Statement of Financial Position (Details) - USD ($)
$ in Thousands
Dec. 31, 2022
Dec. 31, 2021
Contingent consideration    
Disclosure of fair value measurement of liabilities [line items]    
Financial liabilities, at fair value $ 59,686 $ 58,180
Foreign exchange forward contracts    
Disclosure of fair value measurement of liabilities [line items]    
Financial liabilities, at fair value 3,575 1,498
Equity forward contract    
Disclosure of fair value measurement of liabilities [line items]    
Financial liabilities, at fair value 3,886  
Mutual funds    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 47,009 27,585
Bills issued by the Treasury Department of the U.S. ("T-Bills")    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 1,399  
Commercial Papers    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value   4,996
Foreign exchange forward contracts    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 3,509 758
Convertible notes    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 6,684 3,875
Equity instruments    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 27,892 22,088
Interest rate SWAP    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 3,416 534
Level 1 | Contingent consideration    
Disclosure of fair value measurement of liabilities [line items]    
Financial liabilities, at fair value 0 0
Level 1 | Foreign exchange forward contracts    
Disclosure of fair value measurement of liabilities [line items]    
Financial liabilities, at fair value 0 0
Level 1 | Equity forward contract    
Disclosure of fair value measurement of liabilities [line items]    
Financial liabilities, at fair value 0  
Level 1 | Mutual funds    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 0 0
Level 1 | Bills issued by the Treasury Department of the U.S. ("T-Bills")    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 1,399  
Level 1 | Commercial Papers    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value   4,996
Level 1 | Foreign exchange forward contracts    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 0 0
Level 1 | Convertible notes    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 0 0
Level 1 | Equity instruments    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 0 0
Level 1 | Interest rate SWAP    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 0 0
Level 2 | Contingent consideration    
Disclosure of fair value measurement of liabilities [line items]    
Financial liabilities, at fair value 0 0
Level 2 | Foreign exchange forward contracts    
Disclosure of fair value measurement of liabilities [line items]    
Financial liabilities, at fair value 3,575 1,498
Level 2 | Equity forward contract    
Disclosure of fair value measurement of liabilities [line items]    
Financial liabilities, at fair value 3,886  
Level 2 | Mutual funds    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 47,009 27,585
Level 2 | Bills issued by the Treasury Department of the U.S. ("T-Bills")    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 0  
Level 2 | Commercial Papers    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value   0
Level 2 | Foreign exchange forward contracts    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 3,509 758
Level 2 | Convertible notes    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 0 0
Level 2 | Equity instruments    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 0 0
Level 2 | Interest rate SWAP    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 3,416 534
Level 3 | Contingent consideration    
Disclosure of fair value measurement of liabilities [line items]    
Financial liabilities, at fair value 59,686 58,180
Level 3 | Foreign exchange forward contracts    
Disclosure of fair value measurement of liabilities [line items]    
Financial liabilities, at fair value 0 0
Level 3 | Equity forward contract    
Disclosure of fair value measurement of liabilities [line items]    
Financial liabilities, at fair value 0  
Level 3 | Mutual funds    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 0 0
Level 3 | Bills issued by the Treasury Department of the U.S. ("T-Bills")    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 0  
Level 3 | Commercial Papers    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value   0
Level 3 | Foreign exchange forward contracts    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 0 0
Level 3 | Convertible notes    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 6,684 3,875
Level 3 | Equity instruments    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value 27,892 22,088
Level 3 | Interest rate SWAP    
Disclosure of fair value measurement of liabilities [line items]    
Financial assets, at fair value $ 0 $ 0