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Fair Value Measurements - Changes of Level 3 Financial Instruments (Details)
$ in Thousands
9 Months Ended
Sep. 30, 2019
USD ($)
Contingent consideration | Tax amortization benefit contingency  
Financial instruments measured at Level 3 fair value on a recurring basis rollforward  
Balance, beginning period $ 40,467
Accretion 2,669
Tecnidex earnout activity 0
Stock compensation activity 0
Balance, ending period 43,207
Contingent consideration | Contingent consideration related to acquisition  
Financial instruments measured at Level 3 fair value on a recurring basis rollforward  
Balance, beginning period 379
Accretion 0
Tecnidex earnout activity 72
Stock compensation activity 0
Balance, ending period 451
Contingent consideration | Liability-classified stock compensation  
Financial instruments measured at Level 3 fair value on a recurring basis rollforward  
Balance, beginning period 550
Accretion 0
Tecnidex earnout activity 0
Stock compensation activity (332)
Balance, ending period 218
Contingent consideration | Total  
Financial instruments measured at Level 3 fair value on a recurring basis rollforward  
Balance, beginning period 41,396
Accretion 2,669
Tecnidex earnout activity 72
Stock compensation activity (332)
Balance, ending period 43,770
Derivative financial instruments, liabilities  
Financial instruments measured at Level 3 fair value on a recurring basis rollforward  
Mark-to-market adjustment (35)
Derivative financial instruments, liabilities | Interest rate swap  
Financial instruments measured at Level 3 fair value on a recurring basis rollforward  
Mark-to-market adjustment (106)
Term loan  
Financial instruments measured at Level 3 fair value on a recurring basis  
Fair value of debt $ 376,400