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Fair Value Measurements - Changes in Financial Instruments Measured at Level 3 (Details) - USD ($)
12 Months Ended
Dec. 31, 2019
Dec. 31, 2018
Contingent consideration    
Financial instruments measured at Level 3 fair value on a recurring basis rollforward    
Balance, beginning period $ 41,396,000  
Accretion 3,459,000  
Payment to Dow (16,003,000)  
Dow settlement (27,994,000)  
Interest rate contract (95,000)  
Stock compensation activity (332,000)  
Mark-to-market adjustment 71,000  
Balance, end of period 123,000 $ 41,396,000
Contingent consideration | Contingent Consideration Under Tax Receivables Agreement    
Financial instruments measured at Level 3 fair value on a recurring basis rollforward    
Balance, beginning period 40,467,000  
Accretion 3,459,000  
Payment to Dow (16,003,000)  
Dow settlement (27,994,000)  
Interest rate contract 0  
Stock compensation activity 0  
Mark-to-market adjustment 71,000  
Balance, end of period 0 40,467,000
Contingent consideration | Contingent consideration related to acquisition    
Financial instruments measured at Level 3 fair value on a recurring basis rollforward    
Balance, beginning period 379,000  
Accretion 0  
Payment to Dow 0  
Dow settlement 0  
Interest rate contract 0  
Stock compensation activity 0  
Mark-to-market adjustment 0  
Balance, end of period 0 379,000
Contingent consideration | Interest rate contract    
Financial instruments measured at Level 3 fair value on a recurring basis rollforward    
Balance, beginning period 0  
Accretion 0  
Payment to Dow 0  
Dow settlement 0  
Interest rate contract (95,000)  
Stock compensation activity 0  
Mark-to-market adjustment 0  
Balance, end of period (95,000) 0
Contingent consideration | Stock appreciation rights    
Financial instruments measured at Level 3 fair value on a recurring basis rollforward    
Balance, beginning period 550,000  
Accretion 0  
Payment to Dow 0  
Dow settlement 0  
Interest rate contract 0  
Stock compensation activity (332,000)  
Mark-to-market adjustment 0  
Balance, end of period 218,000 550,000
Contingent consideration | Tecnidex Fruit Protection, S.A.U.    
Financial instruments measured at Level 3 fair value on a recurring basis rollforward    
Tecnidex earnout activity (379,000)  
Contingent consideration | Tecnidex Fruit Protection, S.A.U. | Contingent Consideration Under Tax Receivables Agreement    
Financial instruments measured at Level 3 fair value on a recurring basis rollforward    
Tecnidex earnout activity 0  
Contingent consideration | Tecnidex Fruit Protection, S.A.U. | Contingent consideration related to acquisition    
Financial instruments measured at Level 3 fair value on a recurring basis rollforward    
Tecnidex earnout activity (379,000) 300,000
Contingent consideration | Tecnidex Fruit Protection, S.A.U. | Interest rate contract    
Financial instruments measured at Level 3 fair value on a recurring basis rollforward    
Tecnidex earnout activity 0  
Contingent consideration | Tecnidex Fruit Protection, S.A.U. | Stock appreciation rights    
Financial instruments measured at Level 3 fair value on a recurring basis rollforward    
Tecnidex earnout activity 0  
Term Loan | Level 2    
Financial instruments measured at Level 3 fair value on a recurring basis    
Fair value of long-term debt 345,000,000.0 397,100,000
Recurring    
Financial instruments measured at Level 3 fair value on a recurring basis    
Transfers between Level 1 to Level 2 0 0
Transfers between Level 2 to Level 1 0 0
Transfers out of Level 3 $ 0 $ 0