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Revenue (Tables)
6 Months Ended
Jun. 30, 2019
Revenue  
Schedule of disaggregation of revenue

Three Months Ended

Six Months Ended

June 30, 

June 30, 

2019

2018

2019

2018

Major service lines:

MRM prescription fulfillment services

$

33,372

$

27,378

$

64,354

$

54,558

MRM services

29,242

16,659

49,200

30,354

Health plan management services

9,317

3,132

18,300

4,837

Pharmacy cost management services

4,238

1,366

5,246

2,661

Other services

86

63

114

132

$

76,255

$

48,598

$

137,214

$

92,542

Schedule of contract assets and contract liabilities from contracts with customers

June 30, 

December 31, 

2019

    

2018

Contract assets

$

4,557

$

3,075

Contract liabilities

5,483

1,733

Schedule of significant changes in the contract assets and the contract liabilities balances

June 30, 

2019

Contract assets:

Contract assets, beginning of period

$

3,075

Decreases due to cash received

(5,070)

Changes to the contract assets at the beginning of the year as a result of changes in estimates

290

Increases, net of reclassifications to receivables

6,262

Contract assets, end of period

$

4,557

Contract liabilities:

Contract liabilities, beginning of period

$

1,733

Revenue recognized that was included in the contract liabilities balance at the beginning of the period

(1,408)

Increases due to cash received, excluding amounts recognized as revenue during the period

2,868

Increases due to business combinations, excluding amounts recognized as revenue during the period

2,290

Contract liabilities, end of period

$

5,483