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Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2024
Fair Value Disclosures [Abstract]  
Schedule of Assets and Liabilities Measured at Fair Value
A summary of the Company’s assets and liabilities that are measured at fair value for each fair value hierarchy level for the periods presented is in the table below (see Note 14, “Benefit Plans” for classification of the assets of the Company’s benefit plans within the fair value hierarchy).
December 31, 2024December 31, 2023
Level
One
Level
Two
Level
Three
TotalLevel
One
Level
Two
Level
Three
Total
(In thousands)(In thousands)
Assets:
Cash equivalents$8,990 $— $— $8,990 $6,027 $— $— $6,027 
Foreign currency contracts— 657 — 657 — 2,261 — 2,261 
Interest rate swap agreement— 842 — 842 — 9,522 — 9,522 
Deferred compensation plans— 5,242 — 5,242 — 3,488 — 3,488 
$8,990 $6,741 $— $15,731 $6,027 $15,271 $— $21,298 
Liabilities:
Foreign currency contracts$— $781 $— $781 $— $1,769 $— $1,769 
Cross-currency swap agreements— 1,830 — 1,830 — 22,232 — 22,232 
Deferred compensation plans— 5,242 — 5,242 — 3,488 — 3,488 
$— $7,853 $— $7,853 $— $27,489 $— $27,489