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Fair value of financial instruments (Tables)
6 Months Ended
Jun. 30, 2024
Fair value of financial instruments [Abstract]  
Fair Value of Assets and Liabilities Measured on Recurring Basis
The Company’s financial instruments measured or disclosed at fair value are summarized below. The summary excludes cash and cash equivalents, receivables and accounts payable, all of which had fair values approximating their carrying values due to the liquid nature and short maturities of these instruments.

         
Fair Value (In Thousands)
 
Asset or Liability
 
Fair Value Hierarchy
 
June 30,
2024
   
December 31,
2023
 
Measured at fair value on a recurring basis:
               
Contingent consideration
 
Level 3
 
$
4,590
   
$
3,282
 
                     
Disclosed at fair value:
                   
Borrowings under Credit Facility
 
Level 2
 
$
   
$
71,000
 
Seller note payable
 
Level 2
 
$
3,859
   
$
4,627