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Other Non-Current Assets
12 Months Ended
Dec. 31, 2025
Other Assets [Abstract]  
Other Non-Current Assets Other Non-Current Assets
Other non-current assets as of December 31, 2025 and 2024 were as follows:
20252024
Uncertain tax positions (See Note 10)$7,254 $5,334 
Pension assets (See Note 20)2,346 2,245 
Debt issuance costs (See Note 19)1,408 2,374 
Interest rate swap (See Note 24)— 1,621 
Net investment hedge (See Note 24)10,053 — 
Long-term note receivable1,030 925 
Cost investments1,835 — 
Trust investment1,491 1,566 
Indemnification assets (See Notes 10 and 21)457 405 
Supplemental retirement income program (See Notes 20 and 23)311 297 
Cloud computing implementation costs 2,037 — 
Other2,061 2,593 
Total other non-current assets$30,283 $17,360 
As of December 31, 2025 and 2024, three and two of the Company’s foreign pension plans’ fair value of plan assets exceeded its gross benefit obligation, respectively, and were therefore over-funded for both years, which is presented within Pension assets in the table above. See Note 20 for additional information.