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RESTRUCTURING INITIATIVES (Tables)
3 Months Ended
Mar. 31, 2020
RESTRUCTURING INITIATIVES.  
Activity associated with the entity's restructuring initiatives

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Beginning

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Net Charges for

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Ending

 

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Reserve at

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the Three Months

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Interest and

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Reserve at

 

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12/31/2019

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Ended 3/31/2020

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Cash Paid

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FX Impact

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3/31/2020

 

Employee severance

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$

7,090

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$

4,066

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$

(503)

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$

187

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$

10,840

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Professional fees and other costs

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3,609

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773

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(3,069)

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(9)

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1,304

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Totals

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$

10,699

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$

4,839

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$

(3,572)

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$

178

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$

12,144

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