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FAIR VALUE MEASUREMENTS (Tables)
6 Months Ended
Jun. 30, 2022
FAIR VALUE MEASUREMENTS  
Schedule of assets and liabilities measured at fair value on a recurring basis

The following tables present information about our assets and liabilities measured at fair value on a recurring basis.

June 30, 2022

Description

Balance Sheet Classification

Level 1

Level 2

Level 3

Total
Fair Value

Assets:

   

   

   

   

   

Certificates of deposit

Marketable securities

$

$

2,162

$

$

2,162

Interest rate swaps

Deposits and other assets

12,372

12,372

Total assets measured at fair value on a recurring basis

$

$

14,534

$

$

14,534

Liabilities:

Foreign currency forward contracts

Other current liabilities

$

$

67

$

$

67

Contingent consideration

Other current liabilities

1,779

1,779

Total liabilities measured at fair value on a recurring basis

$

$

67

$

1,779

$

1,846

December 31, 2021

Description

Balance Sheet Classification

Level 1

  

Level 2

  

Level 3

  

Total
Fair Value

Assets:

   

   

   

   

   

Certificates of deposit

Marketable securities

$

$

2,296

$

$

2,296

Interest rate swaps

Deposits and other assets

2,739

2,739

Total assets measured at fair value on a recurring basis

$

$

5,035

$

$

5,035

Liabilities:

Contingent consideration

Other current liabilities

$

$

$

1,738

$

1,738

Total liabilities measured at fair value on a recurring basis

$

$

$

1,738

$

1,738