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FAIR VALUE OF FINANCIAL INSTRUMENTS - Recurring Fair Value Measurements (Details)
$ in Thousands
Mar. 09, 2021
USD ($)
Mar. 31, 2022
USD ($)
Dec. 31, 2021
USD ($)
Liabilities      
Contingent Consideration   $ 9,114 $ 8,783
Performance period 2 years    
Podcorn      
Liabilities      
Contingent Consideration $ 7,700    
Performance period 2 years    
Measurement Input, Discount Rate | Valuation Technique, Discounted Cash Flow      
Liabilities      
Discount rate (percent) 0.105 0.110  
Assets      
Assets      
Interest Rate Cash Flow Hedge   $ 1,274  
Liabilities      
Liabilities      
Deferred compensation plan liabilities   28,006 32,730
Interest Rate Cash Flow Hedge     394
Quoted prices in active markets Level 1      
Liabilities      
Contingent Consideration   0 0
Quoted prices in active markets Level 1 | Assets      
Assets      
Interest Rate Cash Flow Hedge   0  
Quoted prices in active markets Level 1 | Liabilities      
Liabilities      
Deferred compensation plan liabilities   22,643 26,839
Interest Rate Cash Flow Hedge     0
Significant other observable inputs Level 2      
Liabilities      
Contingent Consideration   0 0
Significant other observable inputs Level 2 | Assets      
Assets      
Interest Rate Cash Flow Hedge   1,274  
Significant other observable inputs Level 2 | Liabilities      
Liabilities      
Deferred compensation plan liabilities   0 0
Interest Rate Cash Flow Hedge     394
Significant unobservable inputs Level 3      
Liabilities      
Contingent Consideration   9,114 8,783
Significant unobservable inputs Level 3 | Assets      
Assets      
Interest Rate Cash Flow Hedge   0  
Significant unobservable inputs Level 3 | Liabilities      
Liabilities      
Deferred compensation plan liabilities   0 0
Interest Rate Cash Flow Hedge     0
Fair Value Measured at Net Asset Value      
Liabilities      
Contingent Consideration   0 0
Fair Value Measured at Net Asset Value | Assets      
Assets      
Interest Rate Cash Flow Hedge   0  
Fair Value Measured at Net Asset Value | Liabilities      
Liabilities      
Deferred compensation plan liabilities   $ 5,363 5,891
Interest Rate Cash Flow Hedge     $ 0