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FAIR VALUE MEASUREMENTS - Summary of the Valuation of the Company's Financial Assets and Liabilities that were Accounted for at Fair Value on a Recurring Basis (Details) - USD ($)
$ in Thousands
Jun. 30, 2023
Dec. 31, 2022
Assets (Liabilities)    
Derivative liability $ (11,796)  
Total (11,796) $ 3,931
Fair value on a recurring basis    
Assets (Liabilities)    
Contingent consideration related to business combination (5,267)  
Total (17,063) 3,931
Fair value on a recurring basis | Natural gas basis swaps    
Assets (Liabilities)    
Derivative liability (11,796) 3,931
Fair value on a recurring basis | Level 1    
Assets (Liabilities)    
Contingent consideration related to business combination 0  
Total 0 0
Fair value on a recurring basis | Level 1 | Natural gas basis swaps    
Assets (Liabilities)    
Derivative liability 0 0
Fair value on a recurring basis | Level 2    
Assets (Liabilities)    
Contingent consideration related to business combination 0  
Total (11,796) 3,931
Fair value on a recurring basis | Level 2 | Natural gas basis swaps    
Assets (Liabilities)    
Derivative liability (11,796) 3,931
Fair value on a recurring basis | Level 3    
Assets (Liabilities)    
Contingent consideration related to business combination (5,267)  
Total (5,267) 0
Fair value on a recurring basis | Level 3 | Natural gas basis swaps    
Assets (Liabilities)    
Derivative liability $ 0 $ 0