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LEASES (Tables)
6 Months Ended
Jun. 30, 2022
LEASES  
Schedule of supplemental cash flow information related to the operating leases

Supplemental cash flow information related to the Company’s operating and finance leases for the six months ended June 30, 2022 and 2021 was as follows (in thousands):

June 30, 

2022

2021

Cash paid for amounts included in the measurement of operating leases

    

$

2,290

    

$

2,679

  

Cash paid for amounts included in the measurement of finance lease obligations

    

$

368

    

$

  

Right of use ("ROU") assets obtained in exchange for operating lease obligations

$

2,770

$

1,640

ROU assets obtained in acquisitions (Note 2)

$

5,053

$

ROU assets obtained in exchange for finance lease obligations

$

9,471

$

Schedule of maturity of the operating lease liabilities

The following table presents the maturity of the Company’s operating and finance lease liabilities as of June 30, 2022 (in thousands):

    

Operating Leases

Finance Leases

Remainder of 2022

    

$

3,112

$

368

2023

    

4,699

799

2024

 

4,030

 

815

2025

 

3,269

 

831

2026

2,689

848

2027

2,525

867

Thereafter

 

6,506

 

8,769

Total undiscounted cash flows

$

26,830

$

13,297

Less: present value discount

(2,862)

(3,750)

Total lease liabilities

$

23,968

$

9,547

Schedule of maturity of the financing lease liabilities

    

Operating Leases

Finance Leases

Remainder of 2022

    

$

3,112

$

368

2023

    

4,699

799

2024

 

4,030

 

815

2025

 

3,269

 

831

2026

2,689

848

2027

2,525

867

Thereafter

 

6,506

 

8,769

Total undiscounted cash flows

$

26,830

$

13,297

Less: present value discount

(2,862)

(3,750)

Total lease liabilities

$

23,968

$

9,547