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FAIR VALUE (Tables)
6 Months Ended
Jun. 30, 2023
FAIR VALUE  
Schedule of financial assets that are accounted for at fair value on a recurring basis

The following tables presents the Company’s financial assets that are accounted for at fair value on a recurring basis as of June 30, 2023 and December 31, 2022, respectively, by level within the fair value hierarchy:

June 30, 2023

    

Level 1

    

Level 2

    

Level 3

Assets (liabilities)

Pension plan assets

$

5,730

$

$

Deferred compensation plan assets

 

4,141

 

 

Foreign currency hedge contract assets

30

Foreign currency hedge contract liabilities

 

 

(27)

 

Interest rate swaps, net

 

 

6,675

 

Contingent consideration

 

 

 

(4,100)

December 31, 2022

    

Level 1

    

Level 2

    

Level 3

Assets (liabilities)

Pension plan assets

$

5,324

$

$

Deferred compensation plan assets

 

3,870

 

 

Foreign currency hedge contracts

 

 

48

 

Interest rate swaps, net

 

 

7,236

 

Contingent consideration

 

 

 

(4,100)