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FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)
6 Months Ended
Jun. 30, 2019
Fair Value Disclosures [Abstract]  
FAIR VALUE OF FINANCIAL INSTRUMENTS
                                                              
   Recurring Fair Value Measurements
   Quoted Prices in Active                  
   Markets for Identical  Significant Other  Significant Unobservable      
   Assets and Liabilities  Observable Inputs  Inputs      
   at June 30,  at June 30,  at June 30,  Total Fair Value
   (Level 1)  (Level 2)  (Level 3)  at June 30,
   2019  2018  2019  2018  2019  2018  2019  2018
Liabilities                                        
Acquisition earnouts  $     $     $     $     $26,918   $21,489   $26,918   $21,489 
product type, the information for assets and liabilities

The table below disaggregates, by product type, the information for assets and liabilities included in the summary table above.

 

                
   Six Months Ended
   June 30, 2019
(in thousands)  2019  2018
Acquisition earnouts booked using the Monte-Carlo Simulation Model          
Beginning balance  $14,339   $17,959 
New acquisition earnouts   12,700    3,025 
Adjustments and Accrued Interest   1,355    701 
Earnout payments   (1,476)   (196)
Ending balance  $26,918   $21,489