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FAIR VALUE - Fair Value of Financial Assets and Liabilities (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Dec. 31, 2022
Sep. 30, 2023
Sep. 30, 2022
Jun. 30, 2022
Mar. 31, 2022
Oct. 31, 2019
Liabilities            
Fair value of long-term obligations $ 868,700 $ 517,300        
Payment for contingent consideration in financing activities   22,750 $ 0      
Fusion Acquisition            
Liabilities            
Percentage of interest acquired           100.00%
Payment for contingent consideration in financing activities   22,800        
Payment of contingent consideration liability in operating activities   2,500        
Noble Acquisition            
Liabilities            
Percentage of interest acquired           100.00%
Level 3            
Liabilities            
Contingent consideration obligation 25,310 0        
Level 3 | Enable Injections, Inc.            
Assets            
Convertible notes         $ 5,000  
Level 3 | Siklus Refill Pte Ltd            
Assets            
Convertible notes       $ 1,000    
Liabilities            
Proceeds from collection of note receivable 400          
Level 3 | Fusion Acquisition            
Liabilities            
Contingent consideration obligation 25,310 0        
Level 3 | Noble Acquisition            
Liabilities            
Contingent consideration obligation 0 0        
Assets and liabilities measured at fair value on recurring basis            
Assets            
Investment in equity securities 5,297 1,532        
Foreign exchange contracts 1,107 377        
Convertible notes 5,650 5,650        
Total assets at fair value 12,054 7,559        
Liabilities            
Foreign exchange contracts 269 305        
Cross currency swap contract 8,840 12,049        
Contingent consideration obligation 25,310          
Total liabilities at fair value 34,419 12,354        
Assets and liabilities measured at fair value on recurring basis | Level 1            
Assets            
Investment in equity securities 5,297 1,532        
Foreign exchange contracts 0 0        
Convertible notes 0 0        
Total assets at fair value 5,297 1,532        
Liabilities            
Foreign exchange contracts 0 0        
Cross currency swap contract 0 0        
Contingent consideration obligation 0          
Total liabilities at fair value 0 0        
Assets and liabilities measured at fair value on recurring basis | Level 2            
Assets            
Investment in equity securities 0 0        
Foreign exchange contracts 1,107 377        
Convertible notes 0 0        
Total assets at fair value 1,107 377        
Liabilities            
Foreign exchange contracts 269 305        
Cross currency swap contract 8,840 12,049        
Contingent consideration obligation 0          
Total liabilities at fair value 9,109 12,354        
Assets and liabilities measured at fair value on recurring basis | Level 3            
Assets            
Investment in equity securities 0 0        
Foreign exchange contracts 0 0        
Convertible notes 5,650 5,650        
Total assets at fair value 5,650 5,650        
Liabilities            
Foreign exchange contracts 0 0        
Cross currency swap contract 0 0        
Contingent consideration obligation 25,310          
Total liabilities at fair value $ 25,310 $ 0