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DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES (Tables)
3 Months Ended
Mar. 31, 2020
DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES  
Schedule of notional amount and fair value of all outstanding foreign currency derivative instruments in the condensed consolidated balance sheets

March 31, 2020

Derivatives not designated as

 

hedging instruments under

    

Notional

    

Fair

    

 

ASC 815-20

Amount

Value

Balance Sheet Location

Assets:

Foreign currency exchange contracts:

Receive USD/pay GBP

$

46,342

$

62

Accounts receivable, net

Receive USD/pay AUD

14,276

60

 

Accounts receivable, net

Receive USD/pay NZD

1,812

35

Accounts receivable, net

Receive USD/pay COP

4,174

14

Accounts receivable, net

Receive USD/pay SEK

2,160

12

Accounts receivable, net

Receive USD/pay ZAR

910

9

Accounts receivable, net

Receive USD/pay NOK

1,008

6

Accounts receivable, net

Receive USD/pay DKK

1,304

4

Accounts receivable, net

Receive SGD/pay USD

914

1

Accounts receivable, net

Liabilities:

Foreign currency exchange contracts:

Receive EUR/pay USD

$

34,987

$

(272)

 

Accrued liabilities

Receive USD/pay RUB

11,840

(147)

Accrued liabilities

Receive RSD/pay USD

11,530

(85)

 

Accrued liabilities

December 31, 2019

Derivatives not designated as

  hedging instruments under

    

Notional

    

Fair

    

ASC 815-20

Amount

Value

Balance Sheet Location

Assets:

Foreign currency exchange contracts:

Receive EUR/pay USD

$

26,731

$

246

 

Accounts receivable, net

Receive RSD/pay USD

 

9,018

 

59

 

Accounts receivable, net

Receive NOK/pay USD

 

2,122

 

17

 

Accounts receivable, net

Receive USD/pay SGD

 

1,555

 

7

 

Accounts receivable, net

Liabilities:

Foreign currency exchange contracts:

Receive USD/pay GBP

$

38,406

$

(695)

Accrued liabilities

Receive USD/pay AUD

12,819

(172)

Accrued liabilities

Receive USD/pay RUB

12,777

(55)

Accrued liabilities

Receive USD/pay NZD

3,071

(33)

Accrued liabilities

Receive USD/pay ZAR

3,349

(32)

Accrued liabilities

Receive USD/pay COP

3,793

(18)

 

Accrued liabilities

Receive USD/pay DKK

 

1,283

 

(11)

 

Accrued liabilities

Schedule of net gains (losses) on derivative instruments in the condensed consolidated statements of income

Amount of gain (loss)

recognized in income on

derivatives

Derivatives not designated as

Location of gain (loss)

Three-months ended

hedging instruments under

recognized in income on

March 31, 

March 31, 

ASC 815-20

    

derivatives

    

2020

    

2019

Foreign currency exchange contracts

 

Interest and other income, net

$

6,292

$

(1,087)