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DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES (Tables)
12 Months Ended
Dec. 31, 2022
DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES  
Schedule of notional amount and fair value of all outstanding foreign currency derivative instruments in the consolidated balance sheets

December 31, 2022

Derivatives not designated as

hedging instruments under

Notional 

Fair

ASC 815

    

Amount

    

 Value

    

Balance Sheet Location

Assets:

Foreign currency exchange contracts:

Receive SGD/pay USD

 $

15,883

 $

398

 

Accounts receivable, net

Receive CAD/pay USD

34,467

106

Accounts receivable, net

Receive USD/pay MXN

 

12,430

 

88

 

Accounts receivable, net

Receive USD/pay GBP

43,551

118

Accounts receivable, net

Receive RSD/pay USD

3,513

112

Accounts receivable, net

Receive GBP/pay USD

34,716

100

Accounts receivable, net

Receive GBP/pay USD

4,321

31

Accounts receivable, net

Receive USD/pay COP

11,570

12

Accounts receivable, net

Liabilities:

Foreign currency exchange contracts:

Receive USD/pay CLP

$

43,071

$

(2,549)

 

Accrued liabilities

Receive USD/pay EUR

40,592

 

(1,377)

Accrued liabilities

Receive USD/pay CNY

12,460

 

(362)

 

Accrued liabilities

Receive USD/pay EUR

34,714

(295)

Accrued liabilities

Receive USD/pay NZD

4,093

 

(91)

 

Accrued liabilities

Receive USD/pay AUD

1,271

 

(23)

 

Accrued liabilities

Receive USD/pay ZAR

3,124

 

(1)

 

Accrued liabilities

December 31, 2021

Derivatives not designated as

hedging instruments under

Notional

Fair

ASC 815

    

 Amount

    

 Value

    

Balance Sheet Location

Assets:

Foreign currency exchange contracts:

Receive SGD/pay USD

 $

16,544

 $

297

 

Accounts receivable, net

Receive USD/pay COP

9,754

296

Accounts receivable, net

Receive RSD/pay USD

 

9,837

 

46

 

Accounts receivable, net

Receive USD/pay RUB

7,175

15

Accounts receivable, net

Liabilities:

Foreign currency exchange contracts:

Receive USD/pay GBP

$

29,929

$

(666)

 

Accrued liabilities

Receive USD/pay AUD

2,602

 

(88)

Accrued liabilities

Receive USD/pay CNY

12,230

(74)

Accrued liabilities

Receive USD/pay NZD

2,693

(45)

Accrued liabilities

Receive USD/pay EUR

3,045

(29)

Accrued liabilities

Receive USD/pay ZAR

4,140

 

(21)

 

Accrued liabilities

Receive USD/pay DKK

1,461

(9)

Accrued liabilities

Schedule of net loss on derivative instruments in the consolidated statements of income

Amount of loss

recognized in income on

derivatives

Derivatives not designated as

Location of loss

Year ended

hedging instruments under

recognized in income on

December 31, 

December 31, 

December 31, 

ASC 815

    

derivatives

    

2022

    

2021

    

2020

Foreign currency exchange contracts

 

Other (expense) income, net

 

$

6,893

 

$

5,445

 

$

3,317