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Fair Value of Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2020
Fair Value Disclosures [Abstract]  
Summary of Fair Value Measurement Assets And Liabilities Measured On Recurring Basis

The following tables summarize the fair values and levels within the fair value hierarchy in which the measurements fall for assets and liabilities measured on a recurring basis as of September 30, 2020 and December 31, 2019:

 

 

 

Fair Value Measurements at September 30, 2020

 

Assets (liabilities)

 

Level 1

 

 

Level 2

 

 

Level 3

 

 

Total

 

Derivatives

 

$

 

 

$

(39

)

 

$

 

 

$

(39

)

Contingent consideration obligations

 

 

 

 

 

 

 

 

(6

)

 

 

(6

)

 

 

$

 

 

$

(39

)

 

$

(6

)

 

$

(45

)

 

 

 

Fair Value Measurements at December 31, 2019

 

Assets (liabilities)

 

Level 1

 

 

Level 2

 

 

Level 3

 

 

Total

 

Derivatives

 

$

 

 

$

 

 

$

 

 

$

 

Contingent consideration obligations

 

 

 

 

 

 

 

 

(7

)

 

 

(7

)

 

 

$

 

 

$

 

 

$

(7

)

 

$

(7

)

Summary of Reconciliation of Fair Value of Contingent Consideration Obligations

The table below presents a reconciliation of the fair value of the Company’s contingent consideration obligations that use unobservable inputs (Level 3), as well as other information about the contingent consideration obligations:

 

 

 

Nine Months Ended

September 30, 2020

 

Balance as of December 31, 2019

 

$

7

 

Issuances

 

 

 

Settlements

 

 

(3

)

Adjustments to fair value

 

 

2

 

Balance as of September 30, 2020

 

$

6

 

Number of open contingent consideration arrangements

   at the end of period

 

 

3

 

Maximum potential payout at end of period

 

$

7