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SUMMARY OF OPERATIONS AND SIGNIFICANT ACCOUNTING POLICIES AND ESTIMATES (Tables)
12 Months Ended
Dec. 31, 2024
SUMMARY OF OPERATIONS AND SIGNIFICANT ACCOUNTING POLICIES AND ESTIMATES  
Schedule of various methods to measure assets and liabilities at fair value on a recurring basis

Category of Asset or Liability

Fair

Value

Hierarchy

Methodology for Estimating Fair Value

Certificates of deposit and investments

Level 2

Observable market data for similar assets

Foreign currency forward contracts

Level 2

Forecasted movement in the forward rates of foreign currency for the applicable duration in which the hedging instrument is denominated

Deferred compensation liability

Level 2

Observable market data for participants’ notional funds

Pension benefit obligations

Level 2

Actuarial analysis, which includes various estimates and assumptions including, but not limited to, discount rates, expected return on plan assets, and future inflation rates