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Fair Value Measurement (Tables)
6 Months Ended
Jun. 30, 2020
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities
The Company’s financial assets and liabilities subject to fair value measurements as of June 30, 2020 and December 31, 2019 are as follows:

  June 30, 2020
  Fair Value Measurements
 Fair valueLevel 1Level 2Level 3
Assets:    
Cash equivalents$192,945  $192,945  $—  $—  
Current marketable securities 38,837  38,837  —  —  
Forward contracts565  —  565  —  
Total assets$232,347  $231,782  $565  $—  
Liabilities:    
Contingent consideration $1,829  $—  $—  $1,829  
Total liabilities$1,829  $—  $—  $1,829  

  December 31, 2019
  Fair Value Measurements
 Fair valueLevel 1Level 2Level 3
Assets:    
Cash equivalents$107,535  $107,535  $—  $—  
Current marketable securities 40,521  40,521  —  —  
Total assets$148,056  $148,056  $—  $—  
Liabilities:    
Contingent consideration $9,124  $—  $—  $9,124  
Forward contracts495  —  495  —  
Total liabilities$9,619  $—  $495  $9,124  
Balance at January 1,PaymentsAcquisitionsAdjustments (1)Balance at
June 30,
2020
Liabilities:
     Contingent consideration$9,124  —  —  (7,295) $1,829  
Balance at January 1,PaymentsAcquisitionsAdjustments (2)Balance at December 31,
2019
Liabilities:
     Contingent consideration$3,000  —  9,124  (3,000) $9,124