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Condensed Financial Statements Parent Company Only
12 Months Ended
Dec. 31, 2022
Condensed Financial Information Disclosure [Abstract]  
Condensed Financial Statements Parent Company Only Condensed Financial Statements
Parent Company Only
Condensed Balance Sheets
 December 31,
(In thousands)20222021
Assets
Current assets:
Cash$1,680 $1,680 
Prepaid expenses and other assets16 — 
Total current assets1,696 1,680 
Investment in subsidiaries, at equity503,145 468,651 
Deferred tax asset, net— 4,062 
Total assets$504,841 $474,393 
Liabilities and stockholders’ equity
Current liabilities:
Accrued liabilities$325 $1,259 
Accounts payable29,553 1,448 
Income tax payable1,853 1,834 
Total current liabilities31,731 4,541 
Other long-term liabilities1,599 3,640 
Total liabilities33,330 8,181 
Stockholders’ equity:
Common stock648 719 
Additional paid-in capital— 7,565 
Accumulated earnings487,349 506,051 
Accumulated other comprehensive loss, net of tax(16,486)(48,123)
Total stockholders’ equity471,511 466,212 
Total liabilities and stockholders’ equity$504,841 $474,393 
Condensed Statements of Income and Comprehensive Income
 Years ended December 31,
(In thousands)202220212020
Non-operating income (expenses)
Equity in earnings of subsidiaries$72,549 $157,787 $103,308 
Interest income290 157 234 
Other expenses166,745 (2,563)(1,594)
Income before income taxes239,584 155,381 101,948 
Income tax benefit575 (5,749)(2,489)
Net income239,009 161,130 104,437 
Other comprehensive income (loss), net of tax
Foreign currency translation adjustments12,490 (11,129)(7,970)
Loss on cash flow hedges19,215 11,151 (10,275)
Unrealized gain on change in fair value of debt securities available-for-sale(68)109 — 
Total comprehensive income$270,646 $161,261 $86,192 
Condensed Statements of Cash Flows
 Years ended December 31,
(In thousands)202220212020
Cash flows from operating activities$116,052 $47,590 $29,817 
Cash flows from financing activities
Dividends paid(13,772)(14,409)(14,382)
Repurchase of common stock(96,595)(24,388)(7,300)
Withholding taxes paid on share-based compensation(5,685)(8,793)(8,134)
Net cash used in financing activities(116,052)(47,590)(29,816)
Net change in cash— — 
Cash at beginning of the period1,680 1,680 1,679 
Cash at end of the period$1,680 $1,680 $1,680