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Note 3 - Business Combinations and Dispositions (Tables)
12 Months Ended
Dec. 31, 2022
Notes Tables  
Schedule of Business Acquisitions, by Acquisition [Table Text Block]
      

Per share

 

Amount

  

Shares issued

 

Price

 

(in thousands)

Issuance of common stock attributable to Frank’s stockholders

 38,066,216 $18.90 $719,452

Replacement of Frank’s equity awards

         7,830

Cash payment to Mosing Holdings LLC pursuant to the amended and restated tax receivable agreement

         15,000

Total Merger Consideration Exchanged

         $742,282
  

Initial allocation of the consideration

 

Measurement period adjustments

 

Allocation of consideration as of December 31, 2022

             

Cash and cash equivalents

 $187,178 $- $187,178

Restricted cash

 2,561 - 2,561

Accounts receivables, net

 112,234 (1,020) 111,214

Inventories

 69,567 (109) 69,458

Assets held for sale

 10,061 - 10,061

Income tax receivables

 2,030 - 2,030

Other current assets

 23,908 (862) 23,046

Property, plant and equipment

 212,639 (2,479) 210,160

Goodwill

 154,399 41,077 195,476

Intangible assets

 104,791 - 104,791

Operating lease right-of-use assets

 27,406 - 27,406

Other assets

 20,494 (70) 20,424

Total assets

 927,268 36,537 963,805

Accounts payable and accrued liabilities

 81,959 3,876 85,835

Operating lease liabilities

 8,344 - 8,344

Current income tax liabilities

 8,932 9,862 18,794

Other current liabilities

 19,918 12,108 32,026

Deferred tax liabilities

 5,673 - 5,673

Non-current operating lease liabilities

 19,607 - 19,607

Other non-current liabilities

 40,553 10,691 51,244

Total Liabilities

 184,986 36,537 221,523
             

Total Merger Consideration Exchanged

 $742,282 $- $742,282
Business Acquisition, Pro Forma Information [Table Text Block]
  

Year Ended December 31,

  

2021

 

2020

Unaudited pro forma revenues

 $1,143,356 $1,065,384

Unaudited pro forma net loss

 $(121,546) $(491,091)
Schedule of Restructuring Reserve by Type of Cost [Table Text Block]
  

NLA

 

ESSA

 

MENA

 

APAC

 

Central

 

Total

Balance as of December 31, 2021

 $2,057 $2,502 $424 $617 $6,615 $12,215

Expense (reversal) during the period

 $(256) $(808) $34 $646 $1,707 1,323

Payments made during the year

 (1,675) (1,634) (458) (1,176) (7,880) (12,823)

Balance as of December 31, 2022

 $126 $60 $- $87 $442 $715