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Fair Value Measurements (Tables)
12 Months Ended
Dec. 31, 2022
Fair Value Disclosures [Abstract]  
Schedule of Fair Value of Financial Assets and Liabilities
The following table sets forth the fair value of the financial assets and liabilities that the Company re-measures on a regular basis:
(in millions)Level 1Level 2Level 3Total
December 31, 2022
Money market funds (a)$3.3 $— $— $3.3 
Corporate bonds and notes— 65.1 — 65.1 
Municipal bonds— 16.0 — 16.0 
Federal agency issues— 20.0 — 20.0 
U.S. government securities— 11.7 — 11.7 
Contingent consideration— — (6.8)(6.8)
Total$3.3 $112.8 $(6.8)$109.3 
(in millions)Level 1Level 2Level 3Total
December 31, 2021
Money market funds (a)$63.2 $— $— $63.2 
Corporate bonds and notes— 105.6 — 105.6 
Municipal bonds— 16.1 — 16.1 
Federal agency issues— 6.8 — 6.8 
U.S. government securities— 11.9 — 11.9 
Contingent consideration— — (8.6)(8.6)
Total$63.2 $140.4 $(8.6)$195.0 
(a)Money market funds are primarily comprised of exchange traded funds and accrued interest.
Change in Fair Value of Contingent Consideration
The following table reconciles the change in the fair value of the contingent consideration during the periods presented:
(in millions)Years Ended December 31,Transition Period Ended December 31,Year Ended June 30,
2022202120202020
Carrying amount at beginning of period$8.6 $10.9 $6.8 $13.8 
Payment of contingent consideration(3.0)(3.3)(0.1)(3.9)
Consideration recognized at acquisition2.1 — — — 
Change in fair value recognized in the statement of operations(0.4)1.8 3.5 (2.8)
Translation adjustments recognized in other comprehensive income (loss)(0.5)(0.8)0.7 (0.3)
Carrying amount at end of period$6.8 $8.6 $10.9 $6.8