XML 21 R13.htm IDEA: XBRL DOCUMENT v3.22.2.2
Fair Value Measurements
6 Months Ended
Jun. 30, 2022
Fair Value Disclosures [Abstract]  
FAIR VALUE MEASUREMENTS
NOTE 5:- FAIR VALUE MEASUREMENTS

 

The Company measures its marketable securities and foreign currency derivative contracts at fair value. Marketable securities and foreign currency derivative contracts are classified within Level II, as the valuation inputs are based on quoted prices and market observable data of similar instruments.

 

The below table sets forth the Company’s assets and liabilities that were measured at fair value as of June 30, 2022 and December 31, 2021, by level within the fair value hierarchy.

 

Assets and liabilities are classified in their entirety based on the lowest level of input that is significant to the fair value measurement.  

 

   As of June 30, 2022 
   Level 1   Level 2   Level 3   Total 
Assets:                
Marketable securities  $
      -
   $247,899   $
        -
   $   247,899 
Foreign currency derivative contracts   
-
    
-
    
-
    
-
 
                     
Total financial assets  $
-
   $247,899   $
-
   $247,899 
                     
Liabilities:                    
Marketable securities  $
-
   $
-
   $
-
   $
-
 
Foreign currency derivative contracts   
-
    2,401    
-
    2,401 
                     
Total financial liabilities  $
-
   $2,401   $
-
   $2,401 

 

   December 31, 2021 
   Level 1   Level 2   Level 3   Total 
Assets:                
Marketable securities  $
          -
   $177,385   $
       -
   $177,385 
Foreign currency derivative contracts   
-
    317    
-
    317 
                     
Total financial assets  $
-
   $177,702   $
-
   $177,702