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Stock Based Compensation (Tables)
9 Months Ended
Sep. 30, 2023
Share-Based Payment Arrangement [Abstract]  
Schedule of Nonvested Share Activity
A summary of the activity of the Company's non-vested restricted stock under the 2017 Plan for the nine months ended September 30, 2023 and 2022, respectively, is presented below:
20232022
Number of
Non-vested
Restricted
Shares
Weighted
Average Per Share
Grant Date
Fair Value (1)
Number of
Non-vested
Restricted
Shares
Weighted
Average Per Share
Grant Date
Fair Value (1)
Non-vested shares as of January 1526,074 $16.34 477,276 $20.20 
Granted275,248 12.36 304,417 14.36 
Vested(244,015)18.18 (221,239)21.97 
Forfeited(13,802)12.79 (21,952)15.68 
Non-vested shares as of September 30
543,505 $13.57 538,502 $16.35 
Restricted stock granted during the period
275,248 $12.36 304,417 $14.36 

(1)The grant date fair value of restricted stock awards is based on the closing market price of the Company’s common stock at the grant date.
Schedule of PSU Award Activity
A summary of the activity of the target PSU awards under the 2017 Plan for the nine months ended September 30, 2023 and 2022, respectively, is presented below:
20232022
Number of
Non-vested
Target
Shares
Weighted
Average Per Share
Grant Date
Fair Value (1)
Number of
Non-vested
Target
Shares
Weighted
Average Per Share
Grant Date
Fair Value (1)
Non-vested target PSUs as of January 1786,577 $23.06 844,185 $21.70 
Granted 366,210 13.41 211,133 19.47 
Vested(201,978)28.18 (268,729)16.00 
Forfeited(44,984)(20.89)— — 
Non-vested target PSUs as of September 30
905,825 $18.12 786,589 $23.05 

(1)The grant date fair value of the PSUs was determined through a Monte-Carlo simulation of the Company’s common stock total shareholder return and the common stock total shareholder return of its identified performance peer companies to determine the relative total shareholder return of the Company’s common stock over a future period of three years.
Schedule of RSU Award Activity
A summary of the activity of the RSU awards under the 2017 Plan for the nine months ended September 30, 2023 and 2022, respectively, is presented below:
20232022
Number of
Non-vested
Shares
Weighted
Average Per Share
Grant Date
Fair Value (1)
Number of
Non-vested
Shares
Weighted
Average Per Share
Grant Date
Fair Value (1)
Non-vested RSUs as of January 1263,708 $16.11 254,052 $17.45 
Granted 244,140 10.24 105,566 14.88 
Vested(131,094)17.40 (95,910)18.32 
Forfeited(24,780)14.80 — — 
Non-vested RSUs as of September 30
351,974 $11.65 263,708 $16.10 

(1)The grant date fair value of RSUs is based on the closing market price of the Company’s common stock at the grant date.