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FAIR VALUE MEASUREMENTS (Tables)
6 Months Ended
Jun. 30, 2021
Fair Value Disclosures [Abstract]  
Schedule of financial assets and liabilities at fair value
                    
   Level 1   Level 2   Level 3   Total 
   (In thousands) 
Assets as of June 30, 2021:                
Equity securities at fair value  $80,195   $54,743   $   $134,938 
Total  $80,195   $54,743   $   $134,938 
                     
Assets as of December 31, 2020:                    
Equity securities at fair value  $109,103   $   $   $109,103 
Investment at fair value - warrants       2,752        2,752 
Total  $109,103   $2,752   $   $111,855 
                     
Liabilities as of June 30, 2021:                    
Series A warrants  $   $   $18,464   $18,464 
Series B warrants           230,539    230,539 
Series A embedded derivative liabilities           41,191    41,191 
Total  $   $   $290,194   $290,194 
                     
Liabilities as of December 31, 2020:                    
Series A warrants  $   $6,640   $   $6,640 
Series B warrants           52,341    52,341 
Series A embedded derivative liabilities           26,728    26,728 
Total  $   $6,640   $79,069   $85,709 
Schedule of changes in fair value Level 3 liabilities
                    
   Series A Warrant Liability   Series A Embedded Derivative Liability   Series B Warrant Liability   Total 
   (In thousands)     
Opening balance as of January 1, 2021  $   $26,728   $52,341   $79,069 
Transfers to Level 3   6,640            6,640 
Remeasurement to fair value   11,824    14,463    178,198    204,485 
Balance as of June 30, 2021  $18,464   $41,191   $230,539   $290,194