Schedule of Derivative Instruments |
The following table presents the fair value of outstanding derivatives on an individual contract basis:
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Fair Value of Derivatives with Unrealized Gains |
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Fair Value of Derivatives with Unrealized Losses |
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(In thousands) |
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March 2021 |
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December 2020 |
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March 2020 |
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March 2021 |
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December 2020 |
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March 2020 |
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Derivatives designated as hedging instruments: |
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Foreign currency exchange contracts |
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$ |
6,593 |
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$ |
7,179 |
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$ |
5,717 |
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$ |
(4,659) |
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$ |
(8,640) |
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$ |
(14,603) |
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Interest rate swap agreements |
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— |
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— |
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— |
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(12,710) |
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(16,309) |
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(17,528) |
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Derivatives not designated as hedging instruments: |
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Foreign currency exchange contracts |
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221 |
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352 |
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1,271 |
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(3) |
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(154) |
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(477) |
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Total derivatives |
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$ |
6,814
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$ |
7,531
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$ |
6,988
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$ |
(17,372) |
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$ |
(25,103) |
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$ |
(32,608) |
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The following table presents a reconciliation of gross to net amounts for derivative asset and liability balances:
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March 2021 |
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December 2020 |
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March 2020 |
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(In thousands) |
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Derivative Asset |
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Derivative Liability |
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Derivative Asset |
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Derivative Liability |
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Derivative Asset |
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Derivative Liability |
Gross amounts presented in the balance sheet |
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$ |
6,814 |
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$ |
(17,372) |
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$ |
7,531 |
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$ |
(25,103) |
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$ |
6,988 |
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$ |
(32,608) |
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Gross amounts not offset in the balance sheet |
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(2,355) |
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2,355 |
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(1,818) |
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1,818 |
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(2,970) |
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2,970 |
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Net amounts |
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$ |
4,459
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$ |
(15,017) |
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$ |
5,713
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$ |
(23,285) |
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$ |
4,018
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$ |
(29,638) |
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The following table presents the location of derivatives in the Company's balance sheets, with current or noncurrent classification based on maturity dates:
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(In thousands) |
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March 2021 |
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December 2020 |
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March 2020 |
Prepaid expenses and other current assets |
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$ |
5,830 |
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$ |
5,773 |
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$ |
5,217 |
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Accrued liabilities |
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(4,065) |
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(7,166) |
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(10,256) |
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Other assets |
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984 |
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1,758 |
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1,771 |
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Other liabilities |
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(13,307) |
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(17,937) |
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(22,352) |
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Schedule of Cash Flow Hedging Instruments, Statements of Financial Performance and Financial Position, Location |
The following tables present the pre-tax effects of cash flow hedges included in the Company's statements of operations and statements of comprehensive income (loss):
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Gain (Loss) on Derivatives Recognized in AOCL |
(In thousands) |
Three Months Ended |
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Cash Flow Hedging Relationships |
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March 2021 |
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March 2020 |
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Foreign currency exchange contracts |
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$ |
1,546 |
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$ |
(10,906) |
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Interest rate swap agreements |
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2,086 |
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(14,670) |
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Total |
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$ |
3,632
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$ |
(25,576) |
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Gain (Loss) Reclassified from AOCL into Income |
(In thousands) |
Three Months Ended |
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Location of Gain (Loss) |
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March 2021 |
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March 2020 |
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Net revenues |
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$ |
75 |
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$ |
(358) |
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Cost of goods sold |
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(1,405) |
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3,741 |
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Other expense, net |
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(134) |
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(4) |
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Interest expense |
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(1,513) |
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(231) |
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Total |
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$ |
(2,977) |
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$ |
3,148
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