HEDGING INSTRUMENTS (Tables)
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6 Months Ended |
Jun. 30, 2026 |
| Derivative Instruments and Hedging Activities Disclosure [Abstract] |
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| Schedule of Net Investment Hedges and Income Statement Impact of Hedging Instruments |
The following table presents the effects of cash flow hedge accounting on our unaudited condensed consolidated statements of income and comprehensive income, and provides information regarding the location and amounts of pretax gains or losses of derivatives: | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | (in thousands) | | Financial statement line items in which effects of cash flow hedges are recorded | | Three Months Ended June 30, | | Six Months Ended June 30, | | | | 2026 | | 2025 | | 2026 | | 2025 | | Foreign currency exchange contracts | | Cost of revenue | | $ | 437,498 | | | $ | 414,725 | | | $ | 855,579 | | | $ | 789,773 | | | Gain (loss) reclassified from accumulated other comprehensive income into net income | | | | $ | 434 | | | $ | (1,180) | | | $ | 284 | | | $ | 2,565 | | | | | | | | | | | | | | Interest rate swap contract | | Interest expense | | $ | (10,182) | | | $ | (11,321) | | | $ | (17,923) | | | $ | (18,987) | | | Gain (loss) reclassified from accumulated other comprehensive income into net income | | | | $ | 182 | | | $ | 337 | | | $ | 387 | | | $ | 661 | |
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| Schedule of Outstanding Cross Currency Swaps Notional Amounts |
The following table presents the outstanding cross currency swaps notional amounts that will be delivered to and received from the counterparties at maturity: | | | | | | | | | | | | | | | | | | | | | (in thousands) | | Maturity Date | | Notional Amount to be Delivered at Maturity | | Notional Amount to be Received at Maturity | | | | | | | 3/31/2028 | | € | 35,000 | | | $ | 37,755 | | | 6/30/2028 | | € | 90,000 | | | $ | 98,217 | | | 7/17/2028 | | € | 76,000 | | | $ | 88,113 | | | 7/31/2028 | | € | 39,000 | | | $ | 45,735 | | | 6/29/2029 | | € | 20,000 | | | $ | 21,268 | | | 9/11/2032 | | ¥ | 3,683,750 | | | $ | 25,000 | |
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| Schedule of Hedging Instruments |
The fair values of hedging instruments and their respective classification on our unaudited condensed consolidated balance sheets and amounts subject to offset under master netting arrangements consisted of the following: | | | | | | | | | | | | | | | | | | | | | | (in thousands) | | | | Hedging Assets | | | | | June 30, 2026 | | December 31, 2025 | | Derivatives and non-derivatives designated as hedging instruments | | Balance Sheet Classification | | | | | | Foreign currency exchange contracts | | Other current assets | | $ | 8,347 | | | $ | 2,793 | | | Foreign currency exchange contracts | | Other long-term assets | | 2,994 | | | — | | | Interest rate swap contract | | Other long-term assets | | 3,180 | | | — | | | Cross currency swaps | | Other long-term assets | | 4,895 | | | 1,700 | | | Total derivative instruments presented as hedging instruments on the balance sheet | | | | 19,416 | | | 4,493 | | | Gross amounts subject to master netting arrangements not offset on the balance sheet | | | | (2,356) | | | (1,941) | | | Net amount | | | | $ | 17,060 | | | $ | 2,552 | |
| | | | | | | | | | | | | | | | | | | | | | (in thousands) | | | | Hedging Liabilities | | | | | June 30, 2026 | | December 31, 2025 | | Derivatives and non-derivatives designated as hedging instruments | | Balance Sheet Classification | | | | | | Foreign currency exchange contracts | | Accrued liabilities | | $ | 2,356 | | | $ | 6,661 | | | Cross currency swaps | | Other long-term liabilities | | 9,558 | | | 13,270 | | | Interest rate swap contract | | Other long-term liabilities | | — | | | 446 | | | Total derivative instruments presented as hedging instruments on the balance sheet | | | | 11,914 | | | 20,377 | | | Gross amounts subject to master netting arrangements not offset on the balance sheet | | | | (2,356) | | | (1,941) | | | Net amount | | | | $ | 9,558 | | | $ | 18,436 | |
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