Annual and transition report of foreign private issuers pursuant to Section 13 or 15(d)

Fair value measurement (Details)

v3.24.0.1
Fair value measurement (Details) - USD ($)
Dec. 31, 2023
Dec. 31, 2022
Financial assets (liabilities):    
Contingent consideration related to business combinations $ 0 $ (3,883,000)
Fair Value, Recurring | Level 1    
Financial assets (liabilities):    
Contingent consideration related to business combinations   0
Total financial assets (liabilities) 0 0
Fair Value, Recurring | Level 2    
Financial assets (liabilities):    
Contingent consideration related to business combinations   0
Total financial assets (liabilities) 946,000 (346,000)
Fair Value, Recurring | Level 3    
Financial assets (liabilities):    
Contingent consideration related to business combinations   (3,883,000)
Total financial assets (liabilities) 0 (3,883,000)
Fair Value, Recurring | Derivatives designated as hedging instruments | Level 1    
Financial assets (liabilities):    
Foreign currency contracts designated as hedge instruments 0 0
Fair Value, Recurring | Derivatives designated as hedging instruments | Level 2    
Financial assets (liabilities):    
Foreign currency contracts designated as hedge instruments 946,000 (346,000)
Fair Value, Recurring | Derivatives designated as hedging instruments | Level 3    
Financial assets (liabilities):    
Foreign currency contracts designated as hedge instruments $ 0 $ 0