Current report of foreign issuer pursuant to Rules 13a-16 and 15d-16 Amendments

Equity (Tables)

v2.4.1.9
Equity (Tables)
3 Months Ended
Mar. 31, 2015
Schedule of Share-based Compensation Expense
  Three Months Ended
  March 31,
  2015   2014
  U.S. $ in thousands
Cost of sales   $ 1,833   $ 912
Research and development, net   1,868   938
Selling, general and administrative   6,059   4,886
Total stock-based compensation expenses   $ 9,760   $ 6,736
Summary of Stock Options Activity
    Weighted Average
Number of Options   Exercise Price
Options outstanding as of January 1, 2015 1,719,241     $ 43.89
Granted -       -
Exercised   (91,528 )     22.13
Forfeited (27,496 )     50.46
Options outstanding as of March 31, 2015   1,600,217     $ 44.53
Options exercisable as of March 31, 2015 860,358     $ 23.77
Summary of RSUs activity
    Weighted Average
  Number of RSUs Grant Date Fair Value
RSUs outstanding as of January 1, 2015   667,498     $ 94.19
Granted   52,460       76.38
Forfeited   (20,461 )     94.23
RSUs outstanding as of March 31, 2015   699,497     $ 92.85
Schedule of Accumulated other comprehensive income (loss)
  Three months ended March 31, 2015
  Net unrealized gain   Foreign currency      
  (loss) on cash flow   translation      
  hedges   adjustments    Total
  U.S. $ in thousands
Balance as of January 1, 2015   (1,243 )    $ (2,404 )    $ (3,647 )
Other comprehensive income before                      
       reclassifications   (728 )     (6,408 )     (7,136 )
Amounts reclassified from accumulated                        
       other comprehensive income     1,108       -       1,108  
Other comprehensive income (loss)
  380       (6,408 )     (6,028 )
 Balance as of March 31, 2015   (863  )    $ (8,812  )   (9,675  )

 

  Three months ended March 31, 2014
  Net unrealized gain   Foreign currency              
  (loss) on cash flow   translation              
  hedges   adjustments   Other     Total
  U.S. $ in thousands
Balance as of January 1, 2014   153      $ 1,922      $ (167 )    $ 1,908  
Other comprehensive income before                              
       reclassifications   (7 )     (398 )     -       (405 )
Amounts reclassified from accumulated                                
       other comprehensive income     (121 )     -
    167       46
Other comprehensive income (loss)   (128 )     (398 )     167       (359 )
 Balance as of March 31, 2014   $
25       $ 1,524       $ -       $ 1,549