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

Fair Value Measurement (Tables)

v3.3.1.900
Fair Value Measurement (Tables)
12 Months Ended
Dec. 31, 2015
Fair Value Measurement [Abstract]  
Schedule of Assets and Liabilities Carried at Fair Value on a Recurring Basis
December 31, 2015  
(U.S. $ in thousands)  
  Level 2      Level 3      Total   
Assets:                  
 Foreign exchange forward contracts not                         
 designated as hedging instruments    $   866     $  -     $   866  
 Foreign exchange forward contracts                         
designated as hedging instruments  
23  
-  
23
                         
Liabilities:      
Foreign exchange forward contracts not                        
designated as hedging instruments   (432)   -   (432)
Foreign exchange forward contracts                         
designated as hedging instruments   (131)   -   (131)
Obligations in connection with acquisitions   -   (6,991)
 
(6,991)
  $ 326
  $ (6,991)
  $ (6,665)
   
  December 31, 2014  
  (U.S. $ in thousands)  
  Level 2   Level 3   Total
Assets:      
Foreign exchange forward contracts not       
designated as hedging instruments    $ 3,753   $ -   $ 3,753
                         
Liabilities:      
 Foreign exchange forward contracts not                         
designated as hedging instruments   (2,901)   -   (2,901)
 Foreign exchange forward contracts                         
designated as hedging instruments     (1,243)        -       (1,243)  
Obligations in connection with acquisitions   -   (35,656)
  (35,656)
  $ (391)   $ (35,656)
  $ (36,047)
Schedule of Reconciliation of Fair Value Measurements of Assets and Liabilities Utilizing Level 3 Inputs
  2015   2014    
  (U.S. $ in thousands)  
Fair value as of January 1   $ 35,656     $ 29,025
Settlements   (4,994)     (10,795)
Additions     -     43,576
Change in fair value recognized in earnings      (23,671)
  (26,150)
Fair value as of December 31     $ 6,991     $ 35,656