7Baggers

Perion Network Ltd
(NASDAQ:PERI) 

PERI stock logo

Perion Network Ltd. delivers advertising solutions to brands, agencies, and publishers in North America, Europe, and internationally. It provides Wildfire, a content monetization platform; search monetization solutions; actionable performance monitoring platform, a cross-channel social software as a...

Founded: 1999
Full Time Employees: 399
Sector: Communication Services
Industry: Internet Content & Information

Share this website to your friends
• Market Cap:
• Exchange:
• Shs Outstanding:
• Employees:
• Beta:
• Return on Equity (ROE) ttm:
• Return on Assets (ROA) ttm:
• EPS ttm:
• Book value per Share:
• Cash per Share:
• Current ast per Share:
• P/E ttm:
• P/E forward:
• P/E ttm high:
• P/E ttm low:
• P/S ttm:
• P/B ttm:
• P/FCF ttm:
• PEG ratio:
• Cash Ratio ttm:
• Quick Ratio ttm:
• Current Ratio ttm:
• Gross Mgn ttm:
• EBITDA Mgn ttm:
• Operating Mgn ttm:
• Net Income Mgn ttm:
• Trailing Div yield:
• Forward Div yield:
• Payout Ratio ttm:
• Ex-Dividend date:
• Target Price High:
• Target Price Low:
• Target Price Mean:
• Number of Analysts:
• Debt Ratio ttm:
• Debt to Equity ttm:
• Total Net Debt:
At a glance:
Bull Thesis:
Bear Thesis:
Main Competitors:
Moat:
Income Statements:
Quarterly
Annual
    Unit: USD2025-11-12 2025-08-11 2025-05-13 2025-02-19 2024-12-31 2024-11-06 2024-07-31 2024-05-08 2024-02-07 2023-12-31 2023-11-01 2023-08-02 2023-06-30 2023-05-03 2023-02-08 2022-12-31 2022-11-09 2022-08-03 2022-06-30 2022-04-28 2022-02-09 2021-12-31 2021-10-26 2021-08-03 2021-06-30 2021-05-04 2021-02-09 2020-12-31 2020-10-28 2020-08-05 2020-06-30 2020-05-06 2020-02-12 2019-12-31 2019-11-06 2019-08-07 2019-05-15 2019-02-13 2018-12-31 2018-11-01 2018-09-17 2018-08-09 2018-05-10 2018-03-15 2017-12-31 2017-11-09 2017-09-07 2017-08-03 2017-05-04 2017-03-07 2016-12-31 2016-11-08 2016-09-07 2016-08-03 2016-05-10 2016-03-24 2016-03-15 2015-12-31 2015-11-03 2015-09-24 2015-08-03 2015-05-06 2015-04-06 2015-02-25 2014-12-31 2014-11-06 2014-09-30 2014-08-06 2014-05-15 2014-04-18 2014-03-03 2013-12-31 2013-11-12 2013-10-15 2013-08-12 2013-05-13 2013-03-13 2012-12-31 2012-11-01 2012-08-08 2012-05-15 2012-03-06 2011-12-31 2011-11-14 2011-08-15 2011-05-12 2011-03-17 2010-12-31 2010-11-04 2010-08-12 2010-05-06 2010-03-25 2009-12-31 2009-11-12 2009-08-06 2009-05-04 2009-03-12 2008-12-31 2008-11-13 2008-08-13 2008-06-02 2008-04-01 2007-12-31 2007-11-15 2007-08-17 2007-05-14 2006-12-31 2006-11-16 2006-08-14 2006-04-04 2005-12-31 
                                                                                                                   
      revenue
                                                           104,628,298                                                        
      yoy
                                                                                                                   
      qoq
                                                                                                                   
      advertising solutions
    87,672,000 80,571,000 69,705,000 104,101,000 104,101,000 81,289,000 74,374,000 75,786,000                                                                                                        
      search advertising
    22,789,000 22,410,000 19,637,000 25,476,000 25,476,000 20,909,000 34,317,000 82,034,000 114,435,000 114,436,000 86,112,000 79,091,000 144,363,000 65,272 85,913,000 85,913,000 71,836,000 65,105,000 121,817,000 56,712,000 57,798,000 57,798,000 52,049,000                                                                                         
      total revenue
    110,461,000 102,981,000 89,342,000 129,577,000 129,577,000 102,198,000 108,691,000 157,820,000 234,230,000 234,230,000 185,305,000 178,470,000 323,620,000 145,150 209,670,000 209,670,000 158,615,000 146,656,000  125,315,000                                                                                            
      costs and expenses
                                                                                                                   
      cost of revenue
    13,805,000 13,037,000 12,341,000 12,564,000 12,334,000 11,525,000 11,299,000 11,485,000 10,877,000 10,877,000 9,805,000 9,589,000 17,148,000 7,559 9,390,000 9,390,000 7,540,000 6,861,000  6,613,000                                    48,294,117                                                        
      traffic acquisition costs and media buy
    59,486,000 55,372,000 49,681,000 74,838,000 74,838,000 54,572,000 58,933,000 97,619,000 143,605,000 143,605,000 107,981,000 101,482,000 181,357,000 79,875 122,046,000 122,046,000 93,625,000 85,956,000 156,930,000 70,974,000 93,342,000 93,342,000 73,590,000 66,226,000 121,086,000                                                                                       
      research and development
    8,581,000 8,945,000 8,452,000 8,638,000 8,461,000 8,271,000 10,112,000 9,811,000 8,714,000 8,714,000 7,763,000 8,236,000 16,589,000 8,353 9,289,000 9,289,000 7,766,000 8,336,000 17,369,000 9,033,000 9,245,000 9,245,000 8,630,000 8,928,000 17,473,000 8,545,000 8,480,000 8,480,000 8,071,000 7,122,000 14,329,000 7,207,000 6,137,000 6,137,000 5,976,000 5,610,000 4,862,000 4,321,000 4,321,000 4,341,000 10,222,000 4,678,000 5,544,000 4,406,000 3,564,000 4,096,000 9,529,000 4,230,000 5,299,000 6,393,000 6,393,000 5,632,000 14,503,000 7,184,000 7,319,000 6,375,621 6,843,000 6,843,000 6,395,000 13,139,000 5,819,000 7,320,000 44,129,000 9,297,000 9,297,000 10,873,000 23,959,000 11,177,000 13,327,000  4,172,000 2,305,250 2,928,000  2,922,000 3,372,000 2,877,000 1,964,500 2,711,000 2,464,000 2,683,000 2,386,000 1,266,750 1,726,000 1,465,000 1,876,000 1,712,000 1,223,750 1,707,000 1,501,000 1,582,000 1,720,000                    
      selling and marketing
    19,776,000 19,529,000 17,725,000 16,255,000 16,502,000 17,861,000 18,044,000 16,090,000 15,008,000 15,008,000 14,171,000 13,857,000 28,812,000 14,955 16,130,000 16,130,000 12,591,000 13,955,000 27,293,000 13,338,000 16,799,000 16,799,000 12,926,000 12,879,000 23,484,000 10,605,000 11,717,000 11,717,000 9,448,000 8,219,000 17,920,000 9,701,000 9,095,000 9,095,000 8,649,000 8,667,000 8,325,000 10,501,000 10,501,000 8,635,000 19,782,000 10,081,000 9,701,000 14,309,000 7,805,000 14,142,000 30,795,000 15,785,000 15,010,000 15,420,000 15,420,000 13,408,000 29,744,000 14,639,000 15,105,000  10,435,000 10,435,000 6,098,000 11,737,000 5,803,000 5,934,000 25,388,000 7,262,000 7,262,000 7,617,000 10,509,000 4,685,000 5,824,000  2,955,000 2,025,750 2,761,000  2,558,000 2,784,000 2,196,000 1,315,000 2,036,000 1,543,000 1,681,000 2,494,000 619,250 712,000 2,568,000 1,514,000 1,531,000 928,250 1,120,000 1,303,000 1,402,000 1,323,000                    
      general and administrative
    8,804,000 9,170,000 9,376,000 9,582,000 9,742,000 9,200,000 10,003,000 9,752,000 10,131,000 10,131,000 7,712,000 7,413,000 13,956,000 6,543 7,886,000 7,886,000 3,793,000 6,468,000 12,134,000 5,666,000 6,878,000 6,878,000 5,295,000 4,629,000 8,760,000 4,131,000 4,060,000 4,060,000 4,239,000 3,581,000 7,520,000 3,939,000 4,960,000 4,960,000 3,562,000 3,419,000 3,058,000 3,398,000 3,400,000 3,883,000 9,167,000 4,881,000 4,286,000 5,369,000 5,370,000 5,353,000 11,188,000 6,013,000 5,175,000 8,342,000 8,342,000 7,778,000 16,796,000 8,526,000 8,270,000 14,142,049 13,837,000 13,837,000 6,759,000 10,924,000 5,858,000 5,066,000 37,605,000 9,413,000 9,413,000 8,237,000 19,955,000 8,544,000 10,866,000  5,220,000 2,464,250 5,573,000  2,066,000 2,218,000 3,307,000 1,313,250 1,738,000 1,524,000 1,991,000 1,665,000 1,495,750 2,437,000 1,911,000 1,635,000 1,681,000 765,000 1,373,000 821,000 867,000 1,024,000                    
      change in fair value of contingent consideration
          1,541,000  2,110,000 2,110,000 1,982,000                                                                                                     
      depreciation and amortization
    4,939,000 4,294,000 3,472,000 3,524,000 3,524,000 3,579,000 4,773,000 4,558,000 3,901,000 3,901,000 3,425,000 3,405,000 6,766,000 3,361 3,741,000 3,741,000 3,704,000 3,208,000 6,393,000 3,185,000 3,598,000 3,598,000 1,922,000 2,000,000 4,377,000 2,377,000 2,675,000 2,675,000 2,695,000 2,251,000 4,553,000 2,302,000 2,407,000 2,407,000 2,628,000 2,286,000 2,390,000 2,629,000 2,629,000 2,528,000 4,562,000 2,491,000 2,071,000 3,294,000 3,294,000 3,388,000 9,909,000 5,008,000 4,901,000 6,174,000 6,174,000 6,156,000 13,647,000 6,308,000 7,339,000                                                         
      restructuring costs and other charges
      1,322,000                                                                                                             
      total costs and expenses
    115,391,000 110,347,000 102,369,000 125,401,000 125,401,000 105,008,000 121,600,000 149,315,000 194,346,000 194,346,000 152,839,000 158,584,000 279,230,000 120,646 168,482,000 168,482,000 129,019,000 124,784,000 233,593,000 108,809,000 137,180,000 137,180,000 108,647,000 100,821,000 186,775,000 85,954,000 108,280,000 108,280,000 79,623,000 62,854,000 127,907,000 65,053,000 70,579,000 70,579,000 61,804,000 59,225,000 51,834,000 63,818,000 63,820,000 53,669,000 120,665,000 59,984,000 60,681,000 111,128,000 111,128,000 62,495,000 176,021,000 112,075,000 63,946,000 79,051,000 79,051,000 69,711,000 152,684,000 75,582,000 77,102,000  91,462,000 91,462,000 121,337,000 74,172,000 37,307,000 36,865,000 333,436,000 86,248,000 86,248,000 64,260,000 182,928,000 86,936,000                                            
      income from operations
    4,930,000 -7,366,000 -13,027,000 4,176,000 -1,803,500 -2,810,000 -12,909,000 8,505,000 39,884,000 39,884,000 32,466,000 19,886,000 44,390,000 24,504 41,188,000 41,188,000 29,596,000 21,872,000 38,378,000 16,506,000 20,795,000 20,795,000 12,382,000 8,856,000 12,719,000 3,863,000 9,976,000 9,976,000 3,790,000 -2,513,000 -1,513,000 1,000,000 7,678,000 7,678,000 3,973,000 4,342,000 2,015,000 8,144,000 8,142,000 3,512,000 3,037,000 2,813,000 224,000 -33,848,000 -33,848,000 2,547,000 -44,357,000 -42,387,000 -1,970,000 5,491,000 5,491,000 4,749,000 1,108,000 2,421,000 -1,313,000 5,777,044 -23,855,000 -23,855,000 -68,700,000 26,534,000 11,262,000 15,272,000 55,295,000 -8,160,000 -8,160,000 22,025,000 41,430,000 22,599,000                                            
      yoy
    -373.36% 162.14% 0.91% -50.90% -104.52% -107.05% -139.76% -57.23% -10.15% 162665.26% -21.18% -51.72% 49.99% -99.89% 7.32% 149.53% 42.32% 5.18% 209.95% 86.38% 63.50% 438.31% 24.12% -11.23% 235.59% -253.72% -759.35% 897.60% -50.64% -132.73% -138.08% -76.97% 281.04% -5.72% -51.20% 23.63% -33.65% 189.51% 3534.82% -110.38% -108.97% 10.44% -100.50% -20.15% 1618.17% -53.62% -907.81% -992.55% -277.80% 126.81% -518.20% -17.80% -104.64% -110.15% -98.09% -78.23% -311.82% -256.20% -224.24% -425.17% -238.01% -30.66% 33.47% -136.11%                                                
      qoq
    -166.93% -43.46% -411.95% -331.55% -35.82% -78.23% -251.78% -78.68% 0.00% 22.85% 63.26% -55.20% 181054.10% -99.94% 0.00% 39.17% 35.31% -43.01% 132.51% -20.63% 0.00% 67.95% 39.81% -30.37% 229.25% -61.28% 0.00% 163.22% -250.82% 66.09% -251.30% -86.98% 0.00% 93.25% -8.50% 115.48% -75.26% 0.02% 131.83% 15.64% 7.96% 1155.80% -100.66% 0.00% -1428.94% -105.74% 4.65% 2051.62% -135.88% 0.00% 15.62% 328.61% -54.23% -284.39% -122.73% -124.22% 0.00% -65.28% -358.91% 135.61% -26.26% -72.38% -777.63% 0.00% -137.05% -46.84% 83.33%                                             
      operating margin %
    Infinity% -Infinity% -Infinity% Infinity% -Infinity% -Infinity% -Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% -Infinity% -Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% -Infinity% -Infinity% Infinity% -Infinity% -Infinity% -Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% -Infinity% 5.52% -Infinity% -Infinity% -Infinity% Infinity% Infinity% Infinity% Infinity% -Infinity% -Infinity% Infinity% Infinity% Infinity% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN%  
      financial income
    2,367,000 3,583,000 3,407,000 1,932,000 1,932,000 5,399,000 5,703,000 5,486,000 6,262,000 6,262,000 6,103,000 5,158,000 8,586,000 3,428      604,000      193,000                                     -2,888,000 -982,000 -982,000 -1,039,000 -867,000 -474,000 -393,000       -454,000 80,000 -63,500 -58,000 -248,000 52,000 1,059,000 58,500 100,000 57,000 77,000 47,000 68,750 186,000 -63,000 152,000 91,000                    
      income before taxes on income
    -2,563,000 -3,783,000 -9,620,000 6,108,000 6,108,000 2,589,000 -7,206,000 13,991,000 46,146,000 46,146,000 38,569,000 25,044,000 52,976,000 27,932 43,164,000 43,164,000 30,615,000 22,775,000 39,885,000 17,110,000 20,330,000 20,330,000 12,371,000 8,558,000 12,614,000 4,056,000 8,530,000 8,530,000 3,331,000 -3,254,000 -2,246,000 1,008,000 6,941,000 6,941,000 3,554,000 3,353,000 690,000 7,391,000 7,390,000 2,276,000 1,231,000 1,614,000  -35,604,000 -35,604,000 1,903,000  -43,725,000  3,609,000 3,609,000 3,799,000 -4,348,000 103,000 -4,451,000  -23,652,000 -23,652,000 -69,784,000 25,476,000 10,918,000 14,558,000 52,407,000 -9,142,000 -9,142,000 20,986,000 40,563,000 22,125,000 18,438,000  -1,344,000 997,750 -1,344,000  1,037,000 4,297,000 1,518,000 1,122,250 2,554,000 1,215,000 720,000 435,000 1,351,250 345,000 1,705,000 3,355,000 2,470,000 2,287,750 3,094,000 3,134,000 2,923,000 3,050,000                    
      taxes on income
    1,516,000 -312,000 -1,274,000 1,167,000 1,167,000 475,000 -997,000 2,223,000 6,745,000 6,745,000 5,748,000 3,638,000 7,785,000 4,147 4,487,000 4,487,000 5,033,000 3,275,000 4,919,000 1,644,000 2,635,000 2,635,000 1,749,000 1,475,000 2,225,000 750,000 -472,000 -472,000 1,203,000 -1,015,000   1,054,000 1,054,000 680,000 453,000  2,504,000   -188,000 -628,000 -440,000 1,673,000 1,673,000 -710,000  -7,709,000 -2,080,000 3,290,000 3,290,000 915,000 3,993,000 -1,565,000 -2,428,000  -6,887,000 -6,887,000 1,062,000 6,522,000 2,703,000 3,819,000 9,581,000 1,257,000 -3,469,000 3,990,000 9,060,000 4,438,000 4,622,000  419,000 419,000 314,000  195,000 1,409,000 925,000 925,000 861,000 337,000 350,000 243,000   -509,000 113,000 654,000 728,000 944,000 846,000 788,000 970,000                    
      net income
    -4,079,000 -3,471,000 -8,346,000 4,941,000 4,941,000 2,114,000 -6,209,000 11,768,000 39,401,000 39,401,000 32,821,000 21,406,000 45,191,000 23,785 38,677,000 38,677,000 25,582,000 19,500,000 34,966,000 15,466,000 17,695,000 17,695,000 10,622,000 7,083,000 10,389,000 3,306,000 9,002,000 9,002,000 2,128,000 -2,239,000 -905,000 1,334,000 5,887,000 5,887,000 2,874,000 2,900,000 1,232,000 4,887,000 4,886,000 2,192,000 1,043,000 986,000 57,000 -37,277,000 -37,277,000 2,613,000 -38,090,000 -36,016,000 -2,074,000 319,000 319,000 4,905,000 -5,023,000 585,000 -5,608,000 401,794 -16,765,000 -16,765,000 -70,846,000 18,954,000 8,215,000 10,739,000 42,826,000 -7,885,000 -5,673,000 16,996,000 31,503,000 17,687,000 13,816,000  -1,763,000 -1,763,000 -1,658,000  842,000 2,888,000 593,000 593,000 1,693,000 878,000 370,000 192,000 192,000 20,000  3,242,000 1,816,000 1,816,000 2,150,000  2,135,000 2,080,000                    
      yoy
    -182.55% -264.19% 34.42% -58.01% -87.46% -94.63% -118.92% -45.02% -12.81% 165554.82% -15.14% -44.65% 76.65% -99.88% 10.61% 150.08% 44.57% 10.20% 229.18% 118.35% 70.32% 435.24% 18.00% -21.32% 388.20% -247.66% -1094.70% 574.81% -63.85% -138.03% -131.49% -54.00% 377.84% 20.46% -41.18% 32.30% 18.12% 395.64% 8471.93% -105.88% -102.80% -62.27% -100.15% 3.50% 1697.35% 719.12% -12040.44% -834.27% -58.71% -45.47% -105.69% 1120.77% -70.04% -103.49% -92.08% -97.88% -304.08% -256.11% -265.43% -340.38% -244.81% -36.81% 35.94% -144.58% -141.06%  -1886.90% -1103.23% -933.29%  -309.38% -161.05% -379.60%  -50.27% 228.93% 60.27% 208.85% 781.77% 4290.00%  -94.08% -89.43% -98.90%   -14.94% -12.69%                        
      qoq
    17.52% -58.41% -268.91% 0.00% 133.73% -134.05% -152.76% -70.13% 0.00% 20.05% 53.33% -52.63% 189897.90% -99.94% 0.00% 51.19% 31.19% -44.23% 126.08% -12.60% 0.00% 66.59% 49.96% -31.82% 214.25% -63.27% 0.00% 323.03% -195.04% 147.40% -167.84% -77.34% 0.00% 104.84% -0.90% 135.39% -74.79% 0.02% 122.90% 110.16% 5.78% 1629.82% -100.15% 0.00% -1526.60% -106.86% 5.76% 1636.55% -750.16% 0.00% -93.50% -197.65% -958.63% -110.43% -1495.74% -102.40% 0.00% -76.34% -473.78% 130.72% -23.50% -74.92% -643.13% 38.99% -133.38% -46.05% 78.11% 28.02%   0.00% 6.33%   -70.84% 387.02% 0.00% -64.97% 92.82% 137.30% 92.71% 0.00% 860.00%   78.52% 0.00% -15.53%   2.64%                     
      net income margin %
    -Infinity% -Infinity% -Infinity% Infinity% Infinity% Infinity% -Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% -Infinity% -Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% -Infinity% -Infinity% Infinity% -Infinity% -Infinity% -Infinity% Infinity% Infinity% Infinity% -Infinity% Infinity% -Infinity% 0.38% -Infinity% -Infinity% -Infinity% Infinity% Infinity% Infinity% Infinity% -Infinity% -Infinity% Infinity% Infinity% Infinity% Infinity% NaN% -Infinity% -Infinity% -Infinity% NaN% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% NaN% Infinity% Infinity% Infinity% Infinity% NaN% Infinity% Infinity% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN%  
      net earnings per share
                                                                                                                   
      basic
    -0.1 -0.08 -0.19 0.11 0.04 0.05 -0.13 0.24 0.83 0.415 0.69 0.46 0.97 0.51 0.84 0.34 0.57 0.44 0.79 0.35 0.48 0.158 0.31 0.21 0.31 0.1 0.33 0.013 0.08 -0.08  0.05 0.23 0.068 0.11 0.11 0.05 0.19                   -0.23 -0.183 -0.99  0.12 0.15                       230 330 190 -679.13 220 240 220 220                    
      diluted
    -0.1 -0.08 -0.19 0.11 0.038 0.04 -0.13 0.24 0.78 0.393 0.65 0.43 0.91 0.48 0.79 0.318 0.53 0.41 0.74 0.33 0.44 0.143 0.28 0.19 0.29 0.09 0.3 0.01 0.08 -0.08  0.05 0.22 0.068 0.11 0.11 0.05 0.19                   -0.23 -0.183 -0.99  0.12 0.14                       220 320 180 -669.15 220 230 220 210                    
      weighted-average number of shares
                                                                                                                   
      basic
    41,469,458 42,032,856 44,866,925 45,215,999  46,935,927 48,733,540 48,256,697 47,756,953  47,392,072 46,961,028 46,673,439 46,382,655 45,842,833  45,146,639 44,439,023 44,238,414 44,035,576 36,768,367  34,567,551 34,074,321 33,116,072 32,147,176 26,946,060  26,707,649 26,629,654 26,546,844 26,287,515 26,115,057  25,966,097 25,894,632 25,883,768 25,850,187  25,850,188 25,850,021 77,550,069 77,550,069 77,550,069  77,550,069  77,550,069  77,163,670  76,573,397 76,247,269 76,324,076   72,685,789  71,242  70,960 70,278,575          12,330,631      10,159,049     9,796,380     9,622,181     9,347,915                   
      diluted
    41,469,458 42,032,856 44,866,925 46,325,857  48,360,345 48,733,540 49,541,695 50,600,750  50,270,296 49,637,258 49,551,061 49,467,671 48,872,169  47,997,745 47,292,249 47,210,769 47,030,727 40,349,416  37,865,732 37,085,265 36,289,802 35,820,634 29,961,648  28,336,902 26,629,654 26,546,844 28,212,685 27,288,364  26,895,407 25,896,520 25,885,029 26,850,977  26,420,782 25,852,109 79,261,852 77,550,069 77,550,069  80,381,420  77,550,069  77,540,690  77,739,340 76,271,789 80,605,055   72,685,789  71,242  71,120 74,670,557          13,003,334      10,366,808     10,002,171     9,831,628     9,562,721                   
      revenuew
                                                                                                                   
      restructuring costs
          6,895,000                                518,750  2,075,000 937,000 1,138,000        182,000    728,000  1,052,000                                                       
      display advertising
            119,795,000 119,794,000 99,193,000 99,379,000 179,257,000 79,878 123,757,000 123,757,000 86,779,000 81,551,000 150,154,000 68,603,000 100,177,000 100,177,000 68,980,000                                                                                         
      changes in fair value of contingent consideration
               14,602,000 14,602,000                                                                                                   
      revenue:
                                                                                                                   
      costs and expenses:
                                                                                                                   
      financial expense
                  -1,976,000 -631,500 -1,019,000 -903,000 -1,507,000  465,000 29,000 11,000 298,000 105,000  1,446,000 298,000 459,000 741,000 733,000 -8,000 737,000 683,250 419,000 989,000 1,325,000 753,000 760,500 1,236,000 1,806,000 1,199,000 607,000 1,756,000 1,041,500 644,000 3,522,000 1,338,000 2,184,000 1,882,000 1,601,500 950,000 5,456,000 2,318,000 3,138,000  -203,000 535,500 1,084,000 1,058,000 344,000 714,000         -51,000 321,000 483,000  347,000                                     
      revenues:
                                                                                                                   
      total revenues
                      271,971,000  157,975,000 157,975,000 121,029,000 109,677,000 199,494,000 89,817,000 118,256,000 118,256,000 83,413,000 60,341,000 126,394,000 66,053,000 78,257,000 78,257,000 65,777,000 63,567,000 53,849,000 71,962,000 71,962,000 57,181,000 123,702,000 62,797,000 60,905,000 77,280,000 77,280,000 65,042,000 131,664,000 69,688,000 61,976,000 84,542,000 84,542,000 74,460,000 153,792,000 78,003,000 75,789,000  67,607,000 67,607,000 52,637,000 100,706,000 48,569,000 52,137,000 388,731,000 78,088,000 78,088,000 86,285,000 224,358,000 109,535,000 114,823,000  16,863,000 18,322,250 21,284,000  24,427,000 27,578,000 21,366,000 9,714,250 16,215,000 11,983,000 10,659,000 10,303,000 6,292,250 8,431,000                            
      cost of revenues
                      13,474,000  7,318,000 7,318,000 6,284,000 6,159,000 11,595,000 5,436,000 6,539,000 6,539,000 5,292,000 4,880,000 10,646,000 5,766,000 6,867,000 6,867,000 6,819,000 6,068,000 5,766,000 6,416,000 6,416,000 5,474,000 11,867,000 5,811,000 6,056,000 6,838,000 14,183,000 3,561,000 6,915,000 3,406,000 3,509,000 4,577,000 4,577,000 3,747,000 8,191,000 4,141,000 4,050,000  7,909,000 7,909,000 2,660,000 5,626,000 2,744,000 2,882,000 27,817,000 7,327,000 7,327,000 7,527,000 12,963,000 6,570,000 6,393,000  2,650,000 2,650,000 2,721,000  2,981,000 3,088,000 1,850,000 1,850,000 1,293,000 1,064,000 1,023,000 1,311,000 1,311,000 686,000 459,000 384,000 452,000 288,500 382,000 391,000 373,000 439,000                    
      display and social advertising
                           58,029,000 96,166,000 38,137,000 68,400,000                                                                                     
      search advertising and other
                           51,648,000 103,328,000 51,680,000 49,856,000                                                                                     
      customer acquisition costs and media buy
                             54,860,000 74,809,000 74,809,000 49,878,000 36,801,000 72,939,000 36,138,000 41,113,000 41,113,000 34,170,000 33,175,000 27,433,000 36,553,000 36,553,000 28,808,000 62,990,000 31,105,000 31,885,000 35,092,000 35,092,000 31,955,000 63,838,000 33,786,000 30,052,000 38,145,000   69,075,000                                                           
      advertising
                               20,074,500 37,891,000 18,674,000 42,407,000 23,733,000 26,427,000 26,427,000 21,552,000 21,300,000 18,584,000 37,251,000 37,252,000 26,224,000 62,501,000 33,206,000 29,295,000 43,029,000 43,029,000 31,755,000 59,697,000 35,309,000 24,388,000 44,054,000                                                              
      search and other
                               32,377,250 45,522,000 41,667,000 83,987,000 42,320,000 51,830,000 51,830,000 44,225,000 42,267,000 35,265,000 34,711,000 34,710,000 30,957,000 61,201,000 29,591,000 31,610,000 34,251,000 34,251,000 33,287,000 71,967,000 34,379,000 37,588,000 40,488,000                                                              
      tax benefit
                                  1,341,000 326,000     542,000  -68,000 -84,000       9,789,000                                                                 
      net earnings per share – basic and diluted
                                  -0.03                                                                                 
      impairment charges
                                               41,820,000 10,961,750  43,847,000 43,847,000                                                                
      net earnings per share - basic and diluted
                                          0.033 0.08 0.04 0.01                                                                      
      loss before taxes on income
                                              383,000    -47,879,000  -4,154,000                                                               
      net earnings per share - basic and diluted:
                                                                                                                   
      weighted-average number of shares continuing and discontinued
                                                                                                                   
      basic
    41,469,458 42,032,856 44,866,925 45,215,999  46,935,927 48,733,540 48,256,697 47,756,953  47,392,072 46,961,028 46,673,439 46,382,655 45,842,833  45,146,639 44,439,023 44,238,414 44,035,576 36,768,367  34,567,551 34,074,321 33,116,072 32,147,176 26,946,060  26,707,649 26,629,654 26,546,844 26,287,515 26,115,057  25,966,097 25,894,632 25,883,768 25,850,187  25,850,188 25,850,021 77,550,069 77,550,069 77,550,069  77,550,069  77,550,069  77,163,670  76,573,397 76,247,269 76,324,076   72,685,789  71,242  70,960 70,278,575          12,330,631      10,159,049     9,796,380     9,622,181     9,347,915                   
      diluted
    41,469,458 42,032,856 44,866,925 46,325,857  48,360,345 48,733,540 49,541,695 50,600,750  50,270,296 49,637,258 49,551,061 49,467,671 48,872,169  47,997,745 47,292,249 47,210,769 47,030,727 40,349,416  37,865,732 37,085,265 36,289,802 35,820,634 29,961,648  28,336,902 26,629,654 26,546,844 28,212,685 27,288,364  26,895,407 25,896,520 25,885,029 26,850,977  26,420,782 25,852,109 79,261,852 77,550,069 77,550,069  80,381,420  77,550,069  77,540,690  77,739,340 76,271,789 80,605,055   72,685,789  71,242  71,120 74,670,557          13,003,334      10,366,808     10,002,171     9,831,628     9,562,721                   
      *) less than 0.01
                                                                                                                   
      net income from continuing operations
                                               -37,277,000 -37,277,000 2,613,000 -38,090,000 -36,016,000 -2,074,000 319,000 319,000 2,884,000 -355,000 1,668,000 -2,023,000        42,826,000 -7,885,000 -5,673,000 16,996,000 31,503,000 17,687,000                                            
      net loss from discontinued operations
                                                        -4,668,000 -1,083,000 -3,585,000                                                         
      continuing operations
                                               -0.48 -0.48 0.03 -0.49 -0.46 -0.03  0.01 0.04  0.02 -0.02        0.63 -0.11 -0.08 0.25 0.47 0.26 0.21                                           
      discontinued operations
                                                      -0.01 0.03 -0.06 -0.01 -0.05              68,226                                           
      restructuring charges
                                                        728,000                                                           
      net income per share
                                                                                                                   
      weighted-average number of shares continuing and discontinued operations
                                                                                                                   
      basic and diluted
                                                  77,548,252  77,486,996                                                               
      weighted-average number of shares continuing and discontinued
                                                                                                                   
      basic and diluted
                                                  77,548,252  77,486,996                                                               
      impairment, net of change in fair value of contingent consideration
                                                                                                                   
      net income from discontinued operations
                                                      -661,750 2,021,000                                                            
      net earnings per share - basic:
                                                                                                                   
      net earnings per share - diluted:
                                                                                                                   
      search
                                                      30,147,500 38,397,000 82,193,000 41,693,000 40,500,000  43,067,000 43,067,000 45,498,000 83,712,000 40,803,000 42,909,000 330,757,000 68,101,000 68,101,000 73,310,000 189,346,000 92,648,000 95,182,000  10,034,000 7,030,000 13,562,000  18,137,000 20,309,000 15,250,000 15,250,000 10,861,000 6,398,000 5,552,000 6,458,000 6,459,000 5,955,000                            
      advertising and other
                                                      26,915,500 36,063,000 71,599,000 36,310,000 35,289,000  24,540,000 24,540,000 7,139,000 16,994,000 7,766,000 9,228,000 57,974,000 9,987,000 9,987,000 12,975,000 35,012,000                                             
      customer acquisition and media buy costs
                                                      25,516,250 32,990,000  34,784,000 34,291,000  30,768,000                                                       
      weighted-average number of shares continuing and discontinued operations
                                                                                                                   
      basic
    41,469,458 42,032,856 44,866,925 45,215,999  46,935,927 48,733,540 48,256,697 47,756,953  47,392,072 46,961,028 46,673,439 46,382,655 45,842,833  45,146,639 44,439,023 44,238,414 44,035,576 36,768,367  34,567,551 34,074,321 33,116,072 32,147,176 26,946,060  26,707,649 26,629,654 26,546,844 26,287,515 26,115,057  25,966,097 25,894,632 25,883,768 25,850,187  25,850,188 25,850,021 77,550,069 77,550,069 77,550,069  77,550,069  77,550,069  77,163,670  76,573,397 76,247,269 76,324,076   72,685,789  71,242  70,960 70,278,575          12,330,631      10,159,049     9,796,380     9,622,181     9,347,915                   
      diluted
    41,469,458 42,032,856 44,866,925 46,325,857  48,360,345 48,733,540 49,541,695 50,600,750  50,270,296 49,637,258 49,551,061 49,467,671 48,872,169  47,997,745 47,292,249 47,210,769 47,030,727 40,349,416  37,865,732 37,085,265 36,289,802 35,820,634 29,961,648  28,336,902 26,629,654 26,546,844 28,212,685 27,288,364  26,895,407 25,896,520 25,885,029 26,850,977  26,420,782 25,852,109 79,261,852 77,550,069 77,550,069  80,381,420  77,550,069  77,540,690  77,739,340 76,271,789 80,605,055   72,685,789  71,242  71,120 74,670,557          13,003,334      10,366,808     10,002,171     9,831,628     9,562,721                   
      weighted-average number of shares - basic:
                                                                                                                   
      continuing and discontinued operations
                                                          76,169,607         69,160 16,973.25 69,002 67,325,808 67,475 67,175                                           
      weighted-average number of shares - diluted:
                                                                                                                   
      gross profit
                                                           56,334,181               14,213,000 11,209,000 18,563,000  21,446,000 24,490,000 19,516,000 19,516,000 14,922,000 10,919,000 9,636,000 8,992,000 8,993,000 7,745,000 7,592,000 8,303,000 7,347,000 7,347,000 7,108,000 6,822,000 6,622,000 7,026,000                    
      yoy
                                                                          -33.73% -54.23% -4.88%  43.72% 124.29% 102.53% 117.04% 65.93% 40.98% 26.92% 8.30% 22.40% 5.42% 6.81% 21.71% 10.95% 4.57%                        
      qoq
                                                                          26.80% -39.62%   -12.43% 25.49% 0.00% 30.79% 36.66% 13.31% 7.16% -0.01% 16.11% 2.02% -8.56% 13.01% 0.00% 3.36% 4.19% 3.02% -5.75%                     
      gross margin %
    NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% 53.84% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% Infinity% Infinity% Infinity% NaN% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN%  
      operating expenses
                                                                                                                   
      sales and marketing
                                                           27,321,926                                                        
      other operating expense
                                                           2,717,541                                                        
      total operating expenses
                                                           50,557,137             95,992,000  15,608,000 12,604,000 19,424,000  20,062,000 19,739,000 18,078,000 18,078,000 12,310,000 9,456,000 8,968,000 9,616,000 9,617,000 7,500,000 5,944,000 5,025,000 4,924,000 4,924,000 4,200,000 3,625,000 3,851,000 4,067,000                    
      total finance expense
                                                           3,111,010                                                        
      income before benefit from income taxes
                                                           2,666,034                                                        
      benefit from income taxes
                                                           2,264,240                                                        
      comprehensive income
                                                           938,560                                                        
      foreign currency translation adjustment
                                                           536,766                                                        
      impairment, net of gain on reversal of contingent consideration
                                                            20,618,000 17,930,500 74,119,000                                                     
      net earnings per share:
                                                                                                                   
      basic
    -0.1 -0.08 -0.19 0.11 0.04 0.05 -0.13 0.24 0.83 0.415 0.69 0.46 0.97 0.51 0.84 0.34 0.57 0.44 0.79 0.35 0.48 0.158 0.31 0.21 0.31 0.1 0.33 0.013 0.08 -0.08  0.05 0.23 0.068 0.11 0.11 0.05 0.19                   -0.23 -0.183 -0.99  0.12 0.15                       230 330 190 -679.13 220 240 220 220                    
      diluted
    -0.1 -0.08 -0.19 0.11 0.038 0.04 -0.13 0.24 0.78 0.393 0.65 0.43 0.91 0.48 0.79 0.318 0.53 0.41 0.74 0.33 0.44 0.143 0.28 0.19 0.29 0.09 0.3 0.01 0.08 -0.08  0.05 0.22 0.068 0.11 0.11 0.05 0.19                   -0.23 -0.183 -0.99  0.12 0.14                       220 320 180 -669.15 220 230 220 210                    
      weighted-average number of shares:
                                                                                                                   
      basic
    41,469,458 42,032,856 44,866,925 45,215,999  46,935,927 48,733,540 48,256,697 47,756,953  47,392,072 46,961,028 46,673,439 46,382,655 45,842,833  45,146,639 44,439,023 44,238,414 44,035,576 36,768,367  34,567,551 34,074,321 33,116,072 32,147,176 26,946,060  26,707,649 26,629,654 26,546,844 26,287,515 26,115,057  25,966,097 25,894,632 25,883,768 25,850,187  25,850,188 25,850,021 77,550,069 77,550,069 77,550,069  77,550,069  77,550,069  77,163,670  76,573,397 76,247,269 76,324,076   72,685,789  71,242  70,960 70,278,575          12,330,631      10,159,049     9,796,380     9,622,181     9,347,915                   
      diluted
    41,469,458 42,032,856 44,866,925 46,325,857  48,360,345 48,733,540 49,541,695 50,600,750  50,270,296 49,637,258 49,551,061 49,467,671 48,872,169  47,997,745 47,292,249 47,210,769 47,030,727 40,349,416  37,865,732 37,085,265 36,289,802 35,820,634 29,961,648  28,336,902 26,629,654 26,546,844 28,212,685 27,288,364  26,895,407 25,896,520 25,885,029 26,850,977  26,420,782 25,852,109 79,261,852 77,550,069 77,550,069  80,381,420  77,550,069  77,540,690  77,739,340 76,271,789 80,605,055   72,685,789  71,242  71,120 74,670,557          13,003,334      10,366,808     10,002,171     9,831,628     9,562,721                   
      customer acquisition costs
                                                             15,112,250 25,306,000 35,143,000 19,480,000 15,663,000 174,575,000 29,027,000 29,027,000 30,006,000 115,542,000 55,960,000 59,582,000  3,261,000 8,010,750 8,162,000  12,516,000 11,365,000 9,698,000 3,090,750 5,825,000 3,925,000 2,613,000 3,071,000 1,235,500 2,625,000                            
      gain on reversal of contingent consideration, net of impairment
                                                               -2,397,000                                                    
      net earnings per share - basic
                                                               0.27                                                    
      net earnings per share - diluted
                                                               0.27                                                    
      weighted-average number of shares - basic
                                                               70,623                                                    
      weighted-average number of shares - diluted
                                                               70,764                                                    
      gain on reversal of contingent consideration net of impairment
                                                                -2,397,000                                                   
      impairment and restructuring charges
                                                                  23,922,000 23,922,000                                                
      net earnings per share – diluted:
                                                                                                                   
      weighted-average number of shares – basic:
             47,128,232                  26,687,145      25,965,357                                                                              
      weighted-average number of shares – diluted:
             50,073,985                  28,797,747      26,357,585                                                                              
      number of shares – basic:
                                                                                                                   
      number of shares – diluted:
                                                                                                                   
      number of shares - basic:
                                                                                                                   
      number of shares - diluted:
                                                                                                                   
      products and other
                                                                       16,887,000 19,641,000  6,829,000                                         
      operating expenses:
                                                                                                                   
      operating income
                                                                        18,831,000  -1,395,000 -1,395,000 -861,000  1,384,000 4,751,000 1,438,000 1,438,000 2,612,000 1,463,000 668,000 -624,000 -624,000 245,000 1,648,000 3,278,000 2,423,000 2,423,000 2,908,000 3,197,000 2,771,000 2,959,000                    
      net income – continuing operations
                                                                        13,816,000                                           
      net loss - discontinued operations
                                                                                                                   
      elimination of perion’s historical intangible asset amortization
                                                                         -7,954,000    -3,715,000                                      
      estimated amortization of fair value of acquired intangible assets
                                                                         15,237,000    7,850,000                                      
      adjustments to cost of revenues
                                                                         7,283,000    4,135,000                                      
      adjustments to selling and marketing
                                                                         894,000    2,875,000                                      
      basic earnings (loss) per share
                                                                          -0.14                                         
      diluted earnings per share
                                                                          -0.14 0.04 -0.13  0.06 0.22 0.05 0.073 0.17 0.09 0.04 0.02 0.138                             
      basic weighted number of shares
                                                                          12,488  12,468  12,274 12,087 10,727  10,003 9,984 9,917 9,914  9,817                            
      diluted weighted number of shares
                                                                          12,488  12,468  13,030 12,838 11,275  10,158 10,022 10,007 9,958  10,013 10,022,000 10,014,000 9,971,000  9,724,000 9,761,000 9,870,000 9,847,000                    
      product and other
                                                                           5,320,250 7,722,000  6,290,000 7,269,000                                    
      basic earnings per share
                                                                           0.043 -0.13  0.07 0.24 0.06 0.075 0.17 0.09 0.04 0.02 0.14                             
      product
                                                                                4,377,000 3,299,250 4,083,000 4,740,000 4,374,000 3,236,000 988,750 1,445,000                            
      other
                                                                                1,739,000 1,739,000 1,271,000 845,000 733,000 609,000 609,000 1,031,000                            
      taxes (benefit) on income
                                                                                      -17,750 325,000                            
      revenues
                                                                                        8,051,000 8,687,000 7,799,000 5,424,500 7,490,000 7,213,000 6,995,000 7,465,000                    
      net profit
                                                                                        2,214,000     2,288,000                      
      net earnings per ordinary share:
                                                                                                                   
      basic
    -0.1 -0.08 -0.19 0.11 0.04 0.05 -0.13 0.24 0.83 0.415 0.69 0.46 0.97 0.51 0.84 0.34 0.57 0.44 0.79 0.35 0.48 0.158 0.31 0.21 0.31 0.1 0.33 0.013 0.08 -0.08  0.05 0.23 0.068 0.11 0.11 0.05 0.19                   -0.23 -0.183 -0.99  0.12 0.15                       230 330 190 -679.13 220 240 220 220                    
      diluted
    -0.1 -0.08 -0.19 0.11 0.038 0.04 -0.13 0.24 0.78 0.393 0.65 0.43 0.91 0.48 0.79 0.318 0.53 0.41 0.74 0.33 0.44 0.143 0.28 0.19 0.29 0.09 0.3 0.01 0.08 -0.08  0.05 0.22 0.068 0.11 0.11 0.05 0.19                   -0.23 -0.183 -0.99  0.12 0.14                       220 320 180 -669.15 220 230 220 210                    
      reconciliation of gaap to non-gaap results:
                                                                                                                   
      gaap net income
                                                                                        2,214,000 3,242,000 1,816,000 1,643,250 2,150,000 2,288,000 2,135,000 2,080,000                    
      stock based compensation
                                                                                        316,000 281,000 187,000 143,500 212,000  143,000 140,000                    
      non recurring income tax credit
                                                                                        -817,000                           
      acquisition related expenses
                                                                                        222,000                           
      non-gaap net income
                                                                                        1,935,000 2,929,000 2,179,000 1,899,250 2,812,000  2,278,000 2,220,000                    
      non-gaap net earnings per share :
                                                                                                                   
      basic
                                                                                        0.2 0.3 0.22 0.198 0.29  0.24 0.23                    
      diluted
                                                                                        0.19 0.29 0.22 0.195 0.29  0.23 0.23                    
      income tax expense
                                                                                        -509 113 654 644.5 944 846,000 788 970                    
      interest expense
                                                                                        -57                           
      depreciation, amortization and stock-based compensation
                                                                                        485 461 339 290.25 414 412,000 335 331                    
      ebitda
                                                                                        2,133 3,739 2,762 2,509.25 3,322 3,609,000 3,106 3,290                    
      non-recurring income tax credit
                                                                                         -594,000                          
      gaap net income:
                                                                                         3,242     2,135                     
      one-time compensation and hand-over expenses
                                                                                          176,000                         
      interest income
                                                                                          -47 -68.75 -186 63,000  -91                    
      adjusted ebitda
                                                                                          2,938                         
      one-time compensation expenses
                                                                                           112,500 450,000                       
      goodwill impairment and other charges
                                                                                                                   
      gain from sale of marketable securities
                                                                                                                   
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2025-11-12 2025-09-30 2025-08-11 2025-06-30 2025-05-13 2025-03-31 2025-02-19 2024-12-31 2024-11-06 2024-09-30 2024-07-31 2024-06-30 2024-05-08 2024-03-31 2024-02-07 2023-12-31 2023-11-01 2023-09-30 2023-08-02 2023-06-30 2023-05-03 2023-03-31 2023-02-08 2022-12-31 2022-11-09 2022-09-30 2022-08-03 2022-06-30 2022-04-28 2022-03-31 2022-02-09 2021-12-31 2021-10-26 2021-09-30 2021-08-03 2021-06-30 2021-05-04 2021-03-31 2021-02-09 2020-12-31 2020-10-28 2020-09-30 2020-08-05 2020-06-30 2020-05-06 2020-03-31 2020-02-12 2019-12-31 2019-11-06 2019-09-30 2019-08-07 2019-06-30 2019-05-15 2019-03-31 2019-02-13 2018-12-31 2018-11-01 2018-09-30 2018-09-17 2018-08-09 2018-06-30 2018-05-10 2018-03-31 2018-03-15 2017-12-31 2017-11-09 2017-09-30 2017-09-07 2017-08-03 2017-06-30 2017-05-04 2017-03-31 2017-03-07 2016-12-31 2016-11-08 2016-09-30 2016-09-07 2016-08-03 2016-06-30 2016-05-10 2016-03-31 2016-03-24 2016-03-15 2015-12-31 2015-11-03 2015-09-30 2015-09-24 2015-08-03 2015-06-30 2015-05-06 2015-04-06 2015-03-31 2015-02-25 2014-12-31 2014-11-06 2014-09-30 2014-08-06 2014-06-30 2014-05-15 2014-04-18 2014-03-31 2014-03-03 2013-12-31 2013-11-12 2013-10-15 2013-09-30 2013-08-12 2013-06-30 2013-05-13 2013-03-31 2013-03-13 2012-12-31 2012-11-01 2012-09-30 2012-08-08 2012-06-30 2012-05-15 2012-03-31 2012-03-06 2011-12-31 2011-11-14 2011-09-30 2011-08-15 2011-06-30 2011-05-12 2011-03-31 2011-03-17 2010-12-31 2010-11-04 2010-09-30 2010-08-12 2010-06-30 2010-05-06 2010-03-31 2010-03-25 2009-12-31 2008-12-31 2007-12-31 2006-12-31 2006-05-15 2006-01-30 
                                                                                                                                                   
        assets
                                                                                                                                                   
        current assets
                                                                                                           47,585,000                                        
        cash and cash equivalents
      124,387,000 124,387,000 113,643,000 113,643,000 150,718,000 150,718,000 156,228,000 156,228,000 154,730,000 154,730,000 145,985,000 145,985,000 174,858,000 174,858,000 187,609,000 187,609,000 197,853,000 197,853,000 185,928,000 185,928,000 133,440,000 133,440,000 176,226,000 176,226,000 171,355,000 171,355,000 102,398,000 102,398,000 92,892,000 92,892,000 104,446,000 104,446,000 96,210,000 96,210,000 58,154,000 58,154,000 71,999,000 71,999,000 47,656,000 47,656,000 51,660,000 51,660,000 30,986,000 30,986,000 46,374,000 46,374,000 38,389,000 38,389,000 35,484,000 35,484,000 36,144,000 36,144,000 38,386,000 38,386,000 39,109,000 39,109,000 40,876,000 40,876,000 34,662,000 34,662,000 34,662,000 41,737,000 41,737,000 31,567,000 31,567,000 33,967,000 33,967,000 20,925,000 20,925,000 20,925,000 22,809,000 22,809,000 23,962,000 23,962,000 23,578,000 23,578,000 31,665,000 31,665,000 31,665,000 38,375,000 38,375,000 9,205,031 17,519,000 17,519,000 73,516,000 73,516,000 72,242,000 72,242,000 72,242,000 60,870,000 101,183,000 60,870,000 101,183,000 101,183,000 96,934,000 35,551,000 35,551,000 35,551,000 51,174,000 949,000 51,174,000 23,364,000 23,364,000 27,276,000 228,680,000 27,276,000 30,385,000 30,385,000 27,647,000 27,647,000 21,762,000 21,762,000 17,860,000 17,860,000 16,330,000 16,330,000 13,522,000 13,522,000 11,260,000 11,260,000 9,517,000 9,517,000 12,232,000 12,232,000 12,246,000 12,246,000 16,055,000 16,055,000 17,150,000 17,150,000 11,316,000 11,316,000 17,697,000 17,697,000 24,368,000 24,368,000 7,835,000 4,611,000 8,366,000 20,371,000  
        restricted cash
      1,166,000 1,166,000 1,155,000 1,155,000 1,144,000 1,144,000 1,134,000 1,134,000 1,124,000 1,124,000 1,114,000 1,114,000 1,104,000 1,104,000 1,339,000 1,339,000 1,327,000 1,327,000 1,315,000 1,315,000 1,304,000 1,304,000 1,295,000 1,295,000 1,042,000 1,042,000 1,039,000 1,039,000 1,063,000 1,063,000 1,089,000 1,089,000 1,223,000 1,223,000 1,222,000 1,222,000 1,222,000 1,222,000 1,222,000 1,222,000 1,221,000 1,221,000 1,221,000 1,221,000 1,220,000 1,220,000 1,216,000 1,216,000 1,211,000 1,211,000                                         696,000  696,000 696,000 1,650,000 1,540,000 1,540,000 1,540,000 1,541,000  1,541,000 1,837,000 1,837,000 10,260,000  10,260,000 10,260,000 10,260,000 10,260,000 10,260,000 10,260,000 10,260,000                            30,000  
        short-term bank deposits
      131,730,000 131,730,000 145,621,000 145,621,000 141,316,000 141,316,000 139,333,000 139,333,000 149,339,000 149,339,000 184,738,000 184,738,000 225,139,000 225,139,000 207,450,000 207,450,000 253,950,000 253,950,000 225,300,000 225,300,000 251,300,000 251,300,000 253,400,000 253,400,000 219,000,000 219,000,000 250,600,000 250,600,000 249,600,000 249,600,000 217,200,000 217,200,000 60,000,000 60,000,000 83,000,000 83,000,000 56,000,000 56,000,000 12,700,000 12,700,000 8,300,000 8,300,000 16,872,000 16,872,000 7,748,000 7,748,000 23,234,000 23,234,000        4,000,000         5,913,000   1,503,000  1,503,000    8,414,000   12,375,000       42,442,000   55,656,000    15,000,000   15,000,000           30,533,000                                     
        marketable securities
      59,509,000 59,509,000 59,715,000 59,715,000 66,448,000 66,448,000 77,774,000 77,774,000 79,788,000 79,788,000 76,331,000 76,331,000 79,707,000 79,707,000 77,616,000 77,616,000 71,817,000 71,817,000 72,090,000 72,090,000 51,583,000 51,583,000                                                                                                     18,695,000 18,695,000 20,726,000 20,726,000 14,973,000 14,973,000 15,641,000 15,641,000 15,765,000 15,765,000 12,552,000 12,552,000 5,225,000 5,225,000    2,430,000  
        accounts receivable
      175,245,000 175,245,000 162,875,000 162,875,000 151,527,000 151,527,000 164,119,000 164,358,000 132,294,000 132,294,000 147,864,000 147,864,000 156,293,000 156,293,000 231,539,000 231,539,000 142,106,000 142,106,000 140,734,000 140,734,000 133,482,000 133,482,000 160,488,000 160,488,000 99,862,000 99,862,000 86,251,000 86,251,000 84,542,000 84,542,000 115,361,000 115,361,000 74,439,000 74,439,000 67,641,000 67,641,000 55,644,000 55,644,000 81,221,000 81,221,000 51,687,000 51,687,000 35,862,000 35,862,000 40,778,000 40,778,000 49,098,000 49,098,000 39,502,000 39,502,000 38,957,000 38,957,000 40,159,000 40,159,000 55,557,000 55,557,000 43,241,000 43,241,000 50,240,000 50,240,000 50,240,000 46,339,000 46,339,000 62,830,000 62,830,000 45,626,000 45,626,000 59,431,000 59,431,000 59,431,000 55,494,000 55,494,000 71,346,000 71,346,000 50,327,000 50,327,000 54,868,000 54,868,000 54,868,000 56,015,000 56,015,000  66,662,000 66,662,000 19,769,000 19,769,000 19,323,000 19,323,000 19,323,000 20,502,000 30,808,000 20,502,000 30,808,000 30,808,000 34,250,000 42,096,000 42,096,000 42,096,000                                            
        prepaid expenses and other current assets
      34,539,000 34,539,000 30,929,000 30,929,000 19,551,000 19,551,000 22,638,000 22,638,000 20,181,000 20,181,000 24,418,000 24,418,000 23,286,000 23,286,000 21,033,000 21,033,000 16,641,000 16,641,000 18,947,000 18,947,000 13,065,000 13,065,000 12,049,000 12,049,000 10,587,000 10,587,000 11,809,000 11,809,000 8,553,000 8,553,000 8,075,000 8,075,000 6,948,000 6,948,000 6,432,000 6,432,000 5,906,000 5,906,000 4,560,000 4,560,000 3,155,000 3,155,000 3,369,000 3,369,000 3,363,000 3,363,000 3,170,000 3,170,000 3,181,000 3,181,000 4,897,000 4,897,000 5,420,000 5,420,000 5,227,000 5,227,000 8,602,000 8,602,000 7,936,000 7,936,000 7,936,000 7,847,000 7,847,000 13,955,000 13,955,000 14,597,000 14,597,000 13,553,000 13,553,000 13,553,000 12,761,000 12,761,000 10,036,000 10,036,000 18,483,000 18,483,000 28,556,000 28,556,000 28,556,000 19,716,000 19,716,000 6,586,125 17,945,000 17,396,000 13,948,000 13,948,000 14,125,000 12,508,000 12,508,000 14,018,000 11,468,000 14,018,000  11,468,000      400,000     3,049,000                                     
        total current assets
      526,576,000 526,576,000 513,938,000 513,938,000 530,704,000 530,704,000 561,226,000 561,465,000 537,456,000 537,456,000 580,450,000 580,450,000 660,387,000 660,387,000 726,586,000 726,586,000 683,694,000 683,694,000 644,314,000 644,314,000 584,174,000 584,174,000 603,458,000 603,458,000 501,846,000 501,846,000 452,097,000 452,097,000 436,650,000 436,650,000 446,171,000 446,171,000 238,820,000 238,820,000 216,449,000 216,449,000 190,771,000 190,771,000 147,359,000 147,359,000 116,023,000 116,023,000 88,310,000 88,310,000 99,483,000 99,483,000 115,107,000 115,107,000 95,928,000 95,928,000 85,998,000 85,998,000 90,665,000 90,665,000 103,893,000 103,893,000 92,719,000 92,719,000 92,838,000 92,838,000 92,838,000 95,927,000 95,927,000 114,265,000 114,265,000 95,698,000 95,698,000 95,412,000 95,412,000 95,412,000 91,064,000 91,064,000 113,758,000 113,758,000 100,224,000 100,224,000 127,464,000 127,464,000 127,464,000 124,487,000 124,487,000 55,298,825 144,568,000 144,019,000 163,152,000 163,152,000 161,346,000 161,346,000 161,346,000 154,490,000 159,155,000 154,490,000 159,155,000 159,155,000 140,179,000 92,946,000 92,946,000 92,946,000 107,713,000 1,349,000 107,713,000  47,585,000 53,809,000 292,833,000 53,809,000 53,872,000 53,872,000 48,771,000 48,771,000 47,692,000 47,692,000 29,182,000 29,182,000 26,750,000 26,750,000 22,205,000 22,205,000 20,610,000 20,972,000 18,212,000 18,212,000 39,683,000 39,683,000 41,999,000 41,999,000 38,308,000 38,308,000 38,595,000 38,595,000 35,310,000 35,310,000 38,543,000 38,543,000 36,732,000 36,732,000    24,893,000  
        long-term assets
                                                                                                                                                   
        property and equipment
      11,211,000 11,211,000 10,277,000 10,277,000 9,299,000 9,299,000 8,916,000 8,916,000 7,142,000 7,142,000 4,406,000 4,406,000 3,171,000 3,171,000 3,179,000 3,179,000 3,012,000 3,012,000 3,181,000 3,181,000 3,435,000 3,435,000 3,611,000 3,611,000 3,766,000 3,766,000 3,935,000 3,935,000 4,034,000 4,034,000 4,211,000 4,211,000 5,065,000 5,065,000 5,463,000 5,463,000 5,873,000 5,873,000 6,770,000 6,770,000 7,667,000 7,667,000 8,611,000 8,611,000 9,801,000 9,801,000 10,918,000 10,918,000 12,155,000 12,155,000 13,417,000 13,417,000 14,537,000 14,537,000 15,649,000 15,649,000 16,172,000 16,172,000 15,938,000 15,938,000 15,938,000 17,285,000 17,285,000 17,476,000 17,476,000 16,968,000 16,968,000 16,050,000 16,050,000 16,050,000 14,748,000 14,748,000 14,205,000 14,205,000 13,936,000 13,936,000 13,659,000 13,659,000 13,659,000 13,510,000 13,510,000 2,281,527 12,714,000 12,714,000 12,761,000 12,761,000 12,240,000 12,240,000 12,240,000 11,603,000 12,180,000 11,603,000 12,180,000 12,180,000 11,367,000 5,488,000 5,488,000 5,488,000 3,723,000 2,189,000 3,723,000 1,377,000 1,377,000 1,456,000 4,125,000 1,456,000 1,492,000 1,492,000 1,529,000 1,529,000 1,522,000 1,522,000 1,256,000 1,256,000 1,335,000 1,335,000 1,249,000 1,249,000 1,300,000 1,300,000 1,328,000 1,328,000 1,233,000 1,233,000 1,293,000 1,293,000 1,381,000 1,381,000 1,049,000 1,049,000 1,205,000 1,205,000 1,328,000 1,328,000 1,366,000 1,366,000    565,000  
        operating lease right-of-use assets
      17,642,000 17,642,000 18,500,000 18,500,000 19,354,000 19,354,000 20,209,000 20,209,000 21,667,000 21,667,000 22,968,000 22,968,000 5,666,000 5,666,000 6,609,000 6,609,000 7,400,000 7,400,000 8,318,000 8,318,000 9,228,000 9,228,000 10,130,000 10,130,000 9,175,000 9,175,000 9,961,000 9,961,000 10,776,000 10,776,000 11,578,000 11,578,000 12,808,000 12,808,000 13,936,000 13,936,000 18,907,000 18,907,000 20,266,000 20,266,000 20,065,000 20,065,000 20,725,000 20,725,000 21,465,000 21,465,000 22,429,000 22,429,000 23,406,000 23,406,000 24,342,000 24,342,000 24,889,000 24,889,000                                                                                        
        goodwill and intangible assets
      359,547,000 359,547,000 363,859,000 363,859,000 313,089,000 313,089,000 316,003,000  319,902,000 319,902,000 322,911,000 322,911,000 332,539,000 332,539,000 337,990,000  238,218,000 238,218,000 241,235,000  244,226,000 244,226,000 247,191,000  250,179,000 250,179,000 240,364,000  243,177,000 243,177,000 245,965,000  172,610,000 172,610,000 173,981,000  175,337,000 175,337,000 176,679,000  178,289,000 178,289,000 166,369,000  167,463,000 167,463,000 128,444,000  129,482,000 129,482,000 130,620,000 130,620,000 131,661,000 131,661,000 131,547,000  132,747,000 132,747,000  134,026,000 134,026,000 135,210,000 135,210,000 136,360,000  180,600,000 180,600,000  182,987,000  230,744,000 230,744,000 234,755,000  240,260,000 240,260,000  256,548,000 256,548,000 261,808,000 261,808,000 78,054,882 269,765,000  109,268,000 109,268,000  184,806,000 184,806,000 189,577,000  189,577,000   208,027,000                                               
        deferred taxes
      8,451,000 8,451,000 5,096,000 5,096,000 5,209,000 5,209,000 9,681,000 8,517,000 5,892,000 5,892,000 5,984,000 5,984,000 4,591,000 4,591,000 2,817,000 4,180,000 7,651,000 7,651,000 6,414,000 6,414,000 5,719,000 5,719,000 5,779,000 5,779,000 2,955,000 2,955,000 5,398,000 5,398,000 5,413,000 5,413,000 5,228,000 5,228,000 7,245,000 7,245,000 6,788,000 6,788,000 6,840,000 6,840,000 7,111,000 7,111,000 6,297,000 6,297,000 5,872,000 5,872,000 4,216,000 4,216,000 6,171,000 6,171,000 5,622,000 5,622,000 5,274,000 5,274,000 4,960,000 4,960,000 4,414,000 4,414,000 4,666,000 4,666,000 4,752,000 4,752,000 4,752,000 5,129,000 5,129,000 4,798,000 4,798,000 7,902,000 7,902,000 6,811,000 6,811,000 6,811,000 4,004,000 4,004,000 4,117,000 4,117,000 4,223,000 4,223,000 4,425,000 4,425,000 4,425,000 4,999,000 4,999,000   12,344,000                                     258,000 258,000 285,000 285,000 329,000 329,000 102,000 102,000 84,000 84,000 101,000 101,000 104,000 104,000 63,000 63,000    264,000  
        other assets
      579,000 579,000 610,000 610,000 615,000 615,000 416,000 416,000 407,000 407,000 390,000 390,000 97,000 97,000 85,000 85,000 75,000 75,000 52,000 52,000 44,000 44,000 49,000 49,000 68,000 68,000 70,000 70,000 110,000 110,000 79,000 79,000 322,000 322,000 346,000 346,000 461,000 461,000 496,000 496,000 574,000 574,000 582,000 582,000 673,000 673,000 708,000 708,000 736,000 736,000 771,000 771,000 723,000 723,000 943,000 943,000 537,000 537,000 699,000 699,000 699,000 808,000 808,000 1,128,000 1,128,000 1,391,000 1,391,000 1,493,000 1,493,000 1,493,000 1,476,000 1,476,000 1,617,000 1,617,000 1,483,000 1,483,000 2,041,000 2,041,000 2,041,000 2,091,000 2,091,000 168,916 15,800,000 3,456,000 2,939,000 2,939,000 3,381,000 3,381,000 3,381,000 3,449,000 3,822,000 3,449,000 3,822,000 3,822,000 2,401,000 4,043,000 4,043,000 4,043,000 3,064,000  3,064,000 1,438,000 1,438,000 1,433,000  1,433,000 1,424,000 1,424,000 1,287,000 1,287,000 1,216,000 1,215,000 700,000 700,000 1,028,000 1,028,000 1,042,000 1,042,000 777,000 777,000                      
        total long-term assets
      388,979,000 388,979,000 393,246,000 393,246,000 347,566,000 347,566,000 355,225,000 354,061,000 355,010,000 355,010,000 356,659,000 356,659,000 346,064,000 346,064,000 350,680,000 350,680,000 256,356,000 256,356,000 259,200,000 259,200,000 262,652,000 262,652,000 266,760,000  266,143,000 266,143,000 259,728,000 259,728,000 263,510,000 263,510,000 267,061,000  198,050,000 198,050,000 200,514,000 200,514,000 207,418,000 207,418,000 211,322,000  212,892,000 212,892,000 202,159,000 202,159,000 203,618,000 203,618,000 168,670,000                                                         70,291,000  70,291,000 72,082,000 72,082,000 74,009,000 74,009,000 74,988,000 75,467,000 32,760,000 32,760,000 33,557,000 33,557,000 33,731,000 33,731,000 33,920,000 33,920,000 34,629,000 34,629,000 2,941,000 2,941,000 2,923,000 2,923,000 3,040,000 3,040,000 2,903,000 2,903,000 3,097,000 3,097,000 3,301,000 3,301,000 3,162,000 3,162,000    1,312,000  
        total assets
      915,555,000 915,555,000 907,184,000 907,184,000 878,270,000 878,270,000 916,451,000 915,526,000 892,466,000 892,466,000 937,109,000 937,109,000 1,006,451,000 1,006,451,000 1,077,266,000 1,077,266,000 940,050,000 940,050,000 903,514,000 903,514,000 846,826,000 846,826,000 870,218,000 870,218,000 767,989,000 767,989,000 711,825,000 711,825,000 700,160,000 700,160,000 713,232,000 713,232,000 436,870,000 436,870,000 416,963,000 416,963,000 398,189,000 398,189,000 358,681,000 358,681,000 328,915,000 328,915,000 290,469,000 290,469,000 303,101,000 303,101,000 283,777,000 283,777,000 267,329,000 267,329,000 260,422,000 260,422,000 267,435,000 267,435,000 256,446,000 256,446,000 246,841,000 246,841,000 248,253,000 248,253,000 248,253,000 254,359,000 254,359,000 274,027,000 274,027,000 302,559,000 302,559,000 302,753,000 302,753,000 302,753,000 342,036,000 342,036,000 368,452,000 368,452,000 360,126,000 360,126,000 404,137,000 404,137,000 404,137,000 406,895,000 406,895,000 135,804,150 442,847,000 442,298,000 288,120,000 288,120,000 361,773,000 361,773,000 361,773,000 359,119,000 356,139,000 359,119,000 356,139,000 356,139,000 361,974,000 289,806,000 289,806,000 289,806,000 306,329,000 31,058,000 306,329,000 114,875,000 114,875,000 124,100,000 334,183,000 124,100,000 125,954,000 125,954,000 122,780,000 122,780,000 122,680,000 123,159,000 61,942,000 61,942,000 60,307,000 60,307,000 55,936,000 55,936,000 54,530,000 54,892,000 52,841,000 52,841,000 42,624,000 42,624,000 44,922,000 44,922,000 41,348,000 41,348,000 41,498,000 41,498,000 38,407,000 38,407,000 41,844,000 41,844,000 39,894,000 39,894,000 37,651,000 31,766,000 31,424,000 26,205,000  
        liabilities and shareholders' equity
                                                                                                                                                   
        current liabilities
                                                                                                                                                   
        accounts payable
      126,433,000 126,433,000 119,670,000 119,670,000 97,708,000 97,708,000 122,005,000 122,005,000 101,454,000 101,454,000 115,565,000 115,565,000 146,080,000 146,080,000 217,181,000 217,181,000 139,476,000 139,476,000 145,639,000 145,639,000 131,154,000 131,154,000 155,854,000 155,854,000 110,672,000 110,672,000 96,687,000 96,687,000 94,056,000 94,056,000 107,730,000 107,730,000 78,365,000 78,365,000 75,141,000 75,141,000 60,684,000 60,684,000 72,498,000 72,498,000 48,031,000 48,031,000 36,601,000 36,601,000 41,133,000 41,133,000 47,681,000 47,681,000 40,466,000 40,466,000 36,748,000 36,748,000 35,297,000 35,297,000 38,208,000 38,208,000 36,152,000 36,152,000 35,150,000 35,150,000 35,150,000 32,352,000 32,352,000 39,180,000 39,180,000 32,692,000 32,692,000 31,937,000 31,937,000 31,937,000 31,521,000 31,521,000 38,293,000 38,293,000 28,080,000 28,080,000 39,492,000 39,492,000 39,492,000 33,200,000 33,200,000 9,590,210 40,389,000 40,388,000 15,011,000 15,011,000 15,079,000 15,079,000 15,079,000 16,203,000 21,173,000 16,203,000 21,173,000 21,173,000 24,982,000 24,641,000 24,641,000 24,641,000                                            
        accrued expenses and other liabilities
      33,135,000 33,135,000 33,938,000 33,938,000 29,473,000 29,473,000 32,983,000 32,848,000 27,122,000 27,122,000 27,043,000 27,043,000 25,455,000 25,455,000 42,636,000 42,636,000 33,759,000 33,759,000 29,861,000 29,861,000 22,752,000 22,752,000 37,869,000 37,869,000 29,376,000 29,376,000 25,314,000 25,314,000 27,081,000 27,081,000 40,331,000 40,331,000 23,576,000 23,576,000 17,902,000 17,902,000 16,600,000 16,600,000 21,188,000 21,188,000 17,859,000 17,859,000 14,873,000 14,873,000 20,797,000 20,797,000 18,414,000 18,414,000 15,849,000 15,849,000 13,693,000 13,693,000 14,514,000 14,514,000 17,240,000 17,240,000 13,793,000 13,793,000 16,172,000 16,172,000 16,172,000 16,426,000 16,426,000 17,784,000 17,784,000 14,915,000 14,915,000 15,434,000 15,434,000 15,434,000 15,066,000 15,066,000 17,466,000 17,466,000 13,894,000 13,894,000 18,462,000 18,462,000 18,462,000 18,840,000 18,840,000  23,405,000 22,857,000 14,597,000 14,597,000 15,148,000 15,148,000 15,148,000 17,238,000 26,241,000 17,238,000 26,241,000 26,241,000 17,809,000 19,121,000 19,121,000 19,121,000 19,455,000  19,455,000 16,420,000 16,420,000 17,177,000  17,177,000 17,771,000 17,771,000 14,935,000 14,935,000 14,676,000 14,679,000 7,008,000 7,008,000 6,920,000 6,920,000 6,836,000 6,836,000 6,588,000 6,950,000 13,455,000 13,455,000 4,757,000 4,757,000 6,718,000 6,718,000 6,206,000 6,206,000 5,426,000 5,426,000 4,722,000 4,722,000 6,168,000 6,168,000 6,577,000 6,577,000    1,866,000  
        short-term operating lease liability
      2,566,000 2,566,000 3,211,000 3,211,000 3,445,000 3,445,000 3,648,000 3,648,000 4,230,000 4,230,000 4,617,000 4,617,000 3,977,000 3,977,000 4,198,000 4,198,000 3,940,000 3,940,000 3,920,000 3,920,000 3,894,000 3,894,000 3,900,000 3,900,000 3,200,000 3,200,000 3,251,000 3,251,000 3,504,000 3,504,000 3,615,000 3,615,000 4,070,000 4,070,000 4,395,000 4,395,000 4,358,000 4,358,000 4,514,000 4,514,000 3,913,000 3,913,000 3,806,000 3,806,000 3,680,000 3,680,000 3,667,000 3,667,000 3,090,000 3,090,000 3,007,000 3,007,000 4,226,000 4,226,000                                                                                        
        deferred revenue
      1,535,000 1,535,000 1,815,000 1,815,000 1,391,000 1,391,000 2,049,000 2,049,000 1,999,000 1,999,000 2,543,000 2,543,000 2,135,000 2,135,000 2,297,000 2,297,000 1,530,000 1,530,000 1,978,000 1,978,000 1,914,000 1,914,000 2,377,000 2,377,000 2,098,000 2,098,000 2,560,000  3,199,000 3,199,000                                                    735,820                                                            
        short-term payment obligation related to acquisitions
      4,744,000 4,744,000 3,203,000 3,203,000 1,762,000 1,762,000 4,110,000 1,300,000 3,803,000 3,803,000 27,403,000 27,403,000 73,716,000 73,716,000 73,716,000 73,716,000 71,464,000 71,464,000 69,333,000 69,333,000 54,585,000 54,585,000 34,608,000 34,608,000 34,571,000 34,571,000 37,724,000 37,724,000 34,651,000 34,651,000 38,179,000 38,179,000 29,924,000 29,924,000 30,192,000 30,192,000 30,986,000 30,986,000 7,869,000 7,869,000 17,458,000 17,458,000 13,946,000 13,946,000 13,699,000 13,699,000 1,025,000 1,025,000 686,000 686,000 347,000 347,000                                                                                          
        total current liabilities
      168,413,000 168,413,000 161,837,000 161,837,000 133,779,000 133,779,000 164,795,000 161,850,000 138,608,000 138,608,000 177,171,000 177,171,000 251,363,000 251,363,000 340,028,000 340,028,000 250,169,000 250,169,000 250,731,000 250,731,000 214,299,000 214,299,000 234,608,000 234,608,000 179,917,000 179,917,000 165,536,000 165,536,000 162,491,000 162,491,000 193,707,000 193,707,000 139,122,000 139,122,000 131,947,000 131,947,000 117,753,000 117,753,000 120,113,000 120,113,000 112,243,000 112,243,000 81,497,000 81,497,000 91,035,000 91,035,000 83,308,000 83,308,000 71,607,000 71,607,000 65,659,000 65,659,000 75,039,000 75,039,000 77,114,000 77,114,000 70,843,000 70,843,000 74,372,000 74,372,000 74,372,000 79,821,000 79,821,000 81,370,000 81,370,000 72,494,000 72,494,000 73,495,000 73,495,000 73,495,000 71,195,000 71,195,000 86,710,000 86,710,000 80,276,000 80,276,000 105,010,000 105,010,000 105,010,000 90,680,000 90,680,000 35,015,125 107,174,000 106,625,000 50,950,000 50,950,000 55,223,000 55,223,000 55,223,000 59,491,000 65,624,000 59,491,000 65,624,000 65,624,000 62,372,000 60,490,000 60,490,000 60,490,000 98,790,000 21,031,000 98,790,000 50,445,000 50,445,000 58,083,000 49,479,000 58,083,000 51,349,000 51,349,000 48,814,000 48,814,000 51,985,000 51,988,000 17,883,000 17,883,000 17,715,000 17,715,000 22,398,000 22,398,000 20,649,000 21,011,000 18,927,000 18,927,000 9,392,000 9,392,000 14,181,000 14,181,000 10,241,000 10,241,000 12,647,000 12,647,000 7,556,000 7,556,000 9,371,000 9,371,000 9,886,000 9,886,000    4,880,000  
        long-term liabilities
                                                                                                                                                   
        payment obligation related to acquisition
      19,913,000 19,913,000 19,553,000 19,553,000         1,716,000 1,716,000         33,113,000 33,113,000 32,966,000 32,966,000 21,491,000 21,491,000 33,377,000 33,377,000 33,250,000 33,250,000 5,086,000 5,086,000 5,059,000 5,059,000 6,810,000 6,810,000 30,035,000 30,035,000 19,206,000 19,206,000 12,067,000 12,067,000 11,537,000 11,537,000                                22,365,000 22,365,000 35,680,000 35,680,000               6,680,000 6,680,000 6,680,000 8,996,000  8,996,000 8,773,000 8,773,000        20,317,000      6,963,000 6,963,000 6,574,000 6,574,000                      
        long-term operating lease liability
      19,749,000 19,749,000 19,765,000 19,765,000 18,152,000 18,152,000 18,654,000 18,654,000 18,697,000 18,697,000 19,504,000 19,504,000 2,665,000 2,665,000 3,448,000 3,448,000 4,415,000 4,415,000 5,480,000 5,480,000 6,534,000 6,534,000 7,580,000 7,580,000 6,805,000 6,805,000 7,663,000 7,663,000 8,835,000 8,835,000 9,774,000 9,774,000 10,429,000 10,429,000 11,271,000 11,271,000 16,245,000 16,245,000 17,698,000 17,698,000 17,623,000 17,623,000 18,386,000 18,386,000 19,085,000 19,085,000 20,363,000 20,363,000 21,547,000 21,547,000 22,387,000 22,387,000 21,367,000 21,367,000                                                                                        
        other long-term liabilities
      12,703,000 12,703,000 12,672,000 12,672,000 10,743,000 10,743,000 13,246,000 12,082,000 13,345,000 13,345,000 14,427,000 14,427,000 16,013,000 16,013,000 15,643,000 15,643,000 12,023,000 12,023,000 10,811,000 10,811,000 13,668,000 13,668,000 11,783,000 11,783,000 9,265,000 9,265,000 9,935,000 9,935,000 9,647,000 9,647,000 9,541,000 9,541,000 7,681,000 7,681,000 7,445,000 7,445,000 6,729,000 6,729,000 6,713,000 6,713,000 6,202,000 6,202,000 6,025,000 6,025,000 6,014,000 6,014,000 6,591,000 6,591,000 5,773,000 5,773,000 5,854,000 5,854,000 5,762,000 5,762,000 6,158,000 6,158,000 6,405,000 6,405,000 5,992,000 5,992,000 5,992,000 6,596,000 6,596,000 7,606,000 7,606,000 6,538,000 6,538,000 6,743,000 6,743,000 6,743,000 5,682,000 5,682,000 5,721,000 5,721,000 4,642,000 4,642,000 4,652,000 4,652,000 4,652,000 4,017,000 4,017,000  23,314,000  3,234,000 3,234,000 3,605,000 3,605,000 3,605,000 4,057,000 3,708,000 4,057,000 1,758,000 3,708,000 6,080,000  4,518,000 4,518,000      3,297,000  3,297,000 3,472,000 3,472,000 3,528,000 3,528,000 3,357,000                               
        total long-term liabilities
      60,816,000 60,816,000 57,086,000 57,086,000 28,895,000 28,895,000 31,900,000 30,736,000 32,042,000 32,042,000 33,931,000 33,931,000 20,394,000 20,394,000 19,091,000 19,091,000 16,438,000 16,438,000 16,291,000 16,291,000 20,202,000 20,202,000 52,476,000  49,036,000 49,036,000 39,089,000 39,089,000 51,859,000 51,859,000 52,565,000  23,196,000 23,196,000 23,775,000 23,775,000 29,784,000 29,784,000 54,446,000  45,114,000 45,114,000 40,645,000 40,645,000 42,886,000 42,886,000 35,287,000                                                         8,122,000 3,515,000 8,122,000 15,413,000 15,413,000 15,804,000 15,804,000 15,985,000 16,461,000 8,077,000 8,077,000 8,627,000 8,627,000 989,000 989,000 2,066,000 2,066,000 2,550,000 2,550,000 2,819,000 2,819,000 2,966,000 2,966,000 2,955,000 2,955,000 2,848,000 2,848,000 2,980,000 2,980,000 3,131,000 3,131,000 3,006,000 3,006,000    1,586,000  
        total liabilities
      229,229,000 229,229,000 218,923,000 218,923,000 162,674,000 162,674,000 196,695,000 192,586,000 170,650,000 170,650,000 211,102,000 211,102,000 271,757,000 271,757,000 359,119,000 359,119,000 266,607,000 266,607,000 267,022,000 267,022,000 234,501,000 234,501,000 287,084,000 287,084,000 228,953,000 228,953,000 204,625,000 204,625,000 214,350,000 214,350,000 246,272,000 246,272,000 162,318,000 162,318,000 155,722,000 155,722,000 147,537,000 147,537,000 174,559,000 174,559,000 157,357,000 157,357,000 122,142,000 122,142,000 133,921,000 133,921,000 118,595,000 118,595,000 109,344,000 109,344,000 106,400,000 106,400,000 116,751,000 116,751,000 107,665,000 107,665,000 103,450,000 103,450,000 107,683,000 107,683,000 107,683,000 115,222,000 115,222,000 135,695,000 135,695,000 127,532,000 127,532,000 130,982,000 130,982,000 130,982,000 135,051,000 135,051,000 160,308,000 160,308,000 153,901,000 153,901,000 204,045,000 204,045,000 204,045,000 209,264,000 209,264,000 95,527,854 243,010,000 242,461,000 82,859,000 82,859,000 88,417,000 88,417,000 88,417,000 96,633,000 110,142,000 96,633,000 110,142,000 110,142,000 112,990,000 68,108,000 68,108,000 68,108,000 107,392,000  107,392,000  58,305,000  52,994,000                                12,107,000 10,995,000 8,847,000   
        shareholders' equity
                                                                                                           56,570,000  57,895,000  57,895,000 59,192,000 59,192,000 58,162,000 58,162,000 54,710,000  35,982,000 35,982,000                          19,739,000  
        ordinary shares
      361,000 361,000 360,000 360,000 388,000 388,000 429,000  427,000 427,000 423,000 423,000 416,000 416,000 413,000  409,000 409,000 405,000  403,000 403,000 398,000  389,000 389,000 379,000  378,000 378,000 375,000  290,000 290,000 287,000  282,000 282,000 224,000  219,000 219,000 218,000  217,000 217,000 213,000  212,000 212,000 211,000 211,000 211,000 211,000 211,000  211,000 211,000  211,000 211,000 211,000 211,000 211,000  211,000 211,000  211,000  211,000 211,000 210,000  209,000 209,000  207,000 207,000 207,000 207,000  206,000  195,000 195,000  194,000 194,000 194,000  194,000 189,000      183,000  183,000                                         
        additional paid-in capital
      505,225,000 505,225,000 502,539,000 502,539,000 528,255,000 528,255,000 566,652,000 527,149,000 559,869,000 559,869,000 553,553,000 553,553,000 535,767,000 535,767,000 530,620,000 530,620,000 526,399,000 526,399,000 522,217,000 522,217,000 518,994,000 518,994,000 513,534,000 513,534,000 508,946,000 508,946,000 502,573,000 502,573,000 499,527,000 499,527,000 496,154,000 496,154,000 321,500,000 321,500,000 318,690,000 318,690,000 315,291,000 315,291,000 251,933,000 251,933,000 248,204,000 248,204,000 246,888,000 246,888,000 245,864,000 245,864,000 243,211,000  241,996,000 241,996,000 240,745,000 240,745,000 240,285,000 240,285,000 239,693,000  239,094,000 239,094,000 238,459,000 238,459,000 238,459,000 237,593,000 237,593,000 236,975,000 236,975,000 236,529,000 236,529,000 235,966,000 235,966,000 235,966,000 235,397,000 235,397,000 234,831,000 234,831,000 232,961,000 232,961,000 231,654,000 231,654,000 231,654,000 230,045,000 230,045,000  227,258,000 227,258,000 215,123,000 215,123,000 211,955,000 211,955,000 211,955,000 209,997,000 203,984,000 209,997,000 202,982,000 203,984,000  189,946,000   184,938,000 10,027,000 184,938,000  46,618,000  26,498,000       45,069,000        25,714,000        23,734,000        22,390,000      
        treasury shares at cost
      -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -47,923,000 -1,002,000 -34,533,000 -34,533,000 -21,054,000 -21,054,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000  -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000  -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000  -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000 -1,002,000  -1,002,000                                                
        accumulated other comprehensive loss
      1,021,000 1,021,000   -316,000 -316,000 -215,000 -215,000   -673,000 -673,000 -454,000 -454,000 -83,000 -83,000 -1,161,000 -1,161,000 -1,105,000 -1,105,000 -641,000 -641,000 -582,000 -582,000 -1,406,000 -1,406,000 -1,277,000 -1,277,000                                           83,000 83,000 -265,000 -265,000      -180,000 -180,000  -794,000 -794,000      -268,000  -268,000                                                  
        retained earnings
      180,721,000 180,721,000 184,800,000 184,800,000 188,271,000 188,271,000 200,813,000 196,617,000 195,872,000 195,872,000 193,758,000 193,758,000 199,967,000 199,967,000 188,199,000 188,199,000 148,798,000 148,798,000 115,977,000 115,977,000 94,571,000 94,571,000 70,786,000 70,786,000 32,109,000 32,109,000 6,527,000 6,527,000                                                       -25,831,000 -25,831,000 -9,066,000 -9,066,000 61,780,000 61,780,000 61,780,000 53,565,000 42,826,000 53,565,000 42,826,000 42,826,000 48,499,000 31,503,000 31,503,000 31,503,000 13,816,000  13,816,000  10,925,000  254,086,000       10,615,000        7,081,000        5,298,000        5,386,000      
        total shareholders' equity
      686,326,000 686,326,000 688,261,000 688,261,000 715,596,000 715,596,000 719,756,000 722,940,000 721,816,000 721,816,000 726,007,000 726,007,000 734,694,000 734,694,000 718,147,000 718,147,000 673,443,000 673,443,000 636,492,000 636,492,000 612,325,000 612,325,000 583,134,000 583,134,000 539,036,000 539,036,000 507,200,000 507,200,000 485,810,000 485,810,000 466,960,000 466,960,000 274,552,000 274,552,000 261,241,000  250,652,000 250,652,000   171,558,000 171,558,000   169,180,000 169,180,000 165,182,000    154,022,000 154,022,000 150,684,000 150,684,000 148,781,000  143,391,000 143,391,000 140,570,000 140,570,000 140,570,000 139,137,000 139,137,000 138,332,000 138,332,000 175,027,000 175,027,000 171,771,000 171,771,000 171,771,000 206,985,000 206,985,000 208,144,000 208,144,000 206,225,000 206,225,000 200,092,000 200,092,000 200,092,000 197,631,000 197,631,000  199,837,000 199,837,000 205,261,000 205,261,000 273,356,000 273,356,000 273,356,000 262,486,000 245,997,000 262,486,000 245,997,000 245,997,000  221,698,000       56,570,000  281,189,000       54,710,000        31,815,000        28,152,000        27,002,000      
        total liabilities and shareholders' equity
      915,555,000 915,555,000 907,184,000 907,184,000 878,270,000 878,270,000 916,451,000 915,526,000 892,466,000 892,466,000 937,109,000 937,109,000 1,006,451,000 1,006,451,000 1,077,266,000 1,077,266,000 940,050,000 940,050,000 903,514,000 903,514,000 846,826,000 846,826,000 870,218,000 870,218,000 767,989,000 767,989,000 711,825,000 711,825,000 700,160,000 700,160,000 713,232,000 713,232,000 436,870,000 436,870,000 416,963,000  398,189,000 398,189,000   328,915,000 328,915,000   303,101,000 303,101,000 283,777,000    260,422,000 260,422,000 267,435,000 267,435,000 256,446,000  246,841,000 246,841,000 248,253,000 248,253,000 248,253,000 254,359,000 254,359,000 274,027,000 274,027,000 302,559,000 302,559,000 302,753,000 302,753,000 302,753,000 342,036,000 342,036,000 368,452,000 368,452,000 360,126,000 360,126,000 404,137,000 404,137,000 404,137,000 406,895,000 406,895,000  442,847,000 442,298,000 288,120,000 288,120,000 361,773,000 361,773,000 361,773,000 359,119,000 356,139,000 359,119,000 356,139,000 356,139,000  289,806,000      114,875,000 114,875,000 124,100,000 334,183,000 124,100,000 125,954,000 125,954,000 122,780,000 122,780,000 122,680,000 123,159,000 61,942,000 61,942,000 60,307,000 60,307,000 55,936,000 55,936,000 54,530,000 54,892,000 52,841,000 52,841,000 42,624,000 42,624,000 44,922,000 44,922,000 41,348,000 41,348,000 41,498,000 41,498,000 38,407,000 38,407,000 41,844,000 41,844,000 39,894,000 39,894,000    26,205,000  
        accumulated other comprehensive gain
        1,564,000 1,564,000     181,000 181,000                   -120,000 -120,000 -128,000  -102,000 -102,000 22,000 22,000 -80,000 -80,000 112,000  284,000 284,000 498,000 498,000 137,000 137,000 130,000  36,000 36,000 199,000 199,000 221,000 221,000 142,000  237,000 237,000  243,000 243,000 662,000 662,000 532,000  396,000 396,000  316,000                                                                         
        intangible assets
             68,917,000        88,652,000    45,708,000    51,664,000    51,099,000    56,700,000    21,678,000    24,376,000    17,199,000    2,635,000        6,496,000   8,975,000      11,309,000   19,587,000  19,587,000    44,018,000   54,521,000       66,072,000   13,051,000    16,890,000  16,890,000 16,890,000           1,858,000                                     
        goodwill
             247,086,000        247,975,000    195,527,000    195,527,000    189,265,000    189,265,000    152,303,000    152,303,000    149,170,000    125,809,000        125,051,000   125,051,000      125,051,000   163,400,000  163,400,000    190,737,000   202,027,000       203,693,000   171,755,000    164,092,000  164,092,000 164,092,000  146,400,000 146,400,000 146,400,000  27,520,000   37,435,000  33,461,000       37,435,000 24,753,000 24,753,000 24,753,000 24,753,000 24,753,000 24,753,000 24,753,000 24,753,000                      
        commitments and contingencies
                                                                                                                                                   
        ordinary shares of ils 0.03 par value - authorized: 80,000,000 shares at december 31, 2024 and 2023; issued: 44,940,392 and 48,106,683 at december 31, 2024 and 2023, respectively; outstanding: 44,825,053 and 47,991,344 shares at december 31, 2024 and 2023, respectively
             391,000                                                                                                                                      
        ordinary shares of ils 0.03 par value - authorized: 80,000,000 and 60,000,000 shares at december 31, 2023 and 2022, respectively; issued: 48,106,683 and 46,287,732 at december 31, 2023 and 2022, respectively; outstanding: 47,991,344 and 46,172,393 shares at december 31, 2023 and 2022, respectively
                     413,000                                                                                                                              
        current liabilities:
                                                                                                                                                   
        ordinary shares of ils 0.03 par value - authorized: 80,000,000 and 60,000,000 shares as of june 30, 2023 and december 31, 2022 respectively; issued: 47,154,827 and 46,287,732 as of june 30, 2023 and december 31, 2022 respectively; outstanding: 47,039,488 and 46,172,393 shares as of june 30, 2023 and december 31, 2022, respectively
                         405,000                                                                                                                          
        current assets:
                                                                                                                                                   
        long-term assets:
                                                                                                                                                   
        long-term liabilities:
                                                                                                                                                   
        shareholders' equity:
                                                                                                                                                   
        ordinary shares of ils 0.03 par value - authorized: 60,000,000 shares at december 31, 2022 and 2021; issued: 46,287,732 and 43,812,062 shares at december 31, 2022 and 2021, respectively; outstanding: 46,172,393 and 43,696,723 shares at december 31, 2022 and 2021, respectively
                             398,000                                                                                                                      
        deferred revenues
                                 2,560,000   3,852,000 3,852,000 3,187,000 3,187,000 4,317,000 4,317,000 5,125,000 5,125,000 5,711,000 5,711,000 4,149,000 4,149,000 3,938,000 3,938,000 3,393,000 3,393,000 4,188,000 4,188,000 3,183,000 3,183,000 3,531,000 3,531,000 3,417,000 3,417,000 3,794,000 3,794,000 3,935,000 3,935,000 4,432,000 4,432,000 4,432,000 4,482,000 4,482,000 5,271,000 5,271,000 4,845,000 4,845,000 5,245,000 5,245,000 5,245,000 5,126,000 5,126,000 5,354,000 5,354,000 5,218,000 5,218,000 6,146,000 6,146,000 6,146,000 6,438,000 6,438,000  7,731,000 7,731,000 7,102,000 7,102,000 7,653,000 7,653,000 7,653,000 7,600,000 7,323,000 7,600,000 7,323,000 7,323,000 7,090,000 7,748,000 7,748,000 7,748,000 7,923,000 6,250,000 7,923,000 9,052,000 9,052,000 4,800,000 6,324,000 4,800,000 5,360,000 5,360,000 5,462,000 5,462,000 5,132,000 5,132,000 4,380,000 4,380,000 4,761,000 4,761,000 5,540,000 5,540,000 4,280,000 4,280,000 3,182,000 3,182,000 2,216,000 2,216,000 2,265,000 2,265,000 2,204,000 2,204,000 1,918,000 1,918,000 2,024,000 2,024,000 2,191,000 2,191,000 2,270,000 2,270,000    2,675,000  
        ordinary shares of ils 0.03 par value - authorized: 60,000,000 shares; issued: 44,778,307 and 43,812,062 as of june 30, 2022 and, december 31, 2021 respectively; outstanding: 44,662,968 and 43,696,723 shares as of june 30, 2022 and, december 31, 2021, respectively
                                 379,000                                                                                                                  
        accumulated deficit
                                  -12,973,000 -12,973,000 -28,439,000 -28,439,000 -46,134,000 -46,134,000 -56,756,000 -56,756,000 -63,839,000 -63,839,000 -67,145,000 -67,145,000 -76,147,000 -76,147,000 -78,275,000 -78,275,000 -76,036,000 -76,036,000 -77,370,000  -83,257,000 -83,257,000 -86,131,000 -86,131,000 -89,031,000 -89,031,000 -90,263,000  -95,149,000 -95,149,000 -97,341,000 -97,341,000 -97,341,000 -98,327,000 -98,327,000 -98,384,000 -98,384,000 -61,107,000 -61,107,000 -63,720,000 -63,720,000 -63,720,000 -27,704,000 -27,704,000 -25,630,000 -25,630,000 -25,949,000 -25,949,000 -30,854,000 -30,854,000 -30,854,000 -31,439,000 -31,439,000                                                             
        short-term loans and current maturities of long-term loans
                                            8,333,000 8,333,000 20,833,000 20,833,000                                                                                                    
        ordinary shares of ils 0.03 par value - authorized: 60,000,000 and 43,333,333 shares at december 31, 2021 and 2020, respectively; issued: 43,812,062 and 27,467,313 shares at december 31, 2021 and 2020, respectively; outstanding: 43,696,723 and 27,351,974 shares at december 31, 2021 and 2020, respectively
                                     375,000                                                                                                              
        accumulated other comprehensive income
                                     -128,000        112,000                   243,000      532,000   316,000  316,000     6,000 6,000 87,000 87,000 87,000      11,000 11,000 429,000 429,000 429,000       62,000 62,000 62,000                              100,000        207,000      
        liabilities and shareholders’ equity
                                                                                                                                                   
        shareholders’ equity:
                                                                                                                                                   
        ordinary shares of ils 0.03 par value - authorized: 43,333,333 shares; issued: 34,541,150 and 27,467,313 as of june 30, 2021 and, december 31, 2020 respectively; outstanding: 34,425,811 and 27,351,974 shares as of june 30, 2021 and, december 31, 2020, respectively
                                         287,000                                                                                                          
        total shareholders’ equity
                                         261,241,000   184,122,000 184,122,000   168,327,000 168,327,000     157,985,000 157,985,000                                                  10,027,000                                          
        total liabilities and shareholders’ equity
                                         416,963,000   358,681,000 358,681,000   290,469,000 290,469,000     267,329,000 267,329,000                                                  31,058,000                                          
        long-term loans, net of current maturities
                                              2,083,000 2,083,000                                                                                                    
        long-term debt
                                                4,167,000 4,167,000 6,250,000 6,250,000 8,333,000 8,333,000 10,417,000 10,417,000 12,500,000 12,500,000 14,583,000 14,583,000 16,667,000 16,667,000 17,989,000 17,989,000 19,382,000 19,382,000 19,382,000 20,785,000 20,785,000 30,026,000 30,026,000 32,431,000 32,431,000  33,984,000  36,792,000 36,792,000 37,928,000 37,928,000 40,893,000 40,893,000  43,724,000 43,724,000 45,757,000 45,757,000 54,750,000  46,920,000         1,950,000  2,525,000 3,100,000 3,100,000 3,100,000 3,675,000  3,675,000 4,250,000 4,250,000 4,825,000  4,825,000 5,400,000 5,400,000 5,975,000 5,975,000 6,550,000 6,550,000 7,125,000 7,125,000 7,700,000 7,700,000                          
        ordinary shares of ils 0.03 par value - authorized: 43,333,333 shares at december 31, 2020 and 2019; issued: 27,467,313 and 26,357,798 shares at december 31, 2020 and 2019, respectively; outstanding: 27,351,974 and 26,242,459 shares at december 31, 2020 and 2019, respectively
                                             224,000                                                                                                      
        short-term loans and current maturities of long-term and convertible debt
                                                8,333,000  8,333,000 8,333,000 8,333,000 8,333,000 8,333,000 8,333,000 8,333,000 8,333,000 16,385,000 16,385,000 16,059,000 16,059,000 13,484,000 13,484,000 13,472,000 13,472,000 13,472,000 21,415,000 21,415,000 13,989,000 13,989,000 13,879,000 13,879,000  13,749,000  11,799,000 11,799,000 17,944,000 17,944,000 23,978,000 23,978,000  20,740,000 20,740,000 24,099,000 24,099,000  23,756,000 23,756,000                                                          
        short-term loans and current maturities of long-term
                                                 8,333,000                                                                                                  
        ordinary shares of ils 0.03 par value - authorized: 43,333,333 shares; issued: 26,357,798 and 26,782,158 as of december 31, 2019 and june 30, 2020, respectively; outstanding: 26,242,459 and 26,666,819 shares as of december 31, 2019 and june 30, 2020, respectively
                                                 218,000                                                                                                  
        convertible debt, net of current maturities
                                                            7,726,000 7,726,000 8,213,000 8,213,000 7,937,000 7,937,000 7,937,000 8,020,000 8,020,000 16,693,000 16,693,000 16,003,000 16,003,000 16,672,000 16,672,000 16,672,000 16,039,000 16,039,000 21,862,000 21,862,000 22,061,000 22,061,000 21,703,000 21,703,000 21,703,000 22,609,000 22,609,000  28,371,000 28,371,000                                                          
        short-term bank deposit
                                                      16,550,000 16,550,000 6,000,000 6,000,000 6,700,000 6,700,000 4,000,000       4,000 4,000 5,913,000  1,508,000 1,508,000  1,503,000    8,414,000  7,836,000 7,836,000  12,375,000 12,375,000                                                               
        payment obligation related to acquisitions
                                                          1,200,000 1,200,000 1,813,000 1,813,000 3,479,000 3,479,000 5,146,000 5,146,000 5,146,000 5,146,000 5,146,000 5,146,000 5,146,000 6,163,000 6,163,000 7,130,000 7,130,000 7,130,000 7,683,000 7,683,000 7,653,000 7,653,000 9,106,000 9,106,000 20,170,000 20,170,000 20,170,000 8,103,000 8,103,000  11,893,000 11,893,000 5,146,000 5,146,000 7,646,000 7,646,000 7,646,000 9,199,000 8,587,000 9,199,000 8,587,000 8,587,000 10,191,000         24,484,000  24,484,000 17,694,000 17,694,000 20,361,000 20,361,000  20,317,000                              
        ordinary shares of ils 0.03 par value - authorized: 40,000,000 shares; issued: 25,965,360 at december 31, 2017 and june 30,2018 ; outstanding: 25,850,021 shares at december 31, 2017 and june 30, 2018
                                                                211,000                                                                                   
        ordinary shares of ils 0.01 par value - authorized: 120,000,000 shares; issued: 77,569,088 and 77,896,088 shares at december 31, 2016 and 2017, respectively; outstanding: 77,223,069 and 77,550,069 shares at december 31, 2016 and 2017, respectively
                                                                      211,000                                                                             
        short-term loans and current maturities of long-term loans and convertible debt
                                                                         13,749,000  13,749,000       20,740,000                                                                 
        long- term debt, net of current maturities
                                                                         33,984,000  33,984,000       43,724,000                                                                 
        ordinary shares of ils 0.01 par value - authorized: 120,000,000 shares; issued: 77,569,088 and 77,896,088 shares at december 31, 2016 and june 30, 2017, respectively; outstanding: 77,223,069 and 77,550,069 shares at december 31, 2016 and june 30, 2017, respectively
                                                                         211,000  211,000                                                                        
        ordinary shares of ils 0.01 par value - authorized: 120,000,000 shares; issued: 76,157,506 and 77,569,088 shares at december 31, 2015 and 2016, respectively; outstanding: 75,811,487 and 77,223,069 shares at december 31, 2015 and 2016, respectively
                                                                               210,000                                                                    
        ordinary shares of ils 0.01 par value - authorized: 120,000,000 shares; issued: 76,157,506 and 76,672,607 shares at december 31, 2015 and june 30, 2016, respectively; outstanding: 75,811,487 and 76,326,588 shares at december 31, 2015 and june 30, 2016, respectively
                                                                                  207,000                                                                 
        short term bank deposit
                                                                                     10,381,000 10,381,000  42,442,000  55,919,000 55,919,000  55,656,000 55,656,000 59,100,000  59,100,000 15,000,000                                                 
        649,340 at september 30, 2015 and december 31, 2014, respectively
                                                                                       39,507,669                                                            
        liabilities, convertible preferred stock, and stockholders' deficit
                                                                                                                                                   
        accrued expenses and other current liabilities
                                                                                       21,689,095                                                            
        current maturity of debt
                                                                                       3,000,000                                                            
        other liabilities
                                                                                       3,109,150                                                            
        deferred tax liability
                                                                                       2,653,579                               71,000 71,000 61,000 61,000                          
        convertible preferred stock
                                                                                                                                                   
        series a redeemable convertible preferred stock; 0.0005 par value;
                                                                                                                                                   
        40,000,000 shares authorized; 37,184,556 shares issued and
                                                                                                                                                   
        outstanding at september 30, 2015 and december 31, 2014, respectively;
                                                                                                                                                   
        aggregate liquidation preference of 63,002,438 and
                                                                                                                                                   
        59,436,262, respectively
                                                                                       63,002,438                                                            
        stockholders' deficit
                                                                                       -22,726,142                                                            
        total liabilities, convertible preferred stock, and stockholders' deficit
                                                                                       135,804,150                                                            
        long-term debt , net of current maturities
                                                                                        46,920,000                                                           
        other long term liabilities
                                                                                         3,858,000            4,518,000   4,927,000  4,927,000 3,610,000 3,610,000         3,833,000                              
        ordinary shares of ils 0.01 par value - authorized: 120,000,000 shares; issued: 69,548,450 and 76,157,506 shares at december 31, 2014 and 2015, respectively; outstanding: 69,202,431 and 75,811,487 shares at december 31, 2014 and 2015, respectively
                                                                                         206,000                                                          
        current maturities of long-term loans and convertible debt
                                                                                          9,094,000 9,094,000 9,697,000 9,697,000 9,697,000                                                     
        convertible debt
                                                                                          28,675,000 28,675,000 29,589,000 29,589,000 29,589,000 27,803,000 35,752,000 27,803,000  35,752,000                                                
        ordinary shares of ils 0.01 par value - authorized: 120,000,000 shares; issued: 69,548,450 and 71,296,156 shares at december 31, 2014 and june 30, 2015, respectively; outstanding: 69,202,431 and 70,950,137 shares at december 31, 2014 and june 30, 2015, respectively
                                                                                            194,000                                                       
        derivative asset in respect of convertible debt
                                                                                             1,617,000 1,617,000                                                     
        current maturities of long-term and convertible debt
                                                                                               9,251,000  9,251,000                                                  
        current maturities of long-term debt
                                                                                                2,300,000  2,300,000 2,300,000          2,300,000  2,300,000 2,300,000 2,300,000 2,300,000 2,300,000 2,300,000  2,300,000 2,300,000 2,300,000 2,300,000                          
        ordinary shares of ils 0.01 par value - authorized: 120,000,000 shares; issued: 55,099,601 and 69,548,450 shares at december 31, 2013 and 2014, respectively; outstanding: 54,753,582 and 69,202,431 shares at december 31, 2013 and 2014, respectively
                                                                                                189,000   189,000                                                
        other current assets
                                                                                                  11,468,000  7,345,000  13,759,000 13,759,000 6,127,000  6,127,000                                         
        non-current assets:
                                                                                                                                                   
        non-current liabilities:
                                                                                                                                                   
        long-term convertible debt
                                                                                                  35,752,000  37,279,000                                               
        long-term payment obligation related to acquisitions
                                                                                                  5,058,000                                                 
        assets:
                                                                                                                                                   
        liabilities and stockholders' equity:
                                                                                                                                                   
        current maturities of long term debt
                                                                                                    2,300,000    17,133,000  17,133,000 2,300,000 2,300,000         2,300,000                              
        long-term payment obligation related to acquisition
                                                                                                    4,734,000                                               
        stockholders' equity:
                                                                                                                                                   
        common shares, ...
                                                                                                    200,485,000  190,133,000 190,133,000                                            
        total stockholders' equity:
                                                                                                    248,984,000                                               
        total liabilities and stockholders' equity
                                                                                                    361,974,000                                               
        prepaids and other current assets
                                                                                                     13,759,000                                              
        other intangible assets
                                                                                                     40,929,000 40,929,000 40,929,000     27,040,000         35,295,000 5,650,000 5,650,000 6,039,000 6,039,000 6,196,000 6,196,000 6,606,000 6,606,000   459,000 459,000 183,000 183,000 202,000 202,000 212,000 212,000 206,000 206,000 206,000 206,000 134,000 134,000      
        short term debt
                                                                                                     2,300,000 2,300,000 2,300,000                                            
        ordinary shares of nis 0.01 par value - authorized: 120,000,000 shares at december 31, 2013 and june 30, 2014; issued and outstanding: 54,753,582 and 68,450,726 shares at december 31, 2013 and june 30, 2014, respectively
                                                                                                     187,000                                              
        liabilities and stockholders’ equity
                                                                                                                                                   
        stockholders’ equity:
                                                                                                                                                   
        total stockholders’ equity:
                                                                                                      221,698,000 221,698,000 198,937,000  198,937,000                                         
        total liabilities and stockholders’ equity
                                                                                                      289,806,000 289,806,000 306,329,000  306,329,000                                         
        trade receivables
                                                                                                        48,871,000  48,871,000 18,665,000 18,665,000 12,024,000 30,571,000 12,024,000 8,893,000 8,893,000 7,595,000 7,595,000 10,246,000 10,246,000 5,063,000 5,063,000 4,100,000 4,100,000 2,551,000 2,551,000 3,265,000 3,265,000 5,580,000 5,580,000 2,460,000 2,460,000 3,117,000 3,117,000 2,795,000 2,795,000 2,498,000 2,498,000 2,562,000 2,562,000 2,293,000 2,293,000 2,320,000 2,320,000    1,458,000  
        goodwill and other intangible assets
                                                                                                        191,829,000  191,829,000 64,475,000  67,402,000  67,402,000 69,166,000 69,166,000 71,193,000 71,193,000 72,250,000          32,060,000 32,060,000                    
        trade payables
                                                                                                        45,283,000 13,358,000 45,283,000 13,900,000 13,900,000 9,322,000 19,180,000 9,322,000 8,224,000 8,224,000 5,756,000 5,756,000 9,560,000 9,560,000 4,195,000 4,195,000 3,734,000 3,734,000 3,059,000 3,059,000 3,207,000 3,207,000 2,290,000 2,290,000 2,419,000 2,419,000 1,313,000 1,313,000 1,831,000 1,831,000 956,000 956,000 810,000 810,000 1,012,000 1,012,000 1,039,000 1,039,000    337,000  
        current assets- discontinued operations
                                                                                                                                                   
        long-term receivables and other assets
                                                                                                              323,000                                     
        non-current assets- discontinued operations
                                                                                                                                                   
        total non-current assets
                                                                                                         29,709,000     41,350,000                                     
        other accounts payable and accrued expenses
                                                                                                         1,423,000     23,975,000                                     
        current liabilities- discontinued operations
                                                                                                                                                   
        long-term deferred revenues
                                                                                                              3,125,000                                     
        accrued severance pay
                                                                                                              390,000        881,000 881,000 866,000 866,000 989,000 989,000 946,000 946,000 1,231,000 1,231,000 1,392,000 1,392,000 1,421,000 1,421,000 1,379,000 1,379,000 1,351,000 1,351,000 1,451,000 1,451,000 1,540,000 1,540,000 1,390,000 1,390,000    589,000  
        non-current liabilities- discontinued operations
                                                                                                                                                   
        shareholders’ equity
                                                                                                                                              25,544,000 20,771,000 22,577,000   
        ordinary shares of nis 0.01 par value - authorized: 1,000,000,000 shares at december 31, 2012; issued and outstanding: 156,245,308 shares at december 2012
                                                                                                                                                   
        series a, a-l, b, b-1, b-2 convertible preferred shares of nis 0.01 par value - authorized: 93,240,000 shares at december 31, 2012; issued and outstanding: 69,538,900 shares at december 31, 2012;
                                                                                                                                                   
        ordinary shares of nis 0.01 par value - authorized: 1,000,000,000 shares at december 31, 2013; issued and outstanding: 1 share at december 31, 2013
                                                                                                                                                   
        current assets::
                                                                                                                                                   
        other receivables and prepaid expenses
                                                                                                           3,719,000 3,719,000 4,249,000  4,249,000 4,334,000 4,334,000 3,269,000 3,269,000 5,424,000 5,424,000 6,259,000 6,259,000 6,320,000 6,320,000 6,132,000 6,132,000 6,085,000 6,447,000 2,857,000 2,857,000 6,011,000 6,011,000 5,581,000 5,581,000 4,485,000 4,485,000 3,306,000 3,306,000 5,667,000 5,667,000 6,001,000 6,001,000 4,819,000 4,819,000    340,000  
        contingent purchase consideration
                                                                                                                6,541,000 6,541,000 6,301,000 6,301,000 6,078,000 6,078,000                              
        commitments and contingent liabilities
                                                                                                                                                   
        ordinary shares of nis 0.01 par value - authorized: 40,000,000 and 120,000,000 shares at december 31, 2012 and 2013, respectively; issued and outstanding: 12,064,510 and 12,501,237 shares at december 31, 2012 and 2013, respectively
                                                                                                            29,000                                       
        treasury stock
                                                                                                            -1,002,000         -1,002,000        -1,002,000        -1,002,000        -1,002,000      
        long-term bank deposits
                                                                                                                                                   
        severance pay fund
                                                                                                              152,000        401,000 401,000 402,000 402,000 491,000 491,000 484,000 484,000 707,000 707,000 825,000 825,000 845,000 845,000 877,000 877,000 1,081,000 1,081,000 1,109,000 1,109,000 1,183,000 1,183,000 1,104,000 1,104,000    382,000  
        long-term deferred tax asset
                                                                                                              1,431,000                                     
        ordinary shares of nis 0.01 par value - authorized: 1,000,000,000 shares at june 30, 2013 (unaudited), december 31, 2012 and 2011; issued and outstanding: 156,259,964, 156,245,308 and 148,770,238 shares at june 30, 2013 (unaudited), december 31, 2012 and 2011, respectively
                                                                                                              419,000                                     
        series a, a-1, b, b-1, b-2 convertible preferred shares of nis 0.01 par value - authorized: 93,240,000 shares at june 30, 2013 (unaudited), december 31, 2012 and 2011; issued and outstanding: 69,538,900 shares at june 30, 2013 (unaudited), december 31, 2012 and 2011; aggregate liquidation preferences of 0 at june 30, 2013 (unaudited) and december 31, 2012.
                                                                                                              186,000                                     
        share capital -
                                                                                                                                                   
        ordinary shares of nis 0.01 par value -
                                                                                                                                                   
        authorized: 40,000,000 shares at december 31, 2011 and 2012, respectively; issued and outstanding: 9,916,194 and 12,064,510 shares at december 31, 2011 and 2012, respectively
                                                                                                                     28,000                              
        shares authorized: 40,000,000 shares issued and outstanding: 10,040,490 and 9,916,194 as of september 30, 2012 and december 31, 2011, respectively;
                                                                                                                                                   
        shares authorized: 40,000,000
                                                                                                                                                   
        shares issued and outstanding: 9,987,325 and 9,916,194 as of june 30, 2012 and december 31, 2011, respectively;
                                                                                                                        33,965,000 33,965,000                          
        shareholders' equity shares authorized: 40,000,000 shares issued and outstanding: 9,916,999 and 9,916,194 as of march 31, 2012 and december 31, 2011, respectively;
                                                                                                                          32,549,000 32,549,000                        
        shares authorized: 15,000,000 and 40,000,000 and shares issued and outstanding: 9,916,194 and 9,701,750 as of december 31, 2011 and 2010, respectively;
                                                                                                                            31,815,000                       
        authorized: 15,000,000 and 40,000,000 shares at december 31, 2010 and 2011, respectively; issued and outstanding: 9,701,750 and 9,916,194 shares at december 31, 2010 and 2011, respectively
                                                                                                                             22,000                      
        other long-term assets
                                                                                                                              534,000 534,000 376,000 376,000 485,000 485,000 478,000 478,000 477,000 477,000 476,000 476,000 480,000 480,000 495,000 495,000      
        other
                                                                                                                              52,000 52,000                    
        shares authorized: 15,000,000 and 40,000,000 and shares issued and outstanding: 9,912,971 and 9,701,750 as of september 30, 2011 and december 31, 2010, respectively;
                                                                                                                              31,364,000 31,364,000                    
        shareholders' equity shares authorized: 15,000,000 and 40,000,000 and shares issued and outstanding: 9,765,884 and 9,701,750 as of june 30, 2011 and december 31, 2010, respectively
                                                                                                                                30,413,000 30,413,000                  
        dividend payable
                                                                                                                                  3,885,000 3,885,000   4,347,000 4,347,000            
        shares authorized: 15,000,000 and 40,000,000 and shares issued and outstanding: 9,718,432 and 9,701,750 as of march 31, 2011 and december 31, 2010, respectively
                                                                                                                                  27,775,000 27,775,000                
        shares issued and outstanding: 9,701,750 and 9,527,821 at december 31, 2010 and 2009, respectively
                                                                                                                                    28,152,000               
        authorized: 15,000,000 shares as of december 31, 2009 and 2010; issued and outstanding: 9,527,821 and 9,701,750 shares at december 31, 2009 and 2010, respectively
                                                                                                                                     22,000              
        shares issued and outstanding: 9,659,362 and 9,527,821 at september 30, 2010 and december 31, 2009, respectively
                                                                                                                                      26,003,000 26,003,000            
        shares issued and outstanding: 9,627,572 and 9,527,821 at june 30, 2010 and december 31, 2009, respectively
                                                                                                                                        27,871,000 27,871,000          
        shares issued and outstanding: 9,580,371 and 9,527,821 at march 31, 2010 and december 31, 2009, respectively
                                                                                                                                          29,342,000 29,342,000        
        shares issued and outstanding: 9,527,821 and 9,271,159 at december 31, 2009 and 2008, respectively
                                                                                                                                            27,002,000       
        authorized: 15,000,000 shares as of december 31, 2008 and 2009; issued and outstanding: 9,271,159 and 9,527,821 shares at december 31, 2008 and 2009, respectively
                                                                                                                                             21,000      
        balance sheet data:
                                                                                                                                                   
        working capital
                                                                                                                                              25,143,000 19,756,000 21,561,000   
        total short-term debt
                                                                                                                                                   
        redeemable convertible preferred shares
                                                                                                                                                   
        long-term deposits
                                                                                                                                                 159,000  
        deferred issuance costs
                                                                                                                                                   
        short-term bank credit and current maturities of capital lease obligations
                                                                                                                                                 2,000  
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2025-09-30 2025-06-30 2025-05-13 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-05-08 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-05-03 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-04-28 2021-12-31 2021-10-26 2021-06-30 2021-05-04 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-05-06 2020-03-31 2019-12-31 2019-11-06 2019-06-30 2019-05-15 2019-03-31 2018-12-31 2018-11-01 2018-06-30 2018-05-10 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-05-04 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-05-10 2016-03-31 2016-03-24 2015-12-31 2015-09-30 2015-06-30 2015-05-06 2015-03-31 2014-12-31 2014-11-06 2014-06-30 2014-05-15 2014-03-31 2013-12-31 2013-10-15 2013-09-30 2013-06-30 2013-05-13 2013-03-31 2012-12-31 2012-09-30 2012-06-30 2012-05-15 2012-03-31 2011-12-31 2011-09-30 2011-06-30 2011-05-12 2011-03-31 
                                                                                   
          cash flows from operating activities
                                                                                   
          net income
          -8,346,000  10,500,000 2,120,209,000  11,768,000    21,406,000 23,785,000  73,643,000  19,500,000 15,466,000 28,084,000 3,539,000 7,083,000 3,306,000  8,097,000  -2,239,000 1,334,000  10,019,000 -26,000  1,232,000  5,929,000 1,149,000 929,000 57,000 57,000     -2,074,000  4,905,000 585,000 -5,608,000 -5,608,000 401,794 -16,765,000 -70,846,000 8,215,000 10,739,000 10,739,000 -5,673,000 16,996,000 17,687,000 13,816,000 13,816,000 -1,763,000 29,964,000 -1,658,000 843,000 2,888,000 2,888,000 593,000 1,693,000 878,000 370,000 370,000 192,000 20,000 2,214,000 3,242,000 3,242,000 
          adjustments required to reconcile net income to net cash from operating activities:
                                                                                   
          depreciation and amortization
          3,472,000  12,855,000 3,574,227,000  4,558,000    3,405,000 3,361,000  10,134,000  3,208,000 3,185,000 7,975,000 -78,000 2,000,000 2,377,000  7,228,000  2,251,000 2,302,000  7,083,000 342,000  2,390,000  7,191,000 -2,034,000 420,000 2,071,000 2,071,000 3,294,000 3,388,000 5,008,000 4,901,000 4,901,000 6,174,000 6,156,000 6,308,000 7,339,000 7,339,000  5,454,000 1,935,000 2,283,000 2,300,000 2,300,000 5,772,000 5,448,000 5,138,000 5,055,000 5,055,000 2,723,000 -6,486,000 2,704,000 2,692,000 2,600,000 2,600,000 1,515,000 694,000 682,000 681,000 681,000 705,000 334,000 169,000 180,000 180,000 
          stock-based compensation expense
          7,587,000  20,991,000   5,419,000     3,402,000  8,334,000  2,701,000 2,428,000 5,241,000 510,000                                                        
          foreign currency translation
          10,000  89,000   22,000    -11,000 -2,000  84,000  -128,000 -46,000 -205,000 -49,000 31,000 -120,000  61,000  -18,000 -29,000  17,000 -78,000  19,000    -122,000 67,000 67,000 6,000 67,000 21,000 -11,000 -11,000 52,000 2,000                               
          accrued interest
          2,914,000  2,266,000   1,738,000    2,150,000 -4,181,000  -2,821,000  -639,000 -542,000 -247,000 39,000 -92,000 -75,000  -138,000        -199,000  871,000 -89,000 -33,000 128,000 128,000 136,000 122,000 117,000 100,000 100,000 100,000 169,000 54,000 83,000 83,000  488,000 -380,000 475,000 -546,000 -546,000 512,000 132,000 -70,000 81,000 81,000                 
          deferred taxes
          3,318,000  -2,243,000   -432,000    -554,000 78,000  -3,003,000  -44,000 -204,000 -2,277,000 -537,000 59,000 236,000  -2,706,000  -1,637,000 -315,000  -1,393,000 -49,000  -546,000  235,000 109,000 699,000 -354,000 -354,000 3,038,000 -1,163,000 -8,109,000 -2,643,000 -2,643,000 2,074,000 -370,000 -3,323,000 -1,649,000 -1,649,000  -9,159,000 -755,000 546,000 395,000 395,000          -270,000 -270,000 -221,000 27,000 52,000 -30,000 -30,000 -1,398,000 128,000 1,375,000 -1,340,000 -1,340,000 
          accrued severance pay
          -998,000  187,000   -158,000    -1,873,000 1,598,000  725,000  409,000 94,000 528,000 46,000 89,000 109,000  -195,000  8,000 25,000  -83,000 81,000  -316,000                                49,000 49,000 -884,000 -848,000 -987,000 989,000 36,000 -1,271,000 -43,000 -9,000 74,000 74,000 
          restructuring costs
          1,322,000                                                                         
          gain from sale of property and equipment
          -24,000  -17,000   -8,000    -5,000 -12,000                                                               
          net changes in operating assets and liabilities
          -16,305,000     -16,010,000     -10,250,000     3,173,000  -3,930,000  6,883,000     -1,921,000   2,154,000  10,246,000    -15,320,000 12,995,000 12,995,000    4,532,000 4,532,000   -726,000 -2,423,000 -2,423,000    -3,418,000 -4,787,000 -4,787,000                      
          net cash from operating activities
            -9,299,000   6,897,000    47,372,000 17,779,000  87,447,000  25,721,000 23,554,000 56,931,000 -450,000 14,625,000 13,471,000 13,500,000 15,567,000 6,449,000 151,000 2,496,000 2,500,000 33,594,000 2,745,000 -5,588,000 13,988,000 14,000,000 21,797,000 -6,450,000 -11,738,000 14,596,000 14,596,000 7,161,000 17,081,000 3,545,000 8,226,000 8,226,000 12,088,000 10,510,000 4,309,000 3,548,000 3,548,000 12,275,989 -7,183,000 4,788,000 9,815,000 10,149,000 10,149,000 24,813,000 25,319,000 8,046,000 13,864,000 13,864,000 3,154,000 40,273,000 -1,590,000 6,816,000 7,516,000 7,516,000 11,505,000 2,255,000 25,000 2,478,000 2,478,000 1,687,000 1,225,000 1,990,000 2,136,000 2,136,000 
          capital expenditures
              -439,000    -134,000   -252,000 70,000 -144,000 -185,000 -42,000 -71,000 -961,000 -134,000 -227,000 -736,000 -1,195,000 132,000 -90,000 -90,000 -117,000 -224,000 -434,000 -831,000 -831,000 -493,000 -107,000 -423,000 -481,000 -481,000 -416,107 -510,000 -92,000 -123,000 -1,264,000 -1,264,000 -2,402,000 -711,000 -711,000 -126,000 -58,000 -181,000 -162,000 -202,000 -202,000 -215,000 -86,000 -251,000 -110,000 -110,000 -123,000 -53,000 -80,000 -60,000 -60,000 
          free cash flows
            -9,299,000   6,458,000    47,372,000 17,645,000  87,447,000  25,721,000 23,302,000 56,931,000 -380,000 14,625,000 13,327,000 13,500,000 15,382,000 6,449,000 109,000 2,425,000 2,500,000 32,633,000 2,611,000 -5,588,000 13,761,000 14,000,000 21,061,000 -7,645,000 -11,606,000 14,506,000 14,506,000 7,044,000 16,857,000 3,111,000 7,395,000 7,395,000 11,595,000 10,403,000 3,886,000 3,067,000 3,067,000 11,859,882 -7,693,000 4,696,000 9,692,000 8,885,000 8,885,000 24,813,000 25,319,000 5,644,000 13,153,000 13,153,000 3,028,000 40,215,000 -1,771,000 6,654,000 7,314,000 7,314,000 11,290,000 2,169,000 -226,000 2,368,000 2,368,000 1,564,000 1,172,000 1,910,000 2,076,000 2,076,000 
          cash flows from investing activities
                                                                                   
          purchases of property and equipment, net of sales
          -1,698,000     -439,000     -134,000     -252,000  70,000                                                        
          capitalized software development costs
                                                                                   
          investment in marketable securities, net of sales
          11,571,000     -1,935,000                                                                    
          short-term deposits
          -1,983,000     -17,689,000     2,100,000    -1,000,000 -32,400,000 -227,500,000 50,000,000 -27,000,000 -43,300,000  1,962,000  -9,124,000 15,486,000  -8,684,000 -11,250,000  -2,700,000    -5,905,000 5,909,000 5,909,000 -4,405,000 -5,000 -1,503,000 8,414,000 8,414,000                                 
          cash paid in connection with acquisitions, net of cash acquired
                        -6,170,000 -3,400,000      -14,959,000  -1,045,000 -15,100,000                                                 
          net cash from investing activities
          7,890,000  34,069,000   -20,063,000    4,994,000 -49,440,000  -78,067,000  -7,347,000 -36,052,000 -266,329,000 53,508,000 -30,649,000 -43,444,000  -12,175,000  -13,639,000 6,092,000     -2,927,000     5,131,000 5,131,000 -5,831,000 -1,885,000 -3,748,000 6,613,000 6,613,000 -1,008,000 3,172,000 -3,552,000 30,119,000 30,119,000 -7,845,018 -71,282,000 -1,410,000 2,093,000 -49,847,000 -49,847,000 -21,531,000 -116,000 -7,568,000 22,231,000 22,231,000 284,000 97,673,000 1,811,000 -3,504,000 -1,056,000 -1,056,000 -403,000 -224,000 -7,218,000 -216,000 -216,000 55,000 -3,940,000 1,852,000 -5,945,000 -5,945,000 
          cash flows from financing activities
                                                                                   
          proceeds from exercise of stock-based compensation
          17,000  448,000   259,000    125,000 2,063,000  2,686,000  346,000 948,000 5,829,000 -1,101,000                                                        
          payments of contingent consideration
            -31,702,000       -13,256,000                                                               
          purchase of treasury stock
          -6,501,000                                                                         
          repayment of long-term loans
                               -6,250,000  -2,083,000 -2,083,000  -6,249,000  -2,083,000  -35,018,000 9,491,000 8,278,000 -9,630,000 -9,630,000 -2,759,000 -1,216,000    -3,062,000 -2,825,000 -2,200,000 -1,365,000 -1,365,000  -575,000 -575,000 -575,000 -575,000 -575,000 -575,000 -575,000 -575,000 -575,000 -575,000       -575,000          
          net cash from financing activities
          -6,484,000  -64,695,000   259,000    125,000 -11,193,000  -6,405,000  -8,745,000 948,000 227,985,000 -1,101,000 2,170,000 54,328,000  -14,809,000  -1,899,000 -526,000  -23,259,000 8,523,000  -11,668,000   17,658,000 111,000 -9,630,000 -9,630,000  -2,216,000 -1,828,000 -16,037,000 -16,037,000  -21,752,000 -7,445,000 -12,864,000 -12,864,000 -1,616,180  -2,108,000 -563,000 -573,000 -573,000  36,180,000 -16,101,000 14,130,000 14,130,000 -7,350,000 4,489,000 -3,330,000 -574,000 -575,000 -575,000 -7,200,000 -501,000    1,000    
          effect of exchange rate changes on cash and cash equivalents and restricted cash
          144,000     -79,000    8,000 77,000    -147,000 -30,000  -55,000 9,000 -12,000    -73,000   -3,000  -110,000                                            
          net increase in cash and cash equivalents and restricted cash
            -40,341,000          3,026,000  9,482,000 -11,580,000 18,600,000 51,902,000 -13,845,000 24,343,000  -11,401,000   7,989,000  -43,000 1,081,000  -717,000                                            
          cash and cash equivalents and restricted cash at beginning of period
          157,362,000     188,948,000    177,521,000    105,535,000  -13,845,000 48,878,000    39,605,000   -2,236,000                                              
          cash and cash equivalents and restricted cash at end of period
          151,862,000     175,962,000    52,499,000 134,744,000    9,482,000 93,955,000  38,057,000 -13,845,000 73,221,000    -15,387,000 47,594,000   -1,155,000                                              
          advertising solutions revenue
           69,700,000     75,800,000                                                                   
          search advertising revenue
           19,600,000     82,000,000     65,300,000                                                              
          total revenue
           89,300,000     157,800,000     145,200,000                                                              
          contribution ex-tac
                60,200,000                                                                   
          gaap net income
           -8,300,000     11,800,000     23,800,000         3,300,000     1,300,000     1,200,000                                         3,242,000  
          non-gaap net income
                22,600,000     29,900,000         7,000,000     5,000,000     3,300,000                                         2,929,000  
          adjusted ebitda
                20,300,000     31,300,000         8,800,000     6,200,000     5,100,000                                           
          adjusted ebitda to contribution ex-tac
                34,000,000                                                                   
          net cash from operations
           -7,100,000     6,900,000     17,800,000                                                              
          adjusted free cash flow
                                                                                   
          gaap diluted eps
           -190,000     240,000     480,000                                                              
          non-gaap diluted eps
                440,000     600,000                                                              
          ●
                                                                                   
          net cash provided (used in) by operating activities
          -7,050,000                                                                         
          capitalization of development costs
                                         -1,426,000 789,000 257,000 -688,000 -688,000 -1,319,000 -1,656,000 -1,811,000 -970,000 -970,000 -867,000 -1,128,000 -1,135,000 -1,461,000 -1,461,000  -1,762,000 -1,015,000                         
          net decrease in cash and cash equivalents and restricted cash
          -5,500,000     -12,986,000     -42,777,000                                                               
          contribution ex-tac (revenue ex-tac)1
           39,700,000                                                                        
          non-gaap net income1
           5,400,000                                                                        
          adjusted ebitda1
           1,800,000                                                                        
          adjusted ebitda to contribution ex-tac1
           5,000,000                                                                        
          adjusted free cash flow1
           -7,400,000                                                                        
          non-gaap diluted eps1
           110,000                                                                        
          •
                                                                                   
          change in payment obligation related to acquisitions
                                                                                   
          amortization of premium and accretion of discount on marketable securities
                                                                                   
          restructuring costs and other charges
                                                                                   
          net changes in operating assets and liabilities:
                                                                                   
          decrease in accounts receivable
                                                                                   
          increase in prepaid expenses and other current assets
                                                                                   
          operating lease right-of-use assets
                                                                                   
          operating lease liabilities
                                                                                   
          increase in accounts payable
                                                                                   
          increase in accrued expenses and other liabilities
                                                                                   
          deferred revenue
                                                        -746,685                           
          purchases of property and equipment
                             -144,000  -185,000  -42,000 -71,000  -961,000 -134,000  -227,000  -736,000 -1,195,000 132,000 -90,000 -90,000 -117,000 -224,000 -434,000 -831,000 -831,000 -493,000 -107,000 -423,000 -481,000 -481,000 -416,107 -510,000 -111,000 -123,000 -1,264,000 -1,264,000                      
          proceeds from sale of property and equipment
                                                                                   
          investment in marketable securities
                                                                              -2,158,000 -9,757,000 -9,757,000 
          proceeds from maturities of marketable securities
                                                                                   
          proceeds from short-term deposits
                                                                                   
          investment in short-term deposits
                                                                                   
          repurchase of shares for retirement
                                                                                   
          effect of exchange rate changes on cash and cash equivalents
                                           -102,000 73,000 73,000 29,000 62,000 147,000 45,000 45,000 -150,000 -17,000 -22,000 53,000 53,000 -137,829 25,000 4,000 27,000 -42,000 -42,000                      
          cash and cash equivalents and restricted cash at beginning of year
                                       40,803,000                                            
          cash and cash equivalents and restricted cash at end of year
                                       40,086,000                                            
          revenue
                     640,300,000                                                              
          advertising solutions
                                                                                   
          search advertising
                                                                                   
          costs and expenses
                                                                                   
          cost of revenue
                                                                                   
          traffic acquisition costs and media buy
                                                                                   
          research and development
                                                                                 1,876,000  
          selling and marketing
                                                                                 1,514,000  
          general and administrative
                                                                                 1,635,000  
          change in fair value of contingent consideration
                                                                                   
          total costs and expenses
                                                                                   
          income from operations
                                                                                   
          financial income
                                                                                 77,000  
          income before taxes on income
                                                                                 3,355,000  
          taxes on income
                                                                                 113,000  
          net earnings per share
                                                                                   
          basic
                                                                                 330  
          diluted
                                                                                 320  
          weighted-average number of shares
                                                                                   
          display advertising revenue
                     79,900,000                                                              
          adjusted ebitda to revenue ex-tac
                     48,000,000                                                              
          in millions
                     2,022,000,000                                                              
          adjusted ebitda to revenue
                     21,000,000                                                              
          stock-based compensation expenses
                                                                                   
          net change in operating assets and liabilities
                                                                     -3,288,000              
          marketable securities
                                                                                   
          accounts receivable
                                                        14,534,942                           
          prepaid expenses and other current assets
                                                                                   
          other assets
                                                                 3,064,000      1,287,000     1,042,000       
          accounts payable
                                                                                   
          accrued expenses and other liabilities
                                                                 19,455,000  -16,048,000    14,935,000  -4,907,000 -6,862,000 -6,866,000 6,836,000 275,000 -13,343,000 597,000 -1,961,000 1,508,000 1,508,000 
          deferred revenues
                                                                 7,923,000  -880,000    5,462,000  -4,648,000 -5,781,000 -6,179,000 5,540,000 140,000 -2,184,000 234,000 -167,000 30,000 30,000 
          payment obligation related to acquisition
                                                                 8,996,000           6,963,000       
          proceeds from sales and maturities of marketable securities
                                                                                   
          cash flows from operating activities:
                                                                                   
          cash flows from investing activities:
                                                                                   
          purchase of marketable securities, net of sales
                    -51,406,000                                                               
          cash flows from financing activities:
                                                                                   
          gross profit
                     65,300,000                                                            8,303,000  
          issuance of shares in private placement
                             60,960,000                                                      
          operating activities:
                                                                                   
          loss (gain) from sale of property and equipment
                                                                                   
          investing activities:
                                                                                   
          short-term deposits, inflows
                                                                                   
          short-term deposits, outflows
                                                                                   
          financing activities:
                                                                                   
          payment made in connection with acquisition
                                       -1,813,000              -2,245,000 -3,880,000 -3,880,000                            
          proceeds from follow-on offering
                                                                                   
          loss from sale of property and equipment
                               6,000                          -5,000                          
          obligation in connection with acquisitions
                                 -3,428,000 5,777,000                                                 
          proceeds from short-term loans
                                                   14,000,000                                
          fair value revaluation - convertible debt
                                       699,000  -1,836,000 1,243,000 980,000 -986,000 -986,000 1,017,000 -999,000 934,000 2,833,000 2,833,000 -238,000 468,000 -1,199,000 2,319,000 2,319,000  -369,000 -1,236,000 2,231,000 -451,000 -451,000                      
          payments made in connection with acquisition
                                                                                   
          repayment of convertible debt
                                       -7,901,000       -7,901,000 -7,901,000 -7,620,000 -7,620,000                            
          stock based compensation expense
                             755,000    841,000 1,100,000   218,000      247,000 618,000 618,000    558,000 558,000   1,670,000 1,858,000 1,858,000    1,842,000 1,465,000 1,465,000    4,436,000 4,436,000 438,000  359,000 179,000 550,000 550,000 267,000 248,000 181,000 360,000 360,000 268,000 318,000 316,000 281,000 281,000 
          exercise of stock options and restricted share units
                             1,701,000    184,000 1,557,000     129,000       1,000 1,000 1,000 1,000 1,000    12,000 2,000 2,000                      
          repayment of short-term loans
                             -8,333,000                 1,137,000 -8,137,000 -8,137,000 -20,000,000 -13,000,000                               
          display and social advertising revenues
                              38,100,000                                                     
          search advertising and other revenues
                              51,700,000                                                     
          total revenues
                              89,800,000     66,100,000     53,800,000                                           
          gaap diluted earnings per share
                              90,000     50,000     50,000                                           
          non-gaap diluted earnings per share
                              190,000     170,000     130,000                                           
          restructuring costs related to impairment of property and equipment
                                                                                   
          share-based compensation expense
                                       463,000                                            
          proceeds from long-term loans
                                                                                
          advertising revenues
                                   23,700,000     18,600,000                                           
          search and other revenues
                                   42,300,000     35,200,000                                           
          other receivables and prepaid expenses
                                                                   -2,794,000    3,269,000  -4,601,000 -6,110,000 -5,966,000 6,132,000 345,000 -3,957,000 3,769,000 -1,693,000 -1,096,000 -1,096,000 
          lease right-of-use assets
                                                                                   
          lease liabilities
                                                                                   
          operating activities: - sum
                                                                                   
          impairment of intangible assets and goodwill
                                                                                   
          accretion of payment obligation related to acquisition
                                                                184,000 268,000 268,000   293,000     313,000         
          exercise of share options and restricted share units
                                                                                   
          net cash provided (used) by investing activities
                                     -10,184,000                                              
          ·
                                                                                   
          impairment of goodwill and intangible assets
                                                                                   
          change in restricted cash
                                                   779,000        50,000 50,000                      
          cash paid in connection with acquisitions
                                                                                   
          net increase in cash and cash equivalents
                                          3,119,000 -17,245,000 10,170,000 10,170,000 -2,400,000 13,042,000 -1,884,000 -1,153,000 -1,153,000 410,000 -9,016,000 -5,190,000 23,568,000 23,568,000  -55,997,000 1,274,000 11,372,000 -40,313,000 -40,313,000 4,249,000 61,383,000 -15,623,000 50,225,000 50,225,000   -3,109,000              
          cash and cash equivalents at beginning of period
                                          3,095,000 10,170,000 31,567,000 31,567,000      17,519,000 17,519,000   101,183,000 101,183,000                    
          cash and cash equivalents at end of period
                                          6,214,000 -7,075,000 41,737,000 41,737,000  13,042,000     -8,087,000 -6,710,000 38,375,000 38,375,000   1,274,000 11,372,000 60,870,000 60,870,000  61,383,000 -15,623,000 51,174,000 51,174,000   -3,109,000     1,530,000     -2,715,000    
          loss from discontinued operations
                                                     -3,585,000                             
          net income from continuing operations
                                              -37,277,000    -2,074,000 319,000 2,884,000 1,668,000 -2,023,000 -2,023,000                            
          net cash from continuing operating activities
                                              7,161,000 17,081,000 3,545,000 8,226,000 8,226,000 12,114,000 9,581,000 5,829,000 6,260,000 6,260,000       24,813,000 25,319,000                    
          net cash from discontinued operating activities
                                                                                   
          net cash from continuing financing activities
                                                                                   
          decrease in cash and cash equivalents and restricted cash- discontinued activities
                                                                                   
          change in payment obligation related to acquisition
                                               33,000 -2,000 30,000 30,000  64,000 640,000 567,000 567,000   -4,000 -6,548,000 971,000 971,000                      
          prepaid expenses and other
                                                                                   
          proceed from long-term loans
                                                                                   
          supplemental disclosure of cash flow activities:
                                                                                   
          purchase of property and equipment on credit
                                                          19,000                         
          net cash from discontinued activities
                                                     -1,520,000 -2,712,000 -2,712,000                            
          issuance of ordinary shares related to employees' retention
                                                                                   
          cash paid for acquisition, net of cash acquired
                                                           -4,533,000 -4,533,000                      
          net cash from continuing investing activities
                                                                                   
          net cash from discontinued investing activities
                                                                                   
          decrease in cash and cash equivalents - discontinued activities
                                                                                   
          cash and cash equivalents at beginning of year
                                                 23,962,000 23,962,000              949,000 949,000     21,762,000 21,762,000 11,260,000 11,260,000    16,055,000 16,055,000 
          cash and cash equivalents at end of year
                                                 22,809,000 22,809,000                     27,647,000 27,647,000    13,522,000 13,522,000    12,246,000 12,246,000 
          net loss
                                                 -2,074,000                                  
          income from discontinued operations
                                                       -3,585,000                            
          net loss from continuing operations
                                                 -2,074,000                                  
          proceed from short-term loans
                                                                                   
          non-cash financing activity of issuance of shares in connection with acquisitions
                                                                                   
          investments in short-term deposits
                                                     -1,994,000 32,061,000 32,061,000  13,477,000  3,444,000 -44,100,000 -44,100,000                      
          acquisition related expenses paid by shareholders
                                                              3,060,000 3,060,000                 
          contribution by shareholders
                                                                                 
          proceeds from the issuance of convertible debt
                                                                                   
          impairment of intangible assets
                                                                                   
          charge in restricted cash
                                                                                   
          cash paid during the period for purchase of property and equipment on credit
                                                                                   
          issuance of ordinary shares related to employees retention
                                                                                   
          foreign currency translation loss on inter-company balances with foreign subsidiaries
                                                      189,000 189,000                            
          operating activities
                                                                                   
          adjustments to reconcile net income
                                                                                   
          to net cash from operations:
                                                                                   
          amortization
                                                        3,281,900                           
          stock-based compensation
                                                        1,628,172                           
          depreciation
                                                        1,072,444                           
          recovery of bad debt
                                                        92,072                           
          amortization of loan fees
                                                        337,836                           
          mark-to-market on swap
                                                        193,007                           
          mark-to-market on warrant liability
                                                                                   
          change in net foreign currency loss
                                                        748,214                           
          changes in operating assets and liabilities:
                                                                                   
          prepaid expenses and other assets
                                                        -865,431                           
          prepaid income taxes
                                                        -764,576                           
          accounts payable and accrued expenses
                                                        -5,320,005                           
          due to stockholder
                                                                                   
          other liabilities
                                                        -539,763                           
          income taxes payable
                                                        -1,777,932                           
          investing activities
                                                                                   
          capitalization of software development costs
                                                        -4,416,203                           
          restricted cash
                                                        -12,708      -637,000 1,508,000 -2,614,000 1,541,000 -422,000 -10,431,000   -10,427,000 10,260,000            
          business acquisitions, net of cash acquired
                                                        -3,000,000                           
          financing activities
                                                                                   
          borrowings from bank
                                                        8,000,000                           
          debt repayment
                                                        -9,500,000                           
          loan acquisition costs
                                                        -120,000                           
          proceeds from exercise of warrants
                                                                                   
          proceeds from exercise of stock options
                                                        107,230                           
          taxes paid in connection with cashless exercise of stock options
                                                        -81,331                           
          repurchase of stock
                                                        -22,079                           
          dividends paid
                                                                                   
          net cash increase for the period
                                                        2,676,962                           
          cash at beginning of the period
                                                        6,528,069                           
          cash at end of the period
                                                        9,205,031                           
          non-cash financing activity
                                                                                   
          accrual of business acquisition - holdback payment
                                                                                   
          impairment of goodwill, intangible assets and capitalized software
                                                                                   
          issuance of shares
                                                                                   
          proceeds from issuance of convertible debt
                                                                                   
          supplemental disclosure of non-cash investing and financing activities:
                                                                                   
          issuance of shares in connection with acquisitions
                                                          808,000                         
          stock-based compensation that was capitalized as part of the capitalization of development costs
                                                          -81,000                         
          income from continuing operations
                                                                17,687,000 13,816,000 13,816,000                 
          issuance of ordinary shares related to acquisition employees retention
                                                                                   
          net cash acquired in (paid in) in connection with acquisition
                                                                                   
          dividend paid upon consummation of spin-off
                                                                                   
          exercise of stock options
                                                                                   
          cash acquired through the acquisition of perion network ltd.
                                                                                   
          supplemental disclosure of non-cash investing and financing activities :
                                                                                   
          income from sale of property and equipment
                                                                                   
          issuance of shares related to acquisition
                                                                                   
          purchase of property and equipment on behalf of landlord
                                                                                   
          cash paid for the acquisition of make me reach sas, net of cash acquired
                                                                                   
          issuance of ordinary shares related to acquisition
                                                           63,000 63,000                      
          capital loss
                                                                                   
          proceeds from short-term loan
                                                                 14,750,000 14,750,000                 
          proceeds from (investments in) short-term deposits
                                                                                   
          cash paid for the acquisition of grow mobile llc, net of cash acquired
                                                                                   
          dividend paid to shareholders
                                                                                   
          capital loss from sale of property and equipment
                                                                                   
          cash from acquisition
                                                                                   
          cash acquired through acquisition
                                                                                   
          dividend upon consummation of spin-off
                                                                                   
          deferred payment made in connection with acquisition
                                                                -2,500,000 -45,000 -45,000                 
          repayment of long-term debt
                                                                                   
          decrease in cash and cash equivalents - discontinued operations
                                                                                   
          adjustments required to reconcile net income to net cash
                                                                                   
          provided by operating activities:
                                                                                   
          share based compensation
                                                                                   
          fair value revaluation of convertible debt
                                                                                   
          deferred income taxes
                                                                -1,019,000 -1,350,000 -1,350,000                 
          changes in assets and liabilities
                                                                -17,747,000 -11,502,000 -11,502,000                 
          net cash from discontinued operations
                                                                                   
          purchase of property and equipment
                                                                -2,402,000 -711,000 -711,000 -126,000 -58,000 -181,000 -162,000 -202,000 -202,000 -215,000 -86,000 -251,000 -110,000 -110,000 -123,000 -53,000 -80,000 -60,000 -60,000 
          investments in short-term bank deposits
                                                                                   
          cash from the acquisition of grow mobile llc
                                                                                   
          cash acquired through acquisition of perion network ltd.
                                                                                  
          net cash from continuing operations
                                                                -7,568,000 22,231,000 22,231,000                 
          proceeds from exercise of employee options
                                                                                   
          change in fair value of payment obligation related to acquisition
                                                                                   
          other long-term assets
                                                                         5,000 328,000 14,000 -265,000 -265,000 -474,000 291,000 9,000 -7,000 -7,000 
          purchases of property and equipment on behalf of landlord
                                                                                   
          proceeds from short-term bank deposits
                                                                                   
          deferred payment made in connection with acquisition consummated in 2013
                                                                                   
          net cash from discontinuing operations
                                                                                   
          assets
                                                                                   
          current assets:
                                                                                   
          cash and cash equivalents
                                                                 51,174,000      27,647,000     13,522,000       
          trade receivables
                                                                 48,871,000  -20,443,000    7,595,000  -4,572,000 -5,898,000 -3,386,000 2,551,000 714,000 -5,963,000 -3,033,000 657,000 -322,000 -322,000 
          other current assets
                                                                 6,127,000                  
          total current assets
                                                                 107,713,000      48,771,000     22,205,000       
          property and equipment
                                                                 3,723,000      1,529,000     1,249,000       
          goodwill and other intangible assets
                                                                 191,829,000      71,193,000            
          total assets
                                                                 306,329,000      122,780,000     55,936,000       
          liabilities and stockholders’ equity
                                                                                   
          current liabilities:
                                                                                   
          current maturities of long term debt
                                                                 17,133,000                  
          trade payables
                                                                 45,283,000  -4,982,000    5,756,000  -160,000 -2,746,000 -2,532,000 3,059,000 -148,000 -2,182,000 -1,397,000 1,106,000 -518,000 -518,000 
          total current liabilities
                                                                 98,790,000      48,814,000     22,398,000       
          long-term debt
                                                                 3,675,000      5,975,000            
          other long term liabilities
                                                                 4,927,000                  
          total liabilities
                                                                 107,392,000                  
          stockholders’ equity:
                                                                                   
          ordinary shares
                                                                 183,000                  
          additional paid-in capital
                                                                 184,938,000                  
          retained earnings
                                                                 13,816,000                  
          total stockholders’ equity:
                                                                 198,937,000                  
          total liabilities and stockholders’ equity
                                                                 306,329,000                  
          cash acquired through merger with perion network ltd.
                                                                 23,364,000 23,364,000                 
          increase in cash and cash equivalents - discontinued operations
                                                                                   
          adjustments to reconcile net income to net cash from operating activities:
                                                                                   
          share-based compensation
                                                                                   
          decrease in trade receivables
                                                                                   
          decrease in prepaid expenses and other current assets
                                                                                   
          increase in trade payables
                                                                                   
          increase in other accounts payable and accrued expenses
                                                                                   
          increase in deferred revenues
                                                                                   
          proceeds from redemption of short-term deposits
                                                                                   
          dividend upon consummation of the spin-off
                                                                                   
          increase in cash and cash equivalents
                                                                       5,885,000 5,885,000 3,902,000 1,530,000 2,808,000 2,262,000 2,262,000      
          increase in cash and cash equivalents by discontinued operations
                                                                                   
          cash and cash equivalents at beginning of the year
                                                                                   
          cash and cash equivalents at end of the year
                                                                                   
          supplemental disclosure of non- cash activity:
                                                                                   
          dividend in kind upon consummation of the spin-off
                                                                                   
          supplemental disclosure of cash flow information:
                                                                                   
          income taxes paid
                                                                                   
          current assets::
                                                                                   
          current assets
                                                                                   
          liabilities and shareholders' equity
                                                                                   
          contingent purchase consideration
                                                                       6,301,000            
          shareholders' equity
                                                                       58,162,000            
          total liabilities and shareholders' equity
                                                                       122,780,000     55,936,000       
          accretion of payment obligation related to acquisitions
                                                                       267,000 267,000           
          capitalization of software development and content costs
                                                                   406,000  -714,000 -465,000 -854,000 -854,000 -234,000 -138,000 -341,000 -106,000 -106,000 191,000     
          cash paid by employees on previously exercised options of acquired company
                                                                                   
          acquisition of subsidiary
                                                                                  
          exercise of share options
                                                                         1,000 74,000    1,000    
          deferred payment made in connection with acquisitions
                                                                                   
          proceeds from long term loan
                                                                                   
          amortization of premium and accrued interest on marketable securities and deposits
                                                                                   
          realized loss from marketable securities
                                                                                   
          proceeds from sales of marketable securities
                                                                              1,000 18,523,000 4,295,000 3,885,000 3,885,000 
          payments made in connection with acquisitions
                                                                                   
          dividend paid
                                                                                 
          cash paid during the year for:
                                                                                   
          income taxes
                                                                                   
          interest paid
                                                                                   
          supplemental disclosure of non-cash investing activities:
                                                                                   
          issuance of shares in connection with the acquisitions
                                                                                   
          stock-based compensation that was capitalized as part of
                                                                                   
          long-term assets:
                                                                                   
          total long-term assets
                                                                       74,009,000     33,731,000       
          current maturities of long-term debt
                                                                       2,300,000            
          payment obligation related to acquisitions
                                                                       20,361,000            
          long-term liabilities:
                                                                                   
          other long-term liabilities
                                                                       3,528,000            
          total long-term liabilities
                                                                       15,804,000     989,000       
          other
                                                                                   
          payment of long-term loans
                                                                                   
          equity losses
                                                                                   
          deposits
                                                                                   
          purchase of wibiya, net of cash acquired
                                                                                   
          receipt on account of investment in affiliate
                                                                                   
          investment in affiliate
                                                                                   
          cash and cash equivalents at beginning of the period
                                                                                   
          cash and cash equivalents at end of the period
                                                                                   
          cash paid during the year:
                                                                                   
          payment in connection with acquisition
                                                                                   
          proceeds from (payment of) long-term loans
                                                                                   
          net change in working capital
                                                                       1,432,000 1,432,000           
          payment of long-term loan
                                                                       -575,000 -575,000           
          finance expense related to marketable securities
                                                                                   
          stock-based compensation that was capitalized as part of capitalization of software development costs
                                                                         4,000          
          excess tax benefit from share-based payment arrangements
                                                                                   
          amortization of premium and accrued interest on marketable securities
                                                                              -53,000 7,000 -17,000 47,000 47,000 
          loss from marketable securities
                                                                                 57,000  
          severance pay fund
                                                                            491,000       
          other intangible assets
                                                                            6,196,000       
          goodwill
                                                                            24,753,000       
          deferred tax liability
                                                                                   
          shares authorized: 40,000,000 shares issued and outstanding: 10,040,490 and 9,916,194 as of september 30, 2012 and december 31, 2011, respectively;
                                                                                   
          amortization of accrued interest on marketable securities
                                                                                   
          long term restricted cash
                                                                                   
          issuance of shares in connection with the acquisition of smilebox
                                                                                   
          income from marketable securities
                                                                                   
          shares authorized: 40,000,000
                                                                                   
          shares issued and outstanding: 9,987,325 and 9,916,194 as of june 30, 2012 and december 31, 2011, respectively;
                                                                                   
          adjustment of payment obligation related to acquisition
                                                                                   
          shareholders' equity shares authorized: 40,000,000 shares issued and outstanding: 9,916,999 and 9,916,194 as of march 31, 2012 and december 31, 2011, respectively;
                                                                            32,549,000       
          shares authorized: 15,000,000 and 40,000,000 and shares issued and outstanding: 9,916,194 and 9,701,750 as of december 31, 2011 and 2010, respectively;
                                                                                   
          long term restricted deposit
                                                                                   
          acquisition of subsidiary, net of acquired cash
                                                                              -4,000     
          decrease in cash and cash equivalents
                                                                               -2,715,000 -14,000 -3,809,000 -3,809,000 
          loss from marketable securities and long-term investment
                                                                                   
          investment in short-term bank deposits
                                                                                   
          repurchase of ordinary shares
                                                                                   
          shares authorized: 15,000,000 and 40,000,000 and shares issued and outstanding: 9,912,971 and 9,701,750 as of september 30, 2011 and december 31, 2010, respectively;
                                                                                   
          gain from marketable securities
                                                                                  57,000 
          revenues
                                                                                 8,687,000  
          cost of revenues
                                                                                 384,000  
          operating expenses:
                                                                                   
          total operating expenses
                                                                                 5,025,000  
          operating income
                                                                                 3,278,000  
          net profit
                                                                                   
          net earnings per ordinary share:
                                                                                   
          diluted weighted number of shares
                                                                                 10,014,000  
          reconciliation of gaap to non-gaap results:
                                                                                   
          stock based compensation
                                                                                 281,000  
          non recurring income tax credit
                                                                                   
          acquisition related expenses
                                                                                   
          non-gaap net earnings per share :
                                                                                   
          income tax expense
                                                                                 113,000  
          interest expense
                                                                                   
          depreciation, amortization and stock-based compensation
                                                                                 461,000  
          ebitda
                                                                                 3,739,000  
          capitalization of content costs and domain
                                                                                -305,000 -13,000 -13,000 
          non-recurring income tax credit
                                                                                 -594,000  
          gaap net income:
                                                                                 3,242,000  
          impairment of goodwill and other intangible assets
                                                                                   
          loss from marketable securities, long-term investment and short-term bank deposits
                                                                                   
          loss from marketable securities, ,long-term investment and short-term bank deposits
                                                                                   
          capitalization of software development costs, content costs and domain
                                                                                   
          tax benefit in respect of issuance expenses
                                                                                   
          reimbursement of issuance costs