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Supplemental Data - Statements of Cash Flows (Details) - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended
Mar. 31, 2021
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Supplemental Data - Statements of Cash Flows        
Cash paid for interest (including capitalized interest)   $ 1,301,783 $ 1,044,276 $ 781,874
Cash received for interest   18,542 8,145 5,455
Cash paid for income taxes, net of (refunds)   (8,138) 57,278 72,476
Capitalized interest   1,291,290 1,040,971 821,455
Employee benefits paid in Class A common stock   14,680 26,348 30,321
Vendor financing   87,343 108,048 26,627
FCC licenses reclassification     122,657 915,449
Accrued capital expenditures   219,200 397,137 449,093
Asset retirement obligation   $ 74,189 124,822 50,765
Asset retirement obligation     122,390  
Revaluation of contingent liabilities     $ 47,916  
ASU 2020-06        
Supplemental Data - Statements of Cash Flows        
Convertible debt reclassified per ASU 2020-06 $ 1,051,000     1,051,344
Deferred taxes reclassified per ASU 2020-06       $ 245,778