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Supplemental Cash Flow Information
12 Months Ended
Dec. 31, 2025
Additional Cash Flow Elements and Supplemental Cash Flow Information [Abstract]  
Supplemental Cash Flow Information
Note 10. Supplemental Cash Flow Information
Net Changes in Operating Assets and Liabilities
Year ended December 31,202520242023
Trade and other receivables$46.9 $14.8 $(36.8)
Prepaid consigned vehicle charges5.9 (1.5)(66.6)
Inventory(12.9)26.2 (10.7)
Advances against auction contracts4.8 14.1 (12.6)
Prepaid expenses and deposits(31.3)1.0 1.2 
Income taxes, net(66.0)(3.8)(43.8)
Auction proceeds payable65.7 (113.2)(12.1)
Trade and other liabilities43.7 104.2 174.5 
Operating lease obligation(146.5)(134.3)(124.5)
Other, including CRA deposit(46.5)(7.3)(12.3)
Net changes in operating assets and liabilities$(136.2)$(99.8)$(143.7)
Other Supplemental Cash Flow Information
Year ended December 31,202520242023
Interest paid, net of interest capitalized$189.2 $228.8 $163.4 
Interest received14.9 26.2 22.0 
Assets obtained in exchange for finance lease liabilities71.5 37.7 12.7 
Assets obtained in exchange for operating lease liabilities173.8 231.7 188.7