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Supplemental Balance Sheet and Income Statement Information (Tables)
9 Months Ended
Sep. 30, 2024
Supplemental Balance Sheet, Income Statement and Cash Flow Information  
Schedule of accrued liabilities

Accrued liabilities included the following:

September 30,

December 31,

    

2024

    

2023

(In thousands)

Accrued compensation

$

75,110

$

58,769

Deferred revenue

 

32,627

29,233

Other taxes payable

 

38,364

41,322

Workers’ compensation liabilities

 

6,588

 

6,588

Interest payable

 

46,026

 

57,607

Litigation reserves

 

10,458

 

19,924

Other accrued liabilities

 

9,299

 

16,797

$

218,472

$

230,240

Schedule of investment income (loss)

Investment income (loss) includes the following:

Three Months Ended

Nine Months Ended

    

September 30,

September 30,

    

2024

    

2023

    

2024

    

2023

(In thousands)

Interest and dividend income

$

11,479

$

10,041

$

30,265

$

30,573

Gains (losses) on marketable securities

 

24

 

128

 

(380)

 

1,205

$

11,503

$

10,169

$

29,885

$

31,778

Schedule of other, net

Other, net included the following:

Three Months Ended

Nine Months Ended

    

September 30,

September 30,

    

2024

    

2023

    

2024

    

2023

(In thousands)

Losses on sales, disposals and involuntary conversions of long-lived assets

$

6,000

$

7,054

$

15,542

$

7,982

Other than temporary impairment on securities

15,380

15,380

5,293

Energy transition initiatives

55

173

363

2,600

Warrant and derivative valuation

(2,944)

7,637

(12,538)

(44,578)

Litigation expenses and reserves

 

879

13,660

5,197

20,815

Foreign currency transaction losses

 

3,423

4,915

21,317

21,725

Loss (gain) on debt buyback

12,281

(103)

14,857

(25,202)

Other losses (gains)

 

6,534

2,210

9,677

2,761

$

41,608

$

35,546

$

69,795

$

(8,604)

Schedule of changes in accumulated other comprehensive income (loss)

The changes in accumulated other comprehensive income (loss), by component, included the following:

    

    

    

    

Gains

Defined

(losses) on

benefit

Foreign

cash flow

pension plan

currency

    

hedges

    

items

    

items

    

Total

(In thousands (1) )

As of January 1, 2023

$

2

$

(3,767)

$

(7,273)

$

(11,038)

Other comprehensive income (loss) before reclassifications

 

 

496

496

Amounts reclassified from accumulated other comprehensive income (loss)

 

120

120

Net other comprehensive income (loss)

 

 

120

 

496

 

616

As of September 30, 2023

$

2

$

(3,647)

$

(6,777)

$

(10,422)

(1)All amounts are net of tax.

    

    

    

    

Gains

Defined

(losses) on

benefit

Foreign

cash flow

pension plan

currency

    

hedges

    

items

    

items

    

Total

(In thousands (1) )

As of January 1, 2024

$

2

$

(3,606)

$

(7,228)

$

(10,832)

Other comprehensive income (loss) before reclassifications

 

 

 

(133)

 

(133)

Amounts reclassified from accumulated other comprehensive income (loss)

 

 

121

 

 

121

Net other comprehensive income (loss)

 

 

121

 

(133)

 

(12)

As of September 30, 2024

$

2

$

(3,485)

$

(7,361)

$

(10,844)

(1)All amounts are net of tax.

Schedule of line items that were reclassified to net income

The line items that were reclassified to net income included the following:

Three Months Ended

Nine Months Ended

September 30,

September 30,

2024

    

2023

    

2024

    

2023

(In thousands)

General and administrative expenses

$

52

$

52

$

157

$

156

Total income (loss) before income tax

 

(52)

 

(52)

 

(157)

 

(156)

Tax expense (benefit)

(12)

(12)

(36)

(36)

Reclassification adjustment for (gains)/ losses included in net income (loss)

$

(40)

$

(40)

$

(121)

$

(120)