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Supplemental Disclosure of Cash Flow Information (Tables)
6 Months Ended
Jun. 30, 2025
Supplemental Cash Flow Elements [Abstract]  
Schedule of Supplemental Cash Flow Information
Six Months Ended
June 30,
(in thousands)20252024
Supplemental Disclosure of Cash Flow Information:
Interest paid$117,100 $117,143 
Income taxes paid, net of (refunds)$1,256 $1,213 
Capital expenditures, net of related payables:
Capital expenditures - non-development, net$89,941 $102,916 
Capital expenditures - development, net12 433 
Capital expenditures - non-development - reimbursable from lessor11,337 1,300 
Trade accounts payable(5,007)(8,676)
Net cash paid$96,283 $95,973 
Acquisition of assets:
Property, plant and equipment and leasehold intangibles, net$1,028 $— 
Financing lease obligations277,208 — 
Loss on debt modification and extinguishment, net32,792 — 
Net cash paid$311,028 $— 
Proceeds from sale of assets, net:
Prepaid expenses and other assets, net$— $(362)
Property, plant and equipment and leasehold intangibles, net(1,004)(6,311)
Other liabilities— 559 
Non-operating loss (gain) on sale of assets, net— (903)
Loss (gain) on sale of communities, net(43)— 
Net cash received$(1,047)$(7,017)
Schedule of Cash, Cash Equivalents, and Restricted Cash The following table provides a reconciliation of cash, cash equivalents, and restricted cash reported within the condensed consolidated balance sheets that sums to the total of the same such amounts shown in the condensed consolidated statements of cash flows.
(in thousands)June 30, 2025December 31, 2024
Reconciliation of cash, cash equivalents, and restricted cash:
Cash and cash equivalents$251,888 $308,925 
Restricted cash - current37,268 39,871 
Restricted cash - non-current34,406 31,044 
Total cash, cash equivalents, and restricted cash$323,562 $379,840