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Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Operating activities:      
Net (loss) income $ (19,474) $ (30,309) $ 24,555
Adjustments to reconcile net (loss) income to net cash provided by operating activities:      
Depreciation and amortization 331,446 319,840 215,891
Amortization of deferred financing costs and pension withdrawal liability 4,833 4,425 5,147
Amortization of above/below market leases 2,131 2,261 152
Loss on debt extinguishment, modification and termination of derivative instruments 3,217 5,565 1,995
Loss from foreign exchange 975 610 45,278
Loss from investments in partially owned entities 9,300 2,004 250
Gain on extinguishment of new market tax credit structure (3,410) 0 0
Loss on deconsolidation of subsidiary contributed to LATAM joint venture 4,148 0 0
Stock-based compensation expense 27,137 23,931 17,897
Change in deferred taxes (22,561) (9,147) (13,732)
Loss (gain) from sale of real estate 5,689 0 (22,124)
Loss on other asset disposals 3,556 279 2,494
Impairment of indefinite and long-lived assets 7,380 3,312 8,236
Provision for doubtful accounts receivable, net 7,394 6,466 5,356
Changes in operating assets and liabilities:      
Accounts receivable (68,629) (60,476) (12,897)
Accounts payable and accrued expenses (8,462) 17,831 19,471
Other 15,326 (13,532) (4,289)
Net cash provided by operating activities 299,996 273,060 293,680
Investing activities:      
Business combinations and deferred consideration paid, net of cash acquired (15,829) (741,353) (1,858,937)
Acquisitions of property, buildings and equipment, net of cash acquired (14,581) (53,641) (25,538)
Additions to property, buildings and equipment (308,365) (438,190) (376,817)
Investment in partially owned entities and other (14,427) (7,570) (26,229)
Proceeds from sale of investments in partially owned entities 0 596 154
Proceeds from sale of property, buildings and equipment 4,713 959 80,193
Net cash used in investing activities (348,489) (1,239,199) (2,249,125)
Financing activities:      
Distributions paid on common stock, restricted stock units and noncontrolling interests in Operating Partnership (238,709) (227,522) (167,086)
Purchase of noncontrolling interest holders share in consolidated joint venture 0 (11,600) 0
Proceeds from revolving line of credit 529,354 810,985 636,753
Repayment of revolving line of credit (413,860) (405,000) (627,075)
Proceeds from stock options exercised 3,974 6,105 6,748
Proceeds from employee stock purchase plan 3,879 1,920 0
Remittance of withholding taxes related to employee share-based transactions (8,308) (16,886) (6,953)
Repayment of sale-leaseback financing obligations (7,835) (6,782) (3,774)
Repayment of financing lease obligations (33,860) (32,441) (19,970)
Payment of debt issuance costs (11,651) (3,760) (10,076)
Repayment of term loans, mortgage notes, and notes payable (269,659) (208,011) (156,750)
Proceeds from senior unsecured notes 0 0 922,350
Proceeds from term loans 470,000 50,000 177,075
Net proceeds from issuance of common stock 0 474,481 1,578,659
Net cash provided by financing activities 23,325 431,489 2,329,901
Net (decrease) increase in cash, cash equivalents, and restricted cash (25,168) (534,650) 374,456
Effect of foreign currency translation on cash, cash equivalents and restricted cash (4,727) (3,443) 5,982
Cash, cash equivalents and restricted cash:      
Beginning of period 82,958 621,051 240,613
End of period 53,063 82,958 621,051
Supplemental disclosures of non-cash investing and financing activities:      
Common stock issued as consideration for Agro acquisition 0 0 512,125
Deferred cash consideration for acquisitions 0 11,820 49,710
Addition of property, buildings and equipment on accrual 49,378 52,818 51,115
Addition of fixed assets under financing lease obligations 18,694 24,567 38,858
Addition of fixed assets under operating lease obligations 7,889 50,886 44,919
Supplemental disclosures of cash flows information:      
Interest paid – net of amounts capitalized 118,161 87,720 82,775
Income taxes paid – net of refunds 7,885 10,786 1,485
Allocation of purchase price to business combinations:      
Operating lease right-of-use assets 0 22,842 268,633
Financing leases 0 417 0
Goodwill 1,033,637 1,072,980 794,335
Net Investment Hedging      
Investing activities:      
Proceeds from settlement of hedge 0 0 3,034
Cash Flow Hedging      
Investing activities:      
Proceeds from settlement of hedge 0 0 877,365
Payment in settlement of foreign currency forward contract 0 0 (922,350)
LATAM      
Allocation of purchase price to business combinations:      
Recognition of investment in unconsolidated LATAM joint venture 36,896 0 0
Discontinued Operations, Disposed of by Means Other than Sale | Chili Joint Venture [Member] | Land      
Allocation of purchase price to business combinations:      
Net carrying value of Chile assets and liabilities deconsolidated (19,574) 0 0
Discontinued Operations, Disposed of by Means Other than Sale | Chili Joint Venture [Member] | Buildings and improvements      
Allocation of purchase price to business combinations:      
Net carrying value of Chile assets and liabilities deconsolidated (10,118) 0 0
Discontinued Operations, Disposed of by Means Other than Sale | Chili Joint Venture [Member] | Machinery and equipment      
Allocation of purchase price to business combinations:      
Net carrying value of Chile assets and liabilities deconsolidated (8,395) 0 0
Discontinued Operations, Disposed of by Means Other than Sale | Chili Joint Venture [Member] | Assets under construction      
Allocation of purchase price to business combinations:      
Net carrying value of Chile assets and liabilities deconsolidated (20) 0 0
Discontinued Operations, Disposed of by Means Other than Sale | Chili Joint Venture [Member] | Accumulated depreciation      
Allocation of purchase price to business combinations:      
Net carrying value of Chile assets and liabilities deconsolidated 1,959 0 0
Discontinued Operations, Disposed of by Means Other than Sale | Chili Joint Venture [Member] | Cash, cash equivalents and restricted cash      
Allocation of purchase price to business combinations:      
Net carrying value of Chile assets and liabilities deconsolidated (2,483) 0 0
Discontinued Operations, Disposed of by Means Other than Sale | Chili Joint Venture [Member] | Accounts receivable      
Allocation of purchase price to business combinations:      
Net carrying value of Chile assets and liabilities deconsolidated (1,422) 0 0
Discontinued Operations, Disposed of by Means Other than Sale | Chili Joint Venture [Member] | Goodwill      
Allocation of purchase price to business combinations:      
Net carrying value of Chile assets and liabilities deconsolidated (6,653) 0 0
Discontinued Operations, Disposed of by Means Other than Sale | Chili Joint Venture [Member] | Other assets      
Allocation of purchase price to business combinations:      
Net carrying value of Chile assets and liabilities deconsolidated (309) 0 0
Discontinued Operations, Disposed of by Means Other than Sale | Chili Joint Venture [Member] | Accounts payable and accrued expenses      
Allocation of purchase price to business combinations:      
Net carrying value of Chile assets and liabilities deconsolidated 1,105 0 0
Discontinued Operations, Disposed of by Means Other than Sale | Chili Joint Venture [Member] | Mortgage notes, senior unsecured notes and term loans – net of unamortized deferred financing costs      
Allocation of purchase price to business combinations:      
Net carrying value of Chile assets and liabilities deconsolidated 9,633 0 0
Discontinued Operations, Disposed of by Means Other than Sale | Chili Joint Venture [Member] | Accumulated other comprehensive loss      
Allocation of purchase price to business combinations:      
Net carrying value of Chile assets and liabilities deconsolidated (4,766) 0 0
Discontinued Operations, Disposed of by Means Other than Sale | Chili Joint Venture [Member] | Net carrying value of Chile assets and liabilities deconsolidated      
Allocation of purchase price to business combinations:      
Net carrying value of Chile assets and liabilities deconsolidated (41,043) 0 0
Asset Acquisitions      
Allocation of purchase price of property, buildings and equipment to:      
Identifiable intangible assets 0 0 140
Other assets and liabilities, net 0 0 303
Cash paid for acquisition of property, buildings and equipment 14,581 53,641 25,638
Business Acquisitions      
Allocation of purchase price to business combinations:      
Land 514 68,874 167,989
Buildings and improvements 8,218 188,792 1,176,924
Machinery and equipment 3,676 72,492 322,652
Assets under construction 0 373 308
Cash, cash equivalents and restricted cash 0 6,878 57,456
Accounts receivable 0 6,436 96,992
Goodwill 3,107 81,949 470,987
Investments in partially owned entities 0 0 21,638
Other assets 25 3,998 20,405
Accounts payable and accrued expenses 289 (12,620) (97,964)
Sale-leaseback financing obligations 0 0 (73,075)
Financing lease obligations 0 (371) (46,845)
Operating lease obligations 0 (14,450) (221,655)
Unearned revenue 0 (2,807) (1,068)
Deferred tax liability 0 (14,961) (213,666)
Total consideration, including common stock issued and deferred consideration 15,829 709,302 2,478,228
Customer relationships | Business Acquisitions      
Allocation of purchase price to business combinations:      
Customer relationships 0 301,460 528,517
Land | Asset Acquisitions      
Allocation of purchase price of property, buildings and equipment to:      
Property, plant and equipment, additions 3,628 3,933 3,233
Buildings and improvements | Asset Acquisitions      
Allocation of purchase price of property, buildings and equipment to:      
Property, plant and equipment, additions 8,289 33,824 15,940
Machinery and equipment | Asset Acquisitions      
Allocation of purchase price of property, buildings and equipment to:      
Property, plant and equipment, additions $ 2,664 $ 15,884 $ 6,022