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SUPPLEMENTAL CASH FLOW INFORMATION - (Tables)
3 Months Ended
Mar. 28, 2020
Schedule Of Cash Flow Supplemental [Line Items]  
Schedule of Supplemental Cash Flow Information
Supplemental cash flow information is as follows:
 
Three months ended
 
March 28, 2020
 
March 30, 2019
Cash payments:
 
 
 
Interest
$
36,310

 
$
21,126

Refunds for income taxes, net
(298
)
 
(20
)
Operating cash payments on operating leases
2,948

 
2,837

Operating cash payments on finance leases
794

 
699

Finance cash payments on finance leases
3,883

 
2,580

Non cash financing activities:
 
 
 
Right of use assets obtained in exchange for operating lease obligations
$
577

 
$
1,608

Right of use assets obtained in exchange for finance leases obligations
6,267

 
9,442

Exchange of LP Units to shares of Class A common stock
4,648

 
277


Summit Materials, LLC  
Schedule Of Cash Flow Supplemental [Line Items]  
Schedule of Supplemental Cash Flow Information
Supplemental cash flow information is as follows:
 
 
Three months ended
 
 
March 28, 2020
 
March 30, 2019
Cash payments:
 
 
 
 
Interest
 
$
36,310

 
$
21,126

Refunds for income taxes, net
 
(298
)
 
(20
)
Operating cash payments on operating leases
 
2,948

 
2,837

Operating cash payments on finance leases
 
794

 
699

Finance cash payments on finance leases
 
3,883

 
2,580

Non cash financing activities:
 
 
 
 
Right of use assets obtained in exchange for operating lease obligations
 
$
577

 
$
1,608

Right of use assets obtained in exchange for finance leases obligations
 
6,267

 
9,442