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Supplemental Cash Flow Information
12 Months Ended
Dec. 31, 2025
Supplemental Cash Flow Elements [Abstract]  
Supplemental Cash Flow Information Supplemental Cash Flow Information
Non-cash investing and financing activities were as follows:
 Year Ended December 31,
 202520242023
Right-of-use assets obtained in exchange for new lease obligations$8,739 $17,367 $17,520 
Property and equipment in accounts payable1,791 1,150 1,997 
Cash paid for interest and income taxes was as follows:
 Year Ended December 31,
 202520242023
Cash paid for interest$3,261 $2,704 $5,629 
Cash paid for income taxes, net of refunds
48,126 24,800 25,998 
During the years ended December 31, 2025, 2024 and 2023, we issued 0.5 million, 2.6 million and 0.9 million shares of Class A common stock, respectively, pursuant to redemptions of CC Units (CW Units prior to the CC Reorganization) by holders thereof.