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Supplemental Cash Flow and Other Information (Tables)
12 Months Ended
Dec. 31, 2018
Supplemental Cash Flow Elements [Abstract]  
Cash, cash equivalents and restricted cash
Cash, cash equivalents, and restricted cash in the consolidated statements of cash flows consisted of the following:
(in thousands)
2018
 
2017
 
2016
Cash and cash equivalents
$
56,118

 
$
56,352

 
$
87,878

Restricted cash (included in other current assets)
8,148

 
9,108

 
7,421

Cash, cash equivalents, and restricted cash
$
64,266

 
$
65,460

 
$
95,299

Schedule of supplemental cash flow disclosures, impairments and other non-cash charges
Impairments and other non-cash charges in the consolidated statements of cash flows consisted of the following:
(In thousands)
2016
Other intangible asset impairments
$
3,104

Property, plant and equipment impairments
4,286

Inventory write-downs
4,075

Write-off of debt issuance costs on termination of Credit Agreement
1,058

Impairments and other non-cash charges in the consolidated statements of cash flows
$
12,523

Supplemental disclosures to the statements of cash flows are presented below:
(in thousands)
2018
 
2017
 
2016
Cash paid (received) for:
 
 
 
 
 
Income taxes (net of refunds)
$
15,627

 
$
(20,396
)
 
$
(20,709
)
Interest
$
8,741

 
$
8,718

 
$
8,802