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Supplemental Disclosures of Cash Flow Information
3 Months Ended
Mar. 31, 2022
Supplemental Cash Flow Information [Abstract]  
Supplemental Disclosures of Cash Flow Information Supplemental Disclosures of Cash Flow Information
The following table summarizes our supplemental cash flow information during the periods indicated below (dollars in thousands):
Three months ended March 31,
20222021
Supplemental disclosures:
Cash paid for interest$118,187 $94,825 
Cash paid for income taxes$12,318 $3,444 
Non-cash activities:
Net increase in fair value of derivatives$85,032 $48,171 
The following table provides a reconciliation of cash and cash equivalents reported within the consolidated balance sheets to the total of the cash, cash equivalents and restricted cash reported within the consolidated statements of cash flows (dollars in thousands):
March 31, 2022March 31, 2021
Cash and cash equivalents shown in the consolidated balance sheets
$151,624 $183,984 
Restricted escrow deposits (1)
84,066 7,776 
Impounds related to mortgages payable (1)
7,160 1,570 
Total cash, cash equivalents, and restricted cash shown in the consolidated
statements of cash flows
$242,850 $193,330 
(1)  Included within other assets, net on the consolidated balance sheets (see note 4). These amounts consist of cash that we are legally entitled to, but that is not immediately available to us. As a result, these amounts were considered restricted as of the dates presented.