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Supplemental Financial Statement Information (Tables)
12 Months Ended
Dec. 31, 2020
Balance Sheet Related Disclosures [Abstract]  
Accounting Standards Update
Activity in the allowance for credit losses on accounts receivables is presented below.
Balance at beginning of yearCumulative effect of accounting changeAmounts charged to expenseWrite-offs, recoveries and otherBalance at end of yearAccounts and other receivablesOther assets
2020$17,830 $15,336 $19,789 $(17,611)$35,344 $18,899 $16,445 
2019$17,443 $— $16,345 $(15,958)$17,830 $17,830 $— 
2018$14,319 $— $9,770 $(6,646)$17,443 $17,443 $— 
Schedule of Other (Income) Expense
Other expense, net consisted of the following:
Years Ended December 31,
202020192018
Loss on extinguishment of debt$36,987 $6,623 $7,964 
Insurance proceeds(16,928)— — 
Gain on sale of equity investment(11,908)— — 
Loss on sale of businesses 17,683 — 
Other expense, net$8,151 $24,306 $7,964 
Schedule of Supplemental Cash Flow Information
Supplemental cash flow information is as follows:
Years Ended December 31,
202020192018
Purchases of property and equipment in Accounts payable$16,098 $1,301 $4,293 
Balance Sheet Information
Selected balance sheet information is as follows:
December 31,
20202019
Other assets:
Long-term investments$364,212 $238,882 
Company owned life insurance policies 50,081 
Other (net of allowance of $16,445 in 2020)
127,302 111,493 
Total$491,514 $400,456 
Accounts payable and accrued liabilities:
Accounts payable $295,173 $282,125 
Customer deposits165,774 115,889 
Employee related liabilities232,236 219,995 
Other187,433 175,681 
Total$880,616 $793,690 
Other noncurrent liabilities:
Pension liabilities$235,439 $214,742 
Postretirement medical benefits153,838 147,972 
Other47,738 37,804 
Total$437,015 $400,518