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Supplemental Cash Flow Information
3 Months Ended
Mar. 31, 2023
Supplemental Cash Flow Information [Abstract]  
Supplemental Cash Flow Information

17. Supplemental Cash Flow Information

The following table provides a reconciliation of cash, cash equivalents and restricted cash reported in the consolidated balance sheet to the total of the same such amounts shown in the statement of cash flows (in thousands):

As of March 31, 

    

2023

    

2022

Cash and cash equivalents

 

$

105,458

 

$

183,377

Restricted cash

9,108

4,239

Total cash, cash equivalents and restricted cash shown in the statement of cash flows

 

$

114,566

 

$

187,616

Restricted cash represents amounts required to be set aside by a contractual agreement with a third-party insurer and amounts pledged for the benefit of various state insurance departments.

The following table provides supplemental cash flow information for the three months ended March 31, 2023 and 2022:

Three Months Ended March 31, 

2023

    

2022

Interest paid

$

1,596

 

$

1,577

Income taxes paid (recovered)

$

(4)

 

$

4,536

Supplemental schedule of non-cash investing activities:

Receivable for securities related to investment disposals

$

11,563

 

$

1,209

Payable for securities related to investment purchases

$

979

 

$

2,374