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Additional Cash Flow Information
9 Months Ended
Sep. 28, 2024
Additional Cash Flow Information
(5) Additional Cash Flow Information
During the
2024
thirty-
nine
-week period, Landstar paid income taxes and interest of $
45,638,000
and $
2,641,000
, respectively. During the
2023
thirty-
nine
-week period, Landstar paid income taxes and interest of $
68,136,000
and $
2,814,000
, respectively. Landstar acquired operating property by entering into finance leases in the amount of $
24,238,000
in the
2024
thirty-
nine
-week period. Landstar acquired $
6,690,000
of operating property for which the Company accrued a corresponding liability in accounts payable of $
1,201,000
and in other noncurrent liabilities of $
5,489,000
as of September 
28
,
2024
. Landstar did not acquire any operating property by entering into finance leases in the
2023
thirty-
nine
-week period. During the
2024
thirty-
nine
-week period, the Company purchased its common stock at a total cost of $
79,388,000
, including $
78,697,000
in cash purchases and accrued excise tax of $
691,000
, which is included in other current liabilities in the consolidated balance sheet at September 
28
,
2024
.