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Statement Of Cash Flow Information
6 Months Ended
Jun. 30, 2020
Supplemental Cash Flow Information [Abstract]  
Statement Of Cash Flow Information
Note 16 — Statement of Cash Flow Information
 
We define cash and cash equivalents as cash and all highly liquid financial instruments with original maturities of three months or less. We classify cash as restricted when there are legal or contractual restrictions for its withdrawal. As of June 30, 2020, we had restricted cash of $42.1 million, which serves as collateral for one project-related letter of credit. The letter of credit was cancelled in July 2020 and the restrictions on the cash were subsequently released. The following table provides supplemental cash flow information (in thousands):
Six Months Ended
June 30,
20202019
Interest paid, net of interest capitalized$8,413  $1,478  
Income taxes paid4,937  5,478  
 
Our non-cash investing activities include the acquisition of property and equipment for which payment has not been made. These non-cash capital additions totaled $1.6 million at June 30, 2020 and $10.2 million at December 31, 2019.