XML 35 R22.htm IDEA: XBRL DOCUMENT v3.24.2.u1
Supplemental Cash Flow Information
6 Months Ended
Jun. 30, 2024
Supplemental Cash Flow Information [Abstract]  
Supplemental Cash Flow Information

(15) Supplemental Cash Flow Information

 

The table below is a reconciliation of cash, cash equivalents and restricted cash as of the beginning and the end of the periods presented:

 

 

 

June 30,

 

 

 

2024

 

 

2023

 

Cash and cash equivalents

 

$

391,684

 

 

$

258,999

 

Restricted cash-non-current

 

 

85,444

 

 

 

80,108

 

Cash, cash equivalents, and restricted cash, beginning of period

 

$

477,128

 

 

$

339,107

 

 

 

 

 

 

 

 

Cash and cash equivalents

 

$

281,254

 

 

$

330,129

 

Restricted cash-non-current

 

 

54,003

 

 

 

80,318

 

Cash, cash equivalents, and restricted cash, end of period

 

$

335,257

 

 

$

410,447

 

 

Accrued capital expenditures totaled $4.1 million and $8.9 million as of June 30, 2024 and 2023, respectively.

Additionally, during the six months ended June 30, 2023, gains recognized on the disposition of assets classified as discontinued operations totaled $0.7 million, and proceeds from these dispositions totaled $11.3 million.

 

Changes in operating accounts on cash flows from operating activities are as follows (in thousands):

 

 

 

For the Six Months Ended

 

 

 

June 30,

 

 

 

2024

 

 

2023

 

 Accounts receivable, net

 

$

57,590

 

 

$

(506

)

 Inventory

 

 

8,728

 

 

 

(19,636

)

 Prepaid expenses and other current assets

 

 

(6,405

)

 

 

(1,820

)

 Accounts payable

 

 

1,121

 

 

 

16,707

 

 Accrued expenses

 

 

(11,241

)

 

 

(18,399

)

 Income taxes

 

 

(2,613

)

 

 

2,129

 

 Other, net

 

 

(1,946

)

 

 

(6,753

)

 Changes in operating assets and liabilities

 

$

45,234

 

 

$

(28,278

)