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Supplemental Data - Statements of Cash Flows (Tables)
12 Months Ended
Dec. 31, 2021
Supplemental Data - Statements of Cash Flows  
Schedule of supplemental cash flow and other non-cash data

For the Years Ended December 31,

    

2021

    

2020

2019

(In thousands)

Cash paid for interest (including capitalized interest)

    

$

781,874

$

778,448

$

900,125

Cash received for interest

5,455

5,945

40,795

Cash paid for income taxes

212,491

150,885

30,552

Capitalized interest (1)

821,455

924,644

980,299

Initial equity component of our 0% Convertible Notes due 2025, net of deferred taxes of $99,823

329,409

Master Transaction Agreement, net of deferred tax of $166,161 (2)

497,145

Employee benefits paid in Class A common stock

30,321

28,301

27,004

Convertible debt reclassified per ASU 2020-06 (1)

1,051,344

Deferred taxes reclassified per ASU 2020-06 (1)

245,778

Vendor financing

26,627

74,895

FCC licenses reclassification (3)

915,449

Purchases of wireless equipment

449,093

3,680

(1)See Note 2 for further information.
(2)See Note 20 for further information.
(3)See Note 16 for further information.