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Supplemental Data - Statements of Cash Flows (Tables)
3 Months Ended
Mar. 31, 2022
Supplemental Data - Statements of Cash Flows  
Schedule of supplemental cash flow and other non-cash data

For the Three Months Ended 

March 31,

    

2022

    

2021

(In thousands)

Cash paid for interest (including capitalized interest)

    

$

277,056

$

277,849

Cash received for interest

4,388

457

Cash paid for income taxes

3,871

1,082

Capitalized interest (1)

267,305

208,452

Employee benefits paid in Class A common stock

30,304

Convertible debt reclassified per ASU 2020-06

1,051,344

Deferred taxes reclassified per ASU 2020-06

245,778

Vendor financing

12,140

26,463

FCC licenses reclassification (2)

912,939

Purchases of wireless equipment

431,636

21,750

Asset retirement obligation

48,237

(1)

See Note 2 for further information.

(2)

See Note 10 for further information.