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Supplemental Data - Statements of Cash Flows (Tables)
6 Months Ended
Jun. 30, 2023
Supplemental Data - Statements of Cash Flows  
Schedule of supplemental cash flow and other non-cash data

For the Six Months Ended 

June 30,

    

2023

    

2022

(In thousands)

Cash paid for interest (including capitalized interest)

    

$

670,379

$

528,058

Cash received for interest

8,454

5,840

Cash paid for income taxes

17,562

34,324

Capitalized interest (1)

648,488

532,494

Employee benefits paid in Class A common stock

14,671

26,326

Vendor financing

57,930

49,407

FCC licenses reclassification

122,657

Accrued wireless equipment purchases

467,040

448,130

Asset retirement obligation

54,351

81,737

Unsettled repurchases of senior notes

35,000

(1)

See Note 2 for further information.