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Supplemental cash flow information
3 Months Ended
Mar. 31, 2022
Supplemental cash flow information  
Supplemental cash flow information

11.    Supplemental cash flow information

Three months ended March 31, 

2022

2021

Trade and other receivables

 

$

(142,307)

 

$

(160,435)

Inventory

23,238

12,420

Advances against auction contracts

(4,956)

(1,085)

Prepaid expenses and deposits

12,208

(2,569)

Income taxes receivable

368

(1,624)

Auction proceeds payable

244,965

304,261

Trade and other liabilities

(21,986)

(16,623)

Income taxes payable

19,499

(13,720)

Operating lease obligation

(2,718)

(2,274)

Other

390

(496)

Net changes in operating assets and liabilities

 

$

128,701

 

$

117,855

Three months ended March 31, 

2022

2021

Interest paid, net of interest capitalized

 

$

19,152

 

$

14,914

Interest received

544

303

Net income taxes paid

4,067

23,681

Non-cash purchase of property, plant and equipment under finance lease

 

2,483

 

2,084

Non-cash right of use assets obtained (reassessed) in exchange for new lease obligations

 

4,679

 

6,234

March 31, 

December 31, 

2022

2021

Cash and cash equivalents

 

$

440,120

$

326,113

Restricted cash

Current

150,203

102,875

Non-current

939,755

933,464

Cash, cash equivalents, and restricted cash

 

$

1,530,078

$

1,362,452