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SUPPLEMENTAL CASH FLOW DISCLOSURES ON NON-CASH ACTIVITIES
12 Months Ended
Dec. 31, 2023
Supplemental Cash Flow Information [Abstract]  
SUPPLEMENTAL CASH FLOW DISCLOSURES ON NON-CASH ACTIVITIES SUPPLEMENTAL CASH FLOW DISCLOSURES ON NON-CASH ACTIVITIES
The following table provides non-cash disclosures during the periods indicated:
Year Ended December 31,
20232022
(amounts in thousands)
Operating Activities
Barter revenues$12,390 $11,396 
Barter expenses$12,390 $11,396 
Financing Activities
Increase in paid-in capital from the issuance of RSUs$1,589 $2,742 
Decrease in paid-in capital from the forfeiture of RSUs(1,201)(2,674)
Net paid-in capital of RSUs issued (forfeited)$388 $68 
Investing Activities
Non cash additions to property and equipment and intangibles$2,899 $8,757 
Net radio station assets given up in a market$— $(4,496)
Net radio station assets acquired in a market$— $1,959