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Supplemental cash flow and non-cash information
6 Months Ended
Jun. 30, 2020
Supplemental Cash Flow Elements [Abstract]  
Supplemental cash flow and non-cash information Supplemental cash flow and non-cash information
The following table presents supplemental cash flow and non-cash information for the periods presented:
Six months ended June 30,
(in thousands)20202019
Supplemental cash flow information:
Cash paid for interest, net of $1,822 and $420 of capitalized interest, respectively
$25,595  $29,721  
Net cash received for income taxes(1)
$—  $(691) 
Supplemental non-cash investing information:
Fair value of contingent consideration on acquisition date(2)
$225  $—  
(Decrease) increase in accrued capital expenditures$(15,024) $2,335  
Capitalized share-settled equity-based compensation$1,647  $1,863  
Capitalized asset retirement cost$1,082  $356  
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(1)See Note 16 for additional discussion of the Company's income taxes.
(2)See Notes 3.a and 9.c for discussion of the Company's 2020 asset acquisition of oil and natural gas properties that includes a contingent consideration. See Note 10.a for discussion of the quarterly remeasurement of the contingent consideration.
The following table presents supplemental non-cash adjustments information related to operating leases for the periods presented:
Six months ended June 30,
(in thousands)20202019
Right-of-use assets obtained in exchange for operating lease liabilities(1)
$2,349  $25,212  
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(1)See Note 5 for additional discussion of the Company's leases.