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Supplemental Cash Flow Information (Tables)
6 Months Ended
Jun. 30, 2020
Supplemental Cash Flow Elements [Abstract]  
Summary of Supplemental Cash Flow Information
The following table summarizes supplemental cash flow information for the six months ended June 30, 2020 and 2019 (in thousands):
Six Months Ended June 30,
20202019
Supplemental cash flow information:
Cash payments for interest, including $666 and $703, respectively, to related parties
$46,175  $31,610  
Non-cash investing and financing activities:
Capital expenditures included in accounts payable and accrued liabilities$31,226  $9,717  
Property and equipment acquired under finance leases$22,883  $16,552  
Operating lease right-of-use assets obtained in exchange for operating lease liabilities$51,674  $20,767  
Equity-based compensation expense capitalized to property and equipment$2,595  $879  
Fair value of beneficial interests received in securitization transactions$39,578  $46,123  
Reductions of beneficial interests in securitizations and associated long-term debt$14,538  $—  
Schedule of Reconciliation of Cash, Cash Equivalents and Restricted Cash
The following table provides a reconciliation of cash, cash equivalents, and restricted cash reported within the accompanying unaudited condensed consolidated balance sheets that sum to the total of the same amounts shown in the accompanying unaudited condensed consolidated statements of cash flows for all periods presented (in thousands):

June 30, 2020December 31, 2019June 30, 2019December 31, 2018
Cash and cash equivalents$246,299  $76,016  $40,200  $78,861  
Restricted cash (1)
119,987  42,443  2,196  9,848  
Total cash, cash equivalents and restricted cash$366,286  $118,459  $42,396  $88,709  
(1) Amounts included in restricted cash represent the deposits required under the Company's short-term revolving facilities. Refer to Note 9 — Debt Instruments for additional information.