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Supplemental Cash Flow Information
12 Months Ended
Dec. 31, 2023
Supplemental Cash Flow Information [Abstract]  
Supplemental Cash Flow Information Supplemental Cash Flow Information
Supplemental cash flow information follows:
 Year Ended December 31,
Supplemental cash flow information202320222021
Interest paid$18,200 $5,855 $4,929 
Income taxes paid, net29,677 18,367 34,094 
Noncash transactions:   
Debt issued for purchases of businesses$7,046 $7,445 $2,961 
Detail of acquisitions:   
Assets acquired:   
Cash$249 $1,365 $292 
Accounts receivable211 10,794 509 
Mitigation bank credit inventory— 6,351 — 
Operating supplies1,538 48 1,044 
Prepaid expense141 126 203 
Equipment7,220 2,309 4,049 
Other assets2,658 412 1,574 
Intangible assets7,302 10,569 3,005 
Goodwill14,758 14,255 7,723 
Liabilities assumed(5,285)(15,592)(3,713)
Debt issued for purchases of businesses(7,046)(7,445)(2,961)
Cash paid$21,746 $23,192 $11,725