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Supplemental Cash Flows Information (Tables)
12 Months Ended
Dec. 31, 2023
Supplemental Cash Flow Elements [Abstract]  
Schedule of Cash Flow, Supplemental Disclosures
The following presents the schedule of interest paid and other supplemental cash flow information:
For the Year Ended
December 31,
202320222021
Cash paid for interest$10,803 $17,802 $24,471 
Cash paid for income taxes$38,072 $54,023 $682 
Cash, cash equivalents and restricted cash - beginning of year
Cash and cash equivalents$113,424 $50,735 $36,761 
Restricted cash108,883 21,986 50,206 
$222,307 $72,721 $86,967 
Cash, cash equivalents, restricted cash - end of year
Cash and cash equivalents$36,700 $113,424 $50,735 
Restricted cash42,327 108,883 21,986 
$79,027 $222,307 $72,721 
Payments on mortgages, other notes and bonds payable
Mortgages and other notes payable$6,481 $67,263 $65,242 
Bonds payable131,176 43,759 53,658 
$137,657 $111,022 $118,900 

The following is a schedule of noncash investing and financing activities:
For the Year Ended
December 31,
202320222021
Property acquired in exchange for reduction of related party receivable$8,764 $— $— 
Assets distributed from joint venture$— $133,372 $— 
Liabilities assumed by joint venture$— $72,143 $— 
Distribution from joint venture applied to Earn Out Obligation$— $34,159 $5,441 
Assets contributed to joint venture$— $— $18,608 
Liabilities assumed by joint venture$— $— $15,606 
Notes receivable received in exchange for related party receivable$— $— $9,259