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CONSOLIDATED STATEMENTS OF CASH FLOWS (Parenthetical) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Cash, cash equivalents and restricted cash:      
Cash and cash equivalents $ 37,747 $ 70,162 $ 106,794
Restricted cash included in other assets $ 7,556 $ 4,238 $ 3,325
Restricted Cash and Cash Equivalents, Statement of Financial Position Other assets Other assets Other assets
Total cash, cash equivalents and restricted cash shown in the accompanying consolidated statements of cash flows $ 45,303 $ 74,400 $ 110,119
Cash paid during the period for:      
Interest, net of amounts capitalized 17,152 13,621 12,801
Income taxes 17,111 11,070  
Non-cash investing and financing activities:      
Non-cash capital contribution from non-controlling interest     2,359
Non-cash contributions to unconsolidated joint venture (4,044) (6,136) (23,737)
Decrease in Community Development District debt, net (311) (900) (157)
Transfers of operating property to property and equipment 9,594 12,012  
Increase in expenditures for operating properties and property and equipment financed through accounts payable 13,205 19,223 7,939
Unrealized gain on cash flow hedges $ 5,243 $ 1,481 $ (821)