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Consolidated Statement of Cash Flows - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2022
Mar. 31, 2021
Statement of Cash Flows [Abstract]    
Net income $ 219,567 $ 228,955
Adjustments to reconcile net income to net cash provided by operating activities:    
Depreciation and amortization 42,436 39,558
Amortization of intangibles 5,074 5,335
Amortization of cemetery property 24,849 28,929
Amortization of loan costs 1,644 1,526
Provision for expected credit losses 3,078 3,824
(Benefit from) provision for deferred income taxes (4,580) 553
Share-based compensation 3,687 3,500
Gain (Loss) on Disposition of Assets (489) (1,266)
Change in assets and liabilities, net of effects from acquisitions and divestitures:    
Increase (Decrease) in Accounts Receivable 5,435 2,525
Increase (Decrease) in Other Operating Assets (2,714) (12,204)
Increase (Decrease) in Operating Liabilities (52,003) (43,046)
Effect of preneed funeral production and maturities:    
Increase in preneed receivables, net and trust investments (91,641) (66,194)
Increase in deferred revenue, net 67,625 19,660
Increase (decrease) in deferred receipts held in trust 6,199 (141)
Net cash provided by operating activities 332,173 297,606
Cash flows from investing activities:    
Capital expenditures (56,748) (42,274)
Payments to Acquire Businesses, Net of Cash Acquired 0 (1,160)
Payments for (Proceeds from) Deposits on Real Estate Acquisitions (226) (5,608)
Proceeds from divestitures and sales of property and equipment 2,986 4,045
Payment to Acquire Life Insurance Policy, Investing Activities (1,666) (18)
Net cash used in investing activities (55,654) (45,015)
Cash flows from financing activities    
Proceeds from issuance of long-term debt 75,000 20,000
Early payments and extinguishment of debt 0 (100,000)
Finance Lease, Principal Payments 9,059 6,652
Repayments of Unsecured Debt (9,075) (9,023)
Proceeds from exercise of stock options 272 2,282
Purchase of Company common stock (256,355) (106,135)
Payments of dividends (39,964) (35,568)
Bank overdrafts and other (12,517) (7,932)
Net cash (used in) provided by financing activities (251,698) (243,028)
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents, Continuing Operations 2,556 1,412
Net increase in cash, cash equivalents, and restricted cash 27,377 10,975
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents $ 305,932 $ 249,585