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CONSOLIDATED FINANCIAL STATEMENT DETAILS (Tables)
12 Months Ended
Dec. 31, 2023
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Other Current Assets
 December 31,
 20232022
 (In thousands)
Other current assets:
Prepaid expenses$46,433 $45,089 
Capitalized mobile app fees33,122 38,185 
Other24,468 26,053 
Other current assets$104,023 $109,327 
Schedule of Property and Equipment, Net
 December 31,
 20232022
 (In thousands)
Property and equipment, net:
Computer equipment and capitalized software$275,398 $180,410 
Buildings and building improvements67,019 67,139 
Leasehold improvements53,163 45,371 
Land11,565 11,565 
Furniture and other equipment17,148 20,861 
Projects in progress19,455 49,199 
443,748 374,545 
Accumulated depreciation and amortization(249,223)(198,409)
Property and equipment, net$194,525 $176,136 
Schedule of Accrued Expenses and Other Current Liabilities
 December 31,
 20232022
 (In thousands)
Accrued expenses and other current liabilities:
Accrued employee compensation and benefits$103,336 $90,098 
Accrued advertising expense59,639 49,509 
Accrued non-income taxes34,216 38,017 
Accrued interest expense30,184 30,148 
Other79,924 82,165 
Accrued expenses and other current liabilities$307,299 $289,937 
Schedule of Other Income (Expense), Net
 Years Ended December 31,
 202320222021
 (In thousands)
Other income (expense), net$19,772 $8,033 $(465,038)
Schedule of Cash and Cash Equivalents
The following table provides a reconciliation of cash and cash equivalents and restricted cash reported within the consolidated balance sheet to the total amounts shown in the consolidated statement of cash flows:
December 31,
2023202220212020
(In thousands)
Cash and cash equivalents$862,440 $572,395 $815,384 $739,164 
Restricted cash included in other current assets
— 121 128 138 
Total cash, cash equivalents, and restricted cash as shown on the consolidated statement of cash flow
$862,440 $572,516 $815,512 $739,302 
Schedule of Restricted Cash
The following table provides a reconciliation of cash and cash equivalents and restricted cash reported within the consolidated balance sheet to the total amounts shown in the consolidated statement of cash flows:
December 31,
2023202220212020
(In thousands)
Cash and cash equivalents$862,440 $572,395 $815,384 $739,164 
Restricted cash included in other current assets
— 121 128 138 
Total cash, cash equivalents, and restricted cash as shown on the consolidated statement of cash flow
$862,440 $572,516 $815,512 $739,302 
Schedule of Supplemental Disclosure of Cash Flow Information
Supplemental Disclosures of Cash Flow Information
 Years Ended December 31,
 202320222021
 (In thousands)
Cash paid (received) during the year for:  
Interest$152,481 $138,045 $117,528 
Income tax payments
$110,428 $60,026 $54,766 
Income tax refunds$(8,394)$(13,658)$(13,840)
Noncash issuance of common stock for the acquisition of Hyperconnect$— $— $890,851