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Consolidated Statements Of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2019
Dec. 31, 2018
Dec. 31, 2017
Net Cash Provided by (Used in) Operating Activities [Abstract]      
Net income $ 323,884 $ 335,257 $ 172,492
Adjustments to reconcile net income to net cash provided by operating activities:      
Depreciation and amortization 234,513 211,036 191,108
Noncash compensation 74,962 63,966 50,054
Noncash income from financial services (32,469) (30,130) (27,027)
Deferred income taxes (9,484) 23,440 73,614
Impairment charges 3,558 24,263 25,395
Other, net 1,575 (8,489) 3,401
Changes in operating assets and liabilities:      
Trade receivables 6,812 20,686 (17,064)
Inventories (149,872) (149,701) (26,958)
Accounts payable 103,766 (984) 39,516
Accrued expenses 98,965 7,170 94,557
Income taxes payable/receivable 4,860 (4,490) 23,410
Prepaid expenses and other, net (6,034) (14,912) (17,090)
Net cash provided by operating activities 655,036 477,112 585,408
Net Cash Provided by (Used in) Investing Activities [Abstract]      
Purchase of property and equipment (251,374) (225,414) (184,388)
Investment in finance affiliate (16,953) (12,289) (25,230)
Distributions from finance affiliate 30,840 39,125 57,502
Investment in other affiliates, net 0 (1,113) (625)
Acquisition and disposal of businesses, net of cash acquired (1,800) (759,801) 1,645
Net cash used for investing activities (239,287) (959,492) (151,096)
Net Cash Provided by (Used in) Financing Activities [Abstract]      
Borrowings under debt arrangements / finance lease obligations 3,368,853 3,553,237 2,186,939
Repayments under debt arrangements / finance lease obligations (3,638,864) (2,579,495) (2,421,473)
Repurchase and retirement of common shares (8,378) (348,663) (90,461)
Cash dividends to shareholders (149,101) (149,032) (145,423)
Proceeds from stock issuances under employee plans 15,660 47,371 42,738
Net cash (used for) provided by financing activities (411,830) 523,418 (427,680)
Net increase in cash, cash equivalents and restricted cash 3,160 31,508 16,448
Impact of currency exchange rates on cash balances (759) (9,530) 9,816
Supplemental Cash Flow Information [Abstract]      
Interest paid on debt borrowings 76,959 51,014 30,884
Income taxes paid 87,844 73,999 46,308
Cash and cash equivalents 157,064 161,164 138,345
Other long-term assets 39,222 31,962 23,273
Total $ 196,286 $ 193,126 $ 161,618