Quarterly report pursuant to Section 13 or 15(d)

Supplemental Balance Sheet and Cash Flow Information (Tables)

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Supplemental Balance Sheet and Cash Flow Information (Tables)
6 Months Ended
Jun. 30, 2024
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Prepaid Expenses
Prepaid expenses and other current assets consisted of the following:
June 30,
2024
December 31,
2023
Property held for sale $ 8,600  $ 8,600 
Construction contract receivables 18,392  25,280 
Prepaid insurance 5,680  2,393 
Prepaid commissions 5,683  5,059 
Prepaid software licenses and maintenance 6,729  5,481 
Other 13,741  10,938 
Prepaid expenses and other current assets $ 58,825  $ 57,751 
Schedule of Accrued Expenses
Accrued expenses and other current liabilities consisted of the following:
June 30,
2024
December 31,
2023
Real estate taxes $ 33,863  $ 32,165 
Accrued interest 40,469  38,723 
Payroll liabilities 31,614  40,357 
Self-insurance accruals 26,422  24,869 
Corporate accruals 31,016  33,066 
Other 20,241  16,125 
Accrued expenses and other current liabilities $ 183,625  $ 185,305 
Schedule of Other Current Liabilities
Accrued expenses and other current liabilities consisted of the following:
June 30,
2024
December 31,
2023
Real estate taxes $ 33,863  $ 32,165 
Accrued interest 40,469  38,723 
Payroll liabilities 31,614  40,357 
Self-insurance accruals 26,422  24,869 
Corporate accruals 31,016  33,066 
Other 20,241  16,125 
Accrued expenses and other current liabilities $ 183,625  $ 185,305 
Schedule of Supplemental Cash Flow Information
(Increases) decreases in operating assets and increases (decreases) in operating liabilities are as follows:
Six Months Ended
June 30,
2024 2023
Accounts receivable $ (1,802) $ (6,610)
Center operating supplies and inventories (1,761) (2,476)
Prepaid expenses and other current assets (8,630) (2,510)
Income tax receivable 1,947  (5,921)
Other assets 10  131 
Accounts payable (2,875) 9,619 
Accrued expenses and other current liabilities 16,014  8,896 
Deferred revenue 2,259  4,664 
Other liabilities 480  941 
Changes in operating assets and liabilities $ 5,642 $ 6,734
Additional supplemental cash flow information is as follows:
Six Months Ended
June 30,
2024 2023
Net cash paid for income taxes, net of refunds received $ 9,235  $ 12,445 
Cash payments for interest, net of capitalized interest 69,984  57,380 
Capitalized interest 3,962  9,756 
Non-cash activity:
Issuances of common stock in connection with a business acquisition —  1,472 
Right-of-use assets obtained in exchange for initial lease liabilities:
Operating leases 128,486 58,419
Finance leases 705 605
Right-of-use asset adjustments recognized as a result of the remeasurement of existing operating lease liabilities 4,631 16,429
Non-cash increase in operating lease right-of-use assets associated with below-market sale-leaseback transactions 5,900
Non-cash increase in financing obligations as a result of interest accretion 70 46