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Supplemental Cash Flow Information
3 Months Ended
Mar. 31, 2025
Supplemental Cash Flow Information  
Supplemental Cash Flow Information

16. Supplemental Cash Flow Information

Cash, cash equivalents, and restricted cash balances as of March 31, 2025, and December 31, 2024:

Balance as of

(Amounts in thousands)

    

March 31, 2025

    

December 31, 2024

Cash and cash equivalents

$

2,321,885

$

3,870,891

Restricted cash (included in Other assets)

 

6,285

 

5,809

Total

$

2,328,170

$

3,876,700

We paid $143.9 million and $165.0 million for interest, net of amounts capitalized, for the three months ended March 31, 2025 and 2024, respectively.

We paid $43.0 million and $8.5 million for income taxes, net of refunds, for the three months ended March 31, 2025 and 2024, respectively.

Accrued construction related costs totaled $474.9 million and $469.3 million as of March 31, 2025 and 2024, respectively.