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Cash Flow Information
12 Months Ended
Dec. 31, 2022
Supplemental Cash Flow Information [Abstract]  
Cash Flow Information CASH FLOW INFORMATION
Cash, Cash Equivalents, and Restricted Cash
The total amounts presented on our statements of cash flows include cash, cash equivalents, and restricted cash. Restricted cash includes additional collateral for non-recourse debt borrowings and collections on auto loans receivable that are due to be distributed to non-recourse debt holders in the following period. The following table provides a reconciliation
of cash and cash equivalents reported on our Consolidated Balance Sheets to the total amounts reported on our Consolidated Statements of Cash Flows:
Years Ended December 31,
20222021
Cash and cash equivalents $72.6 $60.4 
Restricted cash included in Other Current Assets15.6 0.2 
Restricted cash included in Other Assets 7.2 — 
Total cash, cash equivalents, and restricted cash$95.4 $60.6 
Non-Cash Investing and Financing Activities
We had accrued purchases of property and equipment of $33.0 million at December 31, 2022, $25.9 million at December 31, 2021 and $9.6 million at December 31, 2020. We had non-cash investing and financing activities related to increases in property and equipment acquired under financing agreements of $1.7 million during 2020.
Interest and Income Taxes Paid
We made interest payments, net of amounts capitalized and including interest on vehicle inventory financing, of $153.7 million in 2022, $113.9 million in 2021, and $164.2 million in 2020. We made income tax payments, net of income tax refunds, of $482.5 million in 2022, $458.3 million in 2021, and $190.2 million in 2020.