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Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
6 Months Ended 12 Months Ended
Jun. 30, 2021
Jun. 30, 2020
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Cash flows from operating activities          
Net (loss) income $ (3,816) $ 3,912 $ (7,158) $ (2,512) $ (13,692)
Adjustments to reconcile net loss to net cash provided by operating activities:          
Depreciation and amortization 19,289 27,460 56,450 54,139 56,021
Provision for doubtful accounts 500 1,389 1,483 1,840 1,725
Stock-based compensation expense 9,023 5,916 21,053 8,662 1,796
Deferred taxes (2,381) (1,722) (4,051) (4,733) (10,535)
Loss (gain) on foreign currency exchange rates 467 1,086 1,707 (601) 1,723
Other non-cash (benefits) expenses     0 (100) 3
Changes in operating assets and liabilities, net of assets acquired and liabilities assumed in business combinations:          
Accounts receivable (1,327) (3,351) (3,458) (5,015) (4,936)
Income tax receivable (153) 51 (233) (271) 372
Prepaid expenses and other assets (6,117) (778) (581) (1,025) (513)
Accounts payable (5,336) (235) 3,273 (236) 791
Due to and from affiliates 12,184 5,440 6,155 (3,753) 1,597
Accrued liabilities and other 5,118 2,228 7,970 (2,562) 4,707
Accrued related party interest payable (2,039) 6,222 1,540 (18,550) 9,865
Income taxes payable (2,197) (1,993) 389 752 1,592
Deferred revenue (126) 2 1,126 (495) 115
Other long-term liabilities     0 0 1,695
Net cash provided by operating activities 23,089 45,627 85,665 25,540 52,326
Cash flows from investing activities          
Purchases of property and equipment (12,757) (4,153) (11,919) (5,793) (9,473)
Purchases of intangible assets (2,252) (1,835) (4,221) (2,422) (451)
Acquisitions, net of cash acquired     0 (14,823) (13,001)
Net cash used in investing activities (15,009) (5,988) (16,140) (23,038) (22,925)
Cash flows from financing activities          
Repayments of borrowings due to affiliates (68,620) (21,750) (21,750) (55,600) 0
Net transfers from Parent 10,783 6,763 11,192 12,789 20,583
Net cash (used in) and provided by financing activities (57,837) (14,987) (10,558) (42,811) 20,583
Effect of exchange rate changes on cash and cash equivalents (433) (2,387) 1,475 1,790 (2,545)
Net increase (decrease) in cash and cash equivalents (50,190) 22,265 60,442 (38,519) 47,439
Cash and cash equivalents          
Beginning of period 99,790 39,348 39,348 77,867 30,428
End of period 49,600 61,613 99,790 39,348 77,867
Supplemental disclosure of cash flow information          
Cash paid for interest 14,640 8,517 26,602 52,681 24,851
Cash paid for income taxes 9,816 8,237 14,205 8,941 $ 3,780
Supplemental disclosure of non-cash activities:          
Right-of-use assets obtained in exchange for operating lease liabilities $ 21,235 $ 5,765 $ 5,765 $ 2,278