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Note 23 - Supplemental Cash Flow
12 Months Ended
Dec. 31, 2022
Notes to Financial Statements  
Cash Flow, Supplemental Disclosures [Text Block]

23.         Supplemental Cash Flow

 

 

  

Year Ended December 31,

  

2022

 

2021

 

2020

Supplemental disclosure of cash flow information:

            

Cash paid for income taxes net of refunds

 $(33,171) $(20,130) $(21,437)

Cash paid for interest, net

 (3,851) (4,192) (2,630)

Change in accounts payable and accrued expenses related to capital expenditures

 (14,721) (8,191) (9,375)

Fair value of net assets acquired in the Merger, net of cash and cash equivalents and restricted cash

 - 552,543 -