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Supplemental Information to Statements of Cash Flows (Tables)
12 Months Ended
Dec. 31, 2022
Supplemental Cash Flow Elements [Abstract]  
Schedule of supplemental information to statements of cash flows
For the year ended December 31,
202220212020
Reconciliation of cash, cash equivalents, and restricted cash reserves
Cash and cash equivalents$481,316 $665,341 $899,813 
Restricted cash reserves55,070 48,528 34,977 
Cash, cash equivalents, and restricted cash reserves$536,386 $713,869 $934,790 
Interest paid$87,180 $92,729 $98,511 
Income taxes paid$1,255 $477 $1,501 
Operating cash flow lease payments for operating leases$15,742 $12,371 $11,813 
Right-of-use asset and liability adjustment due to remeasurement$(2,473)$— $4,100 
Supplemental investing and financing transactions
In conjunction with the acquisitions of hotel properties, the Company recorded the following:
Purchase of hotel properties$59,000 $198,250 $— 
Transaction costs1,110 2,014 — 
Operating prorations (802)(589)— 
Mortgage debt assumed (non-cash financing activity)— (25,000)— 
Acquisition of hotel properties, net$59,308 $174,675 $— 
In conjunction with the sale of hotel properties, the Company recorded the following:
Sales price$49,900 $208,507 $4,883 
Transaction costs(834)(8,118)(133)
Operating prorations(991)(1,747)(98)
Receipt of forfeited deposit— — 517 
Proceeds from the sale of hotel properties, net$48,075 $198,642 $5,169 
Supplemental non-cash transactions
Change in fair market value of designated interest rate swaps$63,570 $41,279 $(49,536)
Accrued capital expenditures$17,645 $10,049 $7,313 
Distributions payable$14,622 $8,347 $8,752