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Supplemental Information to Statements of Cash Flows (Details) - USD ($)
$ in Thousands
3 Months Ended
Jan. 29, 2024
Mar. 31, 2025
Mar. 31, 2024
Dec. 31, 2024
Dec. 31, 2023
Supplemental Cash Flow Elements [Abstract]          
Cash and cash equivalents   $ 347,526 $ 350,237 $ 409,809  
Restricted cash reserves   24,868 40,721 23,516  
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents   372,394 390,958 $ 433,325 $ 555,327
Interest paid   35,618 34,199    
Income taxes (refunded) paid   (56) 122    
Operating Lease, Payments   3,436 3,882    
Right-of-use asset and lease liability adjustments due to remeasurement   0 (1,221)    
Right-of-use asset and lease liability reclassifications to land due to acquisition   0 1,187    
In connection with the acquisition of land, the Company recorded the following:          
Purchase price   0 125,000    
Increase (Decrease) in Deposit Assets   0 (2,400)    
Asset Acquisition, Consideration Transferred, Transaction Cost $ 200 0 79    
Acquisition, net   0 122,679    
In connection with the sale of a hotel property, the Company recorded the following:          
Sales price   24,250 0    
Transaction costs   (107) 0    
Operating prorations   (22) 0    
Proceeds from sale of hotel property, net   24,121 0    
Supplemental non-cash transactions          
Accrued capital expenditures   $ 23,967 $ 19,823