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Basis of Presentation, Summary of Significant Accounting Policies and Change in Accounting Principles (Tables)
3 Months Ended
Mar. 31, 2023
Accounting Policies [Abstract]  
Schedule of Restricted Cash And Cash Equivalents
Restricted cash and restricted investments include cash and investments used to collateralize various contractual obligations (in thousands) as follows:
March 31, 2023December 31, 2022
Collateral for letters of credit for facility leases (1)
$2,132 $2,269 
Collateral with financial institutions (2)
10,966 10,912 
Claims processing services (3)
21,353 13,777 
Total restricted cash and restricted investments$34,451 $26,958 
Current restricted cash$21,932 $14,492 
Total current restricted cash and restricted investments$21,932 $14,492 
Non-current restricted cash$12,519 $12,466 
Total non-current restricted cash and restricted investments$12,519 $12,466 
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(1)Represents restricted cash related to collateral for letters of credit required in conjunction with lease agreements. See Note 11 for further discussion of our lease commitments.
(2)Represents collateral held with financial institutions for risk-sharing and other arrangements which are held in a FDIC participating bank account. See Note 17 for discussion of fair value measurement and Note 10 for discussion of our risk-sharing arrangements.
(3)Represents cash held by the Company related to claims processing services on behalf of partners. These are pass-through amounts and can fluctuate materially from period to period depending on the timing of when the claims are processed.
Schedule of Cash And Cash Equivalents
The following table provides a reconciliation of cash and cash equivalents and restricted cash reported within the consolidated balance sheets that sum to the total of the same amounts shown in the consolidated statements of cash flows (in thousands):
March 31,
20232022
Cash and cash equivalents$157,519 $210,158 
Restricted cash and restricted investments34,451 52,628 
Total cash and cash equivalents and restricted cash shown in the consolidated statements of cash flows$191,970 $262,786 
Schedule of Intangible Assets
The following summarizes the estimated useful lives by asset classification:
Corporate trade name
2 - 20 years
Customer relationships
11 - 25 years
Technology5 years
Provider network contracts
3 - 5 years
Details of our intangible assets (in thousands, except weighted-average useful lives) are presented below:

March 31, 2023December 31, 2022
  Weighted- Average Remaining Useful LifeGross Carrying AmountAccumulated AmortizationNet Carrying ValueWeighted- Average Remaining Useful LifeGross Carrying AmountAccumulated AmortizationNet Carrying Value
Corporate trade name1.8$51,965 $16,967 $34,998 12.7$43,600 $11,726 $31,874 
Customer relationships15.2810,119 103,694 706,425 15.8465,019 92,760 372,259 
Technology2.3162,522 83,970 78,552 2.7111,822 80,255 31,567 
Below market lease, net0.11,218 1,200 18 0.31,218 1,151 67 
Provider network contracts1.118,861 12,997 5,864 1.318,851 11,834 7,017 
Total intangible assets, net$1,044,685 $218,828 $825,857 $640,510 $197,726 $442,784