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Supplemental Cash Flow Information (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Supplemental Disclosure of Non-cash Investing and Financing Activities      
Accrued property and equipment purchases $ 137 $ 573 $ 784
Increase/decrease to goodwill from measurement period adjustments/business combinations 2,333 0 0
Class A common stock issued for payment of earn-outs 28,551 0 450
Accrued deferred financing costs 529 450 0
Gain from transfer of membership 0 0 (22,969)
Class A common stock issued in connection with business combinations 261,271 130,175 56,626
Class A common stock issued in connection with debt repayment 23,073 101,999 28,492
Consideration for asset acquisition or business combinations 0 0 14,600
Accrued net working capital adjustment with business combinations 1,098 791 0
Effects of Leases      
Operating cash flows from operating leases (12,844) 14,087 13,845
Leased assets disposed of (obtained in) exchange for operating lease liabilities (27,327) 4,308 (2,583)
Cash paid for interest (53,591) (6,269) (7,113)
Cash paid for taxes, net $ (4,892) $ (1,397) $ (551)