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Supplemental Cash Flow Information - Changes in Operating Assets and Liabilities (Detail) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Right-of-Use Asset Obtained in Exchange for Finance Lease Liability $ 17,300 $ 68,500 $ 42,900  
Restricted cash – non-current (2) 0 0 3,135 $ 3,135
Disposal Group, Including Discontinued Operation, Cash 0 0 0 101,190
Disposal Group, Including Discontinued Operation, Restricted Cash, Current 0 0 0 11,888
Restricted cash – current (1) 3,673 691 3,714 2,227
Cash and cash equivalents (notes 11 and 20) 685,331 480,080 309,857 108,977
Disposal Group, Including Discontinued Operation, Restricted Cash - Non-Current 0 0 0 $ 38,103
Accounts receivable 35,228 23,043 (80,886)  
Prepaid expenses and other 15,477 19,442 (49,556)  
Accounts payable (8,248) (13,417) 6,291  
Accrued liabilities and other (2,756) (2,647) (3,441)  
Receipts from direct financing and sales-type leases 0 0 10,489  
Asset retirement obligation expenditures (2,974) (3,852) (775)  
Expenditures for dry docking (28,495) (16,230) (14,423)  
Total $ 8,232 $ 6,339 $ (132,301)