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Consolidated Statements of Cash Flows - Parenthetical (Details)
$ in Thousands
12 Months Ended
Dec. 31, 2022
USD ($)
Statement Of Cash Flows [Line Items]  
Trade and other payables $ 54,840
Subsidiary notes payable 2,345
Non-controlling interests (5,369)
Total equity 547,589
Investment retained in deconsolidated subsidiary (32,060)
Gain on deconsolidation 27,251
Deconsolidated former subsidiary operating companies  
Statement Of Cash Flows [Line Items]  
Trade and other payables 1,407
Subsidiary notes payable 3,403
Subsidiary preferred shares 15,853
Other assets and liabilities, net 123
Non-controlling interests (11,904)
Total equity 8,882
Investment retained in deconsolidated subsidiary 18,848
Gain on deconsolidation (27,251)
Cash in deconsolidated subsidiary $ 479