The following table sets forth supplemental cash flow information and non-cash transactions (in thousands):
| | | | | | | | | | | | | Three Months Ended | | March 29, 2025 | | March 30, 2024 | Supplemental disclosure of cash flow information: | | | | Change in accrued capital expenditures | $ | 6,613 | | | $ | (16,919) | | Cash paid during the period for: | | | | Interest, net of capitalized interest | $ | 24,963 | | | $ | 34,503 | | Income taxes, net of refunds | $ | 9,222 | | | $ | 33,125 | | Non-cash operating activities | | | | Operating lease right of use asset obtained in exchange for new lease liabilities | $ | 19,183 | | | $ | 20,160 | | Non-cash financing activities | | | | Debt issued for assets | $ | 91 | | | $ | (2,214) | |
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