Supplemental Cash Flow Information The following table is a summary of the Company's supplemental cash flow information for the three months ended March 31, 2025 and 2024: | | | | | | | | | | | | | Three Months Ended March 31, | | 2025 | | 2024 | Supplemental disclosure of cash flow information: | | | | Cash payments related to operating lease liabilities(a) | $ | 131 | | | $ | 131 | | Interest paid | 315 | | | 282 | | | | | | Supplemental disclosure of non-cash operating, investing and financing activities: | | | | Right-of-use assets recorded in exchange for operating lease liabilities | 36 | | | (98) | | Increase (decrease) in accounts payable for purchases of property and equipment | — | | | (2) | | | | | | Purchase of property and equipment under finance leases and installment land purchases | 6 | | | 18 | |
(a)Excludes the Company's contingent payments pursuant to operating leases, which are recorded as expense in the period such contingencies are resolved. The reconciliation of cash and cash equivalents and restricted cash and cash equivalents reported within various lines on the condensed consolidated balance sheet to amounts reported in the condensed consolidated statement of cash flows is shown below. | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | March 31, 2025 | | December 31, 2024 | | Continuing Operations | | Discontinued Operations | | Total | | Continuing Operations | | Discontinued Operations | | Total | Cash and cash equivalents | $ | 60 | | | $ | 38 | | | $ | 98 | | | $ | 100 | | | $ | 19 | | | $ | 119 | | Restricted cash and cash equivalents, current | 174 | | | 1 | | | 175 | | | 170 | | | 1 | | | 171 | | Restricted cash and cash equivalents reported within other assets, net | 5 | | | — | | | 5 | | | 5 | | | — | | | 5 | | Cash and cash equivalents and restricted cash and cash equivalents | $ | 239 | | | $ | 39 | | | $ | 278 | | | $ | 275 | | | $ | 20 | | | $ | 295 | |
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