Quarterly report pursuant to Section 13 or 15(d)

UNAUDITED INTERIM CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

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UNAUDITED INTERIM CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2022
Sep. 30, 2021
CASH FLOW FROM OPERATING ACTIVITIES    
Net loss $ (405,659) $ (50,543)
Adjustments to reconcile net loss to net cash (used in) provided by operations:    
Interest income (83) (371)
Interest expense 15,142 17,516
Accretion expense 2,561 8,283
Debt obligation fees 804 1,255
Impairment loss 0 1,823
Depreciation and amortization 24,788 23,266
(Recoveries), write-downs and other charges, net (928) 186
Share-based compensation 27,493 4,909
Losses from change in fair value of financial instruments 374 (10)
Gain from nonmonetary consideration from acquisition (10,460)  
Loss on debt extinguishment 316,577 0
Change in operating assets and liabilities 15,246 13,531
NET CASH FLOW (USED IN) PROVIDED BY OPERATING ACTIVITIES (14,145) 19,845
CASH FLOW FROM INVESTING ACTIVITIES    
Purchase of property, plant and equipment (5,764) (16,528)
Acquisition of other intangible assets (108) (463)
Proceeds from sale of property, plant and equipment 2,399  
Issuance of related party promissory note (92) (977)
Purchase of subsidiaries, net of cash acquired 4  
NET CASH USED IN INVESTING ACTIVITIES (3,561) (17,968)
CASH FLOW FROM FINANCING ACTIVITIES    
Proceeds from issuance of debt 24,250 11,000
Debt issuance costs 0 (694)
Repayment of debt (347) (53)
NET CASH PROVIDED BY FINANCING ACTIVITIES 23,903 10,253
CASH AND RESTRICTED CASH:    
NET INCREASE IN CASH AND RESTRICTED CASH DURING THE PERIOD 6,197 12,130
CASH AND RESTRICTED CASH, BEGINNING OF PERIOD (Refer to Note 13) 16,578 11,510
CASH AND RESTRICTED CASH, END OF PERIOD (Refer to Note 13) $ 22,775 $ 23,640