Three Months Ended | Twelve Months Ended | ||||||||||||||
(in thousands) |
December 31,
2022 |
December 31,
2021 |
December 31,
2022 |
December 31,
2021 | |||||||||||
Net cash provided by operating activities | $ | 173,972 | $ | 101,653 | $ | 631,003 | $ | 549,482 | |||||||
Cash paid for interest | 8,652 | 2,425 | 20,844 | 11,146 | |||||||||||
Tax benefit | (1,557 | ) | (461 | ) | (3,752 | ) | (2,118 | ) | |||||||
Unlevered operating cash flows | $ | 181,067 | $ | 103,617 | $ | 648,095 | $ | 558,510 |