| Supplemental Cash Flow Information |
Note 22. Supplemental Cash Flow Information
The following table presents cash flow supplemental information for the years ended December 31 (in thousands):
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2016
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2015
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2014
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Borrowings from working capital revolving credit facility
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$
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1,675,100
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$
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1,811,300
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$
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2,703,900
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Payments on working capital revolving credit facility
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(1,498,600)
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(1,663,200)
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(2,930,900)
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Net borrowings from (payments on) working capital revolving credit facility
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$
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176,500
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$
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148,100
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$
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(227,000)
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Borrowings from revolving credit facility
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$
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82,000
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$
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544,900
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$
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69,300
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Payments on revolving credit facility
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(134,300)
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(409,700)
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(370,200)
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Net (payments on) borrowings from revolving credit facility
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$
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(52,300)
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$
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135,200
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$
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(300,900)
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