Three Months Ended | Six Months Ended | ||||||||||||||
(in thousands) |
June 30,
2023 |
June 30,
2022 |
June 30,
2023 |
June 30,
2022 | |||||||||||
Net cash provided by operating activities | $ | 62,866 | $ | 118,944 | $ | 323,632 | $ | 329,880 | |||||||
Cash paid for interest | 11,241 | 3,672 | 21,847 | 6,298 | |||||||||||
Tax benefit | (1,967 | ) | (661 | ) | (3,823 | ) | (1,134 | ) | |||||||
Unlevered operating cash flows | $ | 72,140 | $ | 121,955 | $ | 341,656 | $ | 335,044 |