DAVITA HEALTHCARE PARTNERS INC. | 2013 | FY | 3


26. Supplemental cash flow information

The table below provides supplemental cash flow information:

 

     Year ended December 31,  
     2013      2012      2011  

Cash paid:

        

Income taxes

   $ 341,426       $ 322,018       $ 145,687   

Interest

     405,030         257,640         236,446   

Non-cash investing and financing activities:

        

Fixed assets under capital lease obligations

     60,920         55,813         35,764   

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