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Financial Instruments - Carrying Values and Estimated Fair Values (Details) - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Dec. 31, 2021
Dec. 31, 2020
Non-Derivatives:        
Cash and cash equivalents $ 528,798 $ 174,438 $ 232,211 $ 86,564
Trade accounts receivable 54,380   28,912  
Investment in listed equity securities 491,754   450,225  
Current portion of long-term debt and short-term debt (366,791)   (703,170)  
Long-term interest-bearing debt - non-current portion (1,015,486)   (920,130)  
Long-term debt (1,382,277)      
Derivatives:        
Realized and unrealized gains/(losses) on our investment in listed equity securities 295,048 (86,664)    
Deferred finance charges 24,444   28,207  
Unsecured Debt | Norwegian Bonds        
Derivatives:        
Debt instrument, face amount 300,000      
Carrying value | Level 1        
Non-Derivatives:        
Cash and cash equivalents 528,798   232,211  
Restricted cash and short-term deposits 91,466   106,073  
Trade accounts receivable 54,380   28,912  
Investment in listed equity securities 491,754   449,666  
Trade accounts payable (18,959)   (4,936)  
Carrying value | Level 2        
Non-Derivatives:        
Assets held for sale (note 11) 2,669   1,697,039  
Liabilities held for sale (note 11) (1,455)   (879,477)  
Current portion of long-term debt and short-term debt (367,004)   (388,005)  
Current portion of convertible bonds 0   (315,646)  
Long-term interest-bearing debt - non-current portion (740,236)   (947,855)  
Carrying value | Level 2 | Norwegian Bonds        
Non-Derivatives:        
Long-term debt (299,480)   0  
Carrying value | Level 2 | New Fortress Energy (NFE)        
Non-Derivatives:        
Investment in listed equity securities 491,800      
Derivatives:        
Realized and unrealized gains/(losses) on our investment in listed equity securities 295,000 $ (86,700)    
Carrying value | Level 2 | FLNG derivative        
Derivatives:        
Derivative asset 565,630   207,058  
Carrying value | Level 2 | Interest Rate Swap        
Derivatives:        
Derivative asset 32,283   0  
Derivative liability 0   (17,300)  
Carrying value | Level 2 | Commodity Contract        
Derivatives:        
Derivative asset 0   1,753  
Derivative liability (12,653)   (88)  
Fair value | Level 1        
Non-Derivatives:        
Cash and cash equivalents, fair value 528,798   232,211  
Restricted cash and short-term deposits, fair value 91,466   106,073  
Trade accounts receivable 54,380   28,912  
Investment in listed equity securities 491,754   449,666  
Trade accounts payable (18,959)   (4,936)  
Fair value | Level 2        
Non-Derivatives:        
Assets held for sale (note 11) 2,669   1,697,039  
Liabilities held for sale (note 11) (1,455)   (879,477)  
Current portion of long-term debt and short-term debt, fair value (367,004)   (388,005)  
Current portion of convertible bonds, fair value 0   (316,561)  
Long-term debt, fair value (740,236)   (947,855)  
Fair value | Level 2 | Norwegian Bonds        
Non-Derivatives:        
Long-term debt (281,517)   0  
Fair value | Level 2 | FLNG derivative        
Derivatives:        
Derivative asset 565,630   207,058  
Fair value | Level 2 | Interest Rate Swap        
Derivatives:        
Derivative asset 32,283   0  
Derivative liability 0   (17,300)  
Fair value | Level 2 | Commodity Contract        
Derivatives:        
Derivative asset 0   1,753  
Derivative liability $ (12,653)   $ (88)