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Variable Interest Entities ("VIEs") - Schedule of Variable Interest Entities- Hilli LLC Statements of Income and Statements of Cash Flow (Details) - USD ($)
$ in Thousands
6 Months Ended
Mar. 15, 2023
Jun. 30, 2024
Jun. 30, 2023
Statement of operations      
Total operating revenues   $ 129,648 $ 151,498
Realized and unrealized gain/(loss) on oil and gas derivative instruments   56,635 (87,754)
Statement of changes in equity      
Equity     215,605
Statement of cash flows      
Reacquisition of common units in Hilli LLC   0 (100,047)
Net debt repayments   (46,317) (76,397)
Financing costs paid   (569) (9,809)
Golar Hilli LLC      
Statement of cash flows      
Loss stock repurchased during period, value $ 251,200    
Hilli Common Units      
Statement of cash flows      
Stock repurchased during the period (in shares) 1,230    
Additional Paid-in Capital      
Statement of changes in equity      
Equity     251,249
Non-Controlling Interest      
Statement of changes in equity      
Equity     (35,644)
Liquefaction services revenue      
Statement of operations      
Total operating revenues   112,488 116,594
Hilli LLC | VIE debt      
Statement of operations      
Realized and unrealized gain/(loss) on oil and gas derivative instruments   56,635 (87,754)
Statement of cash flows      
Reacquisition of common units in Hilli LLC   0 (100,047)
Net debt repayments   (42,670) (52,359)
Financing costs paid   0 (3,150)
Cash dividends paid   (4,737) (17,842)
Hilli LLC | VIE debt | Additional Paid-in Capital      
Statement of changes in equity      
Equity   0 (251,249)
Hilli LLC | VIE debt | Non-Controlling Interest      
Statement of changes in equity      
Equity   0 35,644
Hilli LLC | VIE debt | Liquefaction services revenue      
Statement of operations      
Total operating revenues   $ 112,488 $ 116,594