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Variable Interest Entities ("VIEs") - Schedule of Variable Interest Entities- Gimi MS Statements of Income and Statements of Cash Flow (Details) - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2025
Sep. 30, 2024
Statement of operations    
Total operating revenues $ 260,710 $ 194,455
Other non-operating income 29,981 0
Statement of cash flows    
Capitalized financing costs (11,560) (7,819)
Net debt repayments (104,031) (93,758)
Proceeds from subscription of equity interest 21,020 40,491
Sales-type lease revenue    
Statement of operations    
Total operating revenues 46,925 0
Vessel management fees and other revenues    
Statement of operations    
Total operating revenues 44,738 17,042
Golar Gimi | VIE debt    
Statement of operations    
Other non-operating income 29,981 0
Statement of cash flows    
Additions to asset under development 189,944 142,582
Capitalized financing costs 0 (921)
Net debt repayments (43,750) (14,583)
Proceeds from subscription of equity interest 21,020 40,491
Golar Gimi | VIE debt | Sales-type lease revenue    
Statement of operations    
Total operating revenues 46,925 0
Golar Gimi | VIE debt | Vessel management fees and other revenues    
Statement of operations    
Total operating revenues $ 25,144 $ 0