XML 78 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
Nature of Operations and Summary of Significant Accounting Policies (Tables)
12 Months Ended
Mar. 31, 2014
Summary of Net Properties and Equipment

The following is a summary of net properties and equipment at March 31:

 

     2014      2013
      Number
Of Vessels
     Carrying
Value
     Number
Of Vessels
     Carrying
Value
       
            (In thousands)             (In thousands)       

Vessels in active service

     257       $ 3,281,391         256       $ 2,882,908      

Stacked vessels

     15         9,743         51         30,084      

Vessels withdrawn from service

                     2         633      

Marine equipment and other assets under construction

        268,189            239,287      

Other property and equipment (A)

              62,285                  36,907        

Totals

     272       $ 3,621,608         309       $ 3,189,819      

 

 

(A)

Other property and equipment includes six remotely operated vehicles the company took delivery of in fiscal 2014.

Current and Long-Term Liabilities Related to Accrued Property and Liability Losses

The following table discloses the total amount of current and long-term liabilities related to accrued property and liability losses not subject to reinsurance recoverability, but considered currently payable as of March 31:

 

(In thousands)    2014      2013        

Accrued property and liability losses

   $         8,917         14,966