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Consolidated Statements Of Cash Flows (Parenthetical)
12 Months Ended
Dec. 31, 2015
USD ($)
item
Dec. 31, 2014
USD ($)
Dec. 31, 2013
USD ($)
EOL and MR contract maintenance rights expense $ 348,366,000 $ 54,507,000  
EOL contract maintenance rights write off due to cash receipt 118,438,000 27,570,000  
MR contract maintenance rights write off due to maintenance liability release 161,839,000 48,729,000  
Maintenance rights write off [1] $ 628,643,000 130,806,000  
Number of asset value guarantees settled | item 3    
Non-Cash Investing And Financing Activities [Member]      
Flight equipment reclassified to net investment in finance and sales-type leases $ 152,200,000 108,300,000 $ 32,900,000
Other Assets [Member] | Non-Cash Investing And Financing Activities [Member]      
Flight equipment reclassified to other assets 49,600,000 $ 51,600,000  
AIG [Member]      
Stock repurchase program, expense $ 11,200,000    
[1] (a) Maintenance rights write off consisted of the following: EOL and MR contract maintenance rights expense$ 348,366$ 54,507$ - EOL contract maintenance rights write off due to cash receipt 118,438 27,570 - MR contract maintenance rights write off due to maintenance liability release 161,839 48,729 - Maintenance rights write off$ 628,643$ 130,806$ -