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Consolidated Statements of Cash Flows (Parenthetical) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
EOL and MR contract maintenance rights expense $ 157,792 $ 355,845 $ 381,637
MR contract maintenance rights write-off due to maintenance liability release 29,656 77,494 173,971
EOL contract maintenance rights write-off due to cash receipt 99,671 106,433 96,503
Maintenance rights write-off [1] 287,119 539,772 652,111
Accrued maintenance liability settled with buyers upon sale or disposal of assets (261,240) (275,360)  
Non-Cash Investing And Financing Activities      
Flight equipment reclassified to net investment in finance and sales-type leases 76,900 332,200 423,800
Flight equipment reclassified to held for sale, net 979,200 1,696,700 1,258,700
Accrued maintenance liability settled with buyers upon sale or disposal of assets 261,200 275,400 341,200
Non-Cash Investing And Financing Activities | Other Assets      
Flight equipment reclassified to inventory, net $ 38,400 $ 20,600 $ 87,800
[1] Maintenance rights write-off consisted of the following:EOL and MR contract maintenance rights expense$157,792 $355,845 $381,637MR contract maintenance rights write-off due to maintenance liability release29,656 77,494 173,971EOL contract maintenance rights write-off due to cash receipt99,671 106,433 96,503Maintenance rights write-off$287,119 $539,772 $652,111