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Consolidated Statements of Cash Flows (Parenthetical) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
End of lease ("EOL") and Maintenance Reserved ("MR") contract maintenance rights expense $ 45,655 $ 76,611 $ 157,792
MR contract maintenance rights write-off due to maintenance liability release 35,897 19,848 29,656
EOL contract maintenance rights write-off due to cash receipt 51,463 148,289 99,671
Maintenance rights write-off [1] 133,015 244,748 287,119
Non-Cash Investing And Financing Activities      
Flight equipment reclassified to net investment in finance and sales-type leases 46,600 143,400 76,900
Flight equipment reclassified to held for sale, net 83,500 1,600,000 979,200
Accrued maintenance liability settled with buyers upon sale or disposal of assets 95,042 $ 249,187 261,200
Non-Cash Investing And Financing Activities | Norwegian Air Shuttle ASA      
Other assets and Accounts payable, accrued expenses and other liabilities increase due to NAS recapitalization $ 185,700    
Non-Cash Investing And Financing Activities | Other Assets      
Flight equipment reclassified to inventory, net     $ 38,400
[1] Maintenance rights write-off consisted of the following:
End of lease ("EOL") and Maintenance Reserved ("MR") contract maintenance
rights expense
$45,655 $76,611 $157,792 
MR contract maintenance rights write-off due to maintenance liability release35,897 19,848 29,656 
EOL contract maintenance rights write-off due to cash receipt51,463 148,289 99,671 
Maintenance rights write-off$133,015 $244,748 $287,119