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Consolidated Statements of Cash Flows (Parenthetical) - USD ($)
$ in Thousands
1 Months Ended 12 Months Ended
Nov. 30, 2021
May 31, 2020
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
End-of-lease ("EOL") and Maintenance Reserved ("MR") contract maintenance rights expense     $ 7,048 $ 45,655 $ 76,611
MR contract maintenance rights write-off offset by maintenance liability release     17,260 35,897 19,848
EOL contract maintenance rights write-off offset by EOL compensation received     114,472 51,463 148,289
Maintenance rights write-off [1]     138,780 133,015 244,748
Increase in debt $ 1,000,000        
GECAS Transaction, stock issued during period, value $ 6,600,000   6,582,960    
Non-cash investing and financing activities          
Flight equipment reclassified to net investment in finance leases     12,500 46,600 143,400
Flight equipment reclassified to held for sale, net     397,600 83,500 1,600,000
Release to income upon sale     $ 20,428 $ 95,042 $ 249,200
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      
[1] Maintenance rights write-off consisted of the following:
End-of-lease ("EOL") and Maintenance Reserved ("MR") contract maintenance
rights expense
$7,048 $45,655 $76,611 
MR contract maintenance rights write-off offset by maintenance liability release17,260 35,897 19,848 
EOL contract maintenance rights write-off offset by EOL compensation received114,472 51,463 148,289 
Maintenance rights write-off$138,780 $133,015 $244,748