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Cash Flow (Tables)
12 Months Ended
Dec. 31, 2012
Crude Carrier Corp Net Assets Not Included In Cash Flow
 
Cash Flow Information [Line Items]  
Schedule Of Cash Flow Supplemental Disclosures (Table Text Block)
 
 
 
 
Crude's Net Assets
  
As of September 30,
2011
Trade receivables
  
$
8,321
Prepayments and other assets
  
 
629
Inventories
  
 
9,503
Vessels
  
 
351,750
 
  
 
 
Total assets
  
 
370,203
 
  
 
 
Trade accounts payable
  
$
12,497
Due to related parties
  
 
10,457
Accrued liabilities
  
 
1,525
Long term debt
  
 
134,580
 
  
 
 
Total liabilities
  
 
159,059
 
  
 
 
Total Net Assets
  
 
211,144
 
  
 
 
Vessel Owning Entities Acquired By Cmtc Net Liabilities Not Included In Cash Flow
 
Cash Flow Information [Line Items]  
Schedule Of Cash Flow Supplemental Disclosures (Table Text Block)
 
 
 
 
 
  
As of December  31,
2010
Trade receivables
  
 
1,629
Due from related parties
  
 
13,357
Prepayments and other assets
  
 
76
Inventories
  
 
146
Deferred charges
  
 
65
Total assets
  
 
15,273
Trade accounts payable
  
 
401
Accrued liabilities
  
 
332
Borrowings
  
 
46,384
Total liabilities
  
 
47,117
Net liabilities assumed by CMTC upon contribution to the Partnership
  
 
31,844