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Revenue from Contracts with Customers
9 Months Ended
Sep. 30, 2023
Revenue from Contract with Customer [Abstract]  
Revenue from Contracts with Customers Revenue from Contracts with Customers
The following tables disaggregate revenue by major source for the three and nine months ended September 30, 2023 and 2022 (in thousands):
Three months ended September 30, 2023Leasing and
Related Operations
Spare Parts SalesEliminationsTotal
Lease rent revenue$53,573 $— $— $53,573 
Maintenance reserve revenue37,696 — — 37,696 
Spare parts and equipment sales111 3,248 — 3,359 
Interest revenue2,106 — — 2,106 
Gain on sale of leased equipment773 — — 773 
Managed services7,623 — — 7,623 
Other revenue551 119 (55)615 
Total revenue$102,433 $3,367 $(55)$105,745 

Three months ended September 30, 2022Leasing and
Related Operations
Spare Parts SalesEliminationsTotal
Lease rent revenue$39,515 $— $— $39,515 
Maintenance reserve revenue20,438 — — 20,438 
Spare parts and equipment sales520 6,446 — 6,966 
Interest revenue1,811 — — 1,811 
Gain on sale of leased equipment920 — — 920 
Managed services6,400 — — 6,400 
Other revenue558 315 (32)841 
Total revenue$70,162 $6,761 $(32)$76,891 
Nine months ended September 30, 2023Leasing and
Related Operations
Spare Parts SalesEliminationsTotal
Lease rent revenue$161,209 $— $— $161,209 
Maintenance reserve revenue96,609 — — 96,609 
Spare parts and equipment sales420 12,541 — 12,961 
Interest revenue6,409 — — 6,409 
Gain on sale of leased equipment5,101 — — 5,101 
Managed services19,863 — — 19,863 
Other revenue1,836 446 (159)2,123 
Total revenue$291,447 $12,987 $(159)$304,275 

Nine months ended September 30, 2022Leasing and
Related Operations
Spare Parts SalesEliminationsTotal
Lease rent revenue$114,344 $— $— $114,344 
Maintenance reserve revenue59,517 — — 59,517 
Spare parts and equipment sales771 19,617 — 20,388 
Interest revenue5,790 — — 5,790 
Gain on sale of leased equipment3,716 — — 3,716 
Gain on sale of financial assets3,116 — — 3,116 
Managed services15,831 — — 15,831 
Other revenue651 549 (119)1,081 
Total revenue$203,736 $20,166 $(119)$223,783 
As of September 30, 2023 and December 31, 2022, there was $24.7 million and $6.3 million, respectively, of deferred in-substance fixed payment use fees included in “Unearned revenue.”