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FINANCIAL INSTRUMENTS (Schedule of Financial Assets and Liabilities Measured at Fair Value on a Recurring Basis) (Details)
$ in Thousands, kr in Millions
Jun. 30, 2024
NOK (kr)
Jun. 30, 2024
USD ($)
Apr. 30, 2024
USD ($)
Dec. 31, 2023
NOK (kr)
Dec. 31, 2023
USD ($)
Jan. 21, 2020
NOK (kr)
Assets:            
Interest rate/ currency/ commodity swap contracts, short-term receivables   $ 3,017     $ 4,617  
Interest rate/ currency/ commodity swap contracts, long-term receivables   12,624     13,608  
NOK600 million senior unsecured floating rate bonds due 2025            
Liabilities:            
U.S. dollar floating rate debt | kr kr 600         kr 600
Long-term debt kr 570 $ 53,400   kr 590 58,100  
7.25% senior unsecured sustainability-linked bonds due 2026            
Liabilities:            
Senior unsecured convertible notes interest rate (in percentage) 7.25% 7.25%        
8.875% senior unsecured sustainability-linked bonds due 2027            
Liabilities:            
Senior unsecured convertible notes interest rate (in percentage) 8.875% 8.875%        
8.25% senior unsecured sustainability-linked bonds due 2028            
Liabilities:            
U.S. dollar floating rate debt     $ 150,000      
Senior unsecured convertible notes interest rate (in percentage) 8.25% 8.25% 8.25%      
Long-term debt   $ 150,000     0  
Fair value | Fair value, measurements, recurring            
Assets:            
Equity securities   4,662     5,104  
Interest rate/ currency/ commodity swap contracts, short-term receivables   3,017     4,617  
Interest rate/ currency/ commodity swap contracts, long-term receivables   12,624     13,608  
Total assets   20,303        
Liabilities:            
Interest rate/ currency/ commodity swap contracts, short-term payables   11,704        
Total liabilities   520,191        
Fair value | Fair value, measurements, recurring | NOK600 million senior unsecured floating rate bonds due 2025            
Liabilities:            
Floating Rate NOK Bonds Due 2025   54,174        
Long-term debt   54,174     59,181  
Fair value | Fair value, measurements, recurring | 7.25% senior unsecured sustainability-linked bonds due 2026            
Liabilities:            
Long-term debt   149,813     146,310  
Fair value | Fair value, measurements, recurring | 8.875% senior unsecured sustainability-linked bonds due 2027            
Liabilities:            
Long-term debt   154,125     152,820  
Fair value | Fair value, measurements, recurring | 8.25% senior unsecured sustainability-linked bonds due 2028            
Liabilities:            
Long-term debt   150,375     0  
Fair value | Fair value, measurements, recurring | Quoted Prices in Active Markets for identical Assets/Liabilities (Level 1)            
Assets:            
Equity securities   4,662        
Total assets   4,662        
Liabilities:            
Total liabilities   508,487        
Fair value | Fair value, measurements, recurring | Quoted Prices in Active Markets for identical Assets/Liabilities (Level 1) | NOK600 million senior unsecured floating rate bonds due 2025            
Liabilities:            
Floating Rate NOK Bonds Due 2025   54,174        
Fair value | Fair value, measurements, recurring | Quoted Prices in Active Markets for identical Assets/Liabilities (Level 1) | 7.25% senior unsecured sustainability-linked bonds due 2026            
Liabilities:            
Long-term debt   149,813        
Fair value | Fair value, measurements, recurring | Quoted Prices in Active Markets for identical Assets/Liabilities (Level 1) | 8.875% senior unsecured sustainability-linked bonds due 2027            
Liabilities:            
Long-term debt   154,125        
Fair value | Fair value, measurements, recurring | Quoted Prices in Active Markets for identical Assets/Liabilities (Level 1) | 8.25% senior unsecured sustainability-linked bonds due 2028            
Liabilities:            
Long-term debt   150,375        
Fair value | Fair value, measurements, recurring | Significant Other Observable Inputs (Level 2)            
Assets:            
Interest rate/ currency/ commodity swap contracts, short-term receivables   3,017        
Interest rate/ currency/ commodity swap contracts, long-term receivables   12,624        
Total assets   15,641        
Liabilities:            
Interest rate/ currency/ commodity swap contracts, short-term payables   11,704        
Total liabilities   11,704        
Fair value | Fair value, measurements, recurring | Significant Unobservable Inputs (Level 3)            
Assets:            
Total assets   0        
Liabilities:            
Total liabilities   0        
Carrying value | Fair value, measurements, recurring            
Assets:            
Equity securities   4,662     5,104  
Interest rate/ currency/ commodity swap contracts, short-term receivables   3,017     4,617  
Interest rate/ currency/ commodity swap contracts, long-term receivables   12,624     13,608  
Carrying value | Fair value, measurements, recurring | NOK600 million senior unsecured floating rate bonds due 2025            
Liabilities:            
Long-term debt   53,373     58,089  
Carrying value | Fair value, measurements, recurring | 7.25% senior unsecured sustainability-linked bonds due 2026            
Liabilities:            
Long-term debt   150,000     150,000  
Carrying value | Fair value, measurements, recurring | 8.875% senior unsecured sustainability-linked bonds due 2027            
Liabilities:            
Long-term debt   150,000     150,000  
Carrying value | Fair value, measurements, recurring | 8.25% senior unsecured sustainability-linked bonds due 2028            
Liabilities:            
Long-term debt   $ 150,000     $ 0