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(LOSSES)/GAINS ON DERIVATIVE INSTRUMENTS AND OTHER FINANCIAL ITEMS, NET
6 Months Ended
Jun. 30, 2025
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
(LOSSES)/GAINS ON DERIVATIVE INSTRUMENTS AND OTHER FINANCIAL ITEMS, NET (LOSSES)/GAINS ON DERIVATIVE INSTRUMENTS AND OTHER FINANCIAL ITEMS, NET
 
The following table sets forth (losses)/gains on derivative instruments and other financial items:

Six Months Ended June 30,
(in thousands of $)20252024
Mark-to-market (loss)/gains for interest rate swaps(8,821)9,119 
Net interest income on undesignated interest rate swaps2,766 6,247 
(Losses)/gains on derivative instruments
(6,055)15,366 
Foreign exchange gain/(loss) on operations95 (44)
Financing arrangement fees and other costs, net(554)(813)
Other(454)(595)
Other financial items, net
(913)(1,452)