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CASH FLOWS (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
Reversal of other non-cash movements:      
Amortization of acquired assets and liabilities $ 0 $ 0 $ (100)
Exchange rate adjustments 2,000 1,800 (2,400)
Share-based payments 0 1,900 2,000
Equity transactions expensed in relation to the Corporate Reorganization 0 0 (6,400)
Other adjustments 0 0 (200)
Total 2,000 3,700 (7,100)
Change in bunkers, receivables and payables:      
Change in bunkers (6,200) (1,600) (6,100)
Change in receivables (10,400) (12,400) 18,200
Change in prepayments 1,500 (1,400) 2,700
Change in trade payables and other liabilities 11,700 (1,600) (2,600)
Other changes (2,200) (2,900) (2,900)
Adjusted for fair value changes of derivative financial instruments (7,100) 6,900 (1,000)
Total $ 12,668 $ 12,996 $ (8,322)