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BANK LOANS AND OTHER BORROWINGS (Details Textual)
12 Months Ended
Feb. 13, 2020
USD ($)
Dec. 31, 2021
USD ($)
Dec. 31, 2020
USD ($)
Dec. 31, 2019
USD ($)
Dec. 31, 2018
USD ($)
Statement1 [Line Items]          
Restricted Cash and Cash Equivalents   $ 6,649,000 $ 9,304,000    
Carrying value Security charge   346,602,000 406,805,000    
Borrowings   245,666,000 278,432,000    
Line credit facility   275,000,000      
Cash and cash equivalents   104,243,000 37,942,000 $ 32,527,000 $ 33,498,000
Other borrowings   76,786,000 $ 57,014,000    
Base Networth to be maintained   $ 200,000,000      
Shares In Subsidiary [Member]          
Statement1 [Line Items]          
Borrowings Security Coverage Ratio   1.30      
Top of range [member]          
Statement1 [Line Items]          
Debt ratio   75.00% 80.00%    
Bottom of range [member]          
Statement1 [Line Items]          
Restricted Cash and Cash Equivalents   $ 30,000,000 $ 30,000,000    
January Two Thousand Twenty To December Two Thousand And Twenty [Member]          
Statement1 [Line Items]          
Base Networth to be maintained     225,000,000    
Percentage of positive retained earnings in addition to base net worth to be maintained   25.00%      
Percentage of capital raise in addition to base networth and positive retained earnings to be maintained   50.00%      
Other Borrowings [Member]          
Statement1 [Line Items]          
Carrying value Security charge   $ 89,827,000 67,265,000    
Secured term facility   87,550,000 $ 62,550,000    
Borrowings, adjustment to interest rate basis     1.70%    
Other borrowings   $ 76,786,000 $ 57,014,000    
Other Borrowings [Member] | Three Month LIBOR [Member]          
Statement1 [Line Items]          
Borrowings, adjustment to interest rate basis   1.75%      
Variable interest rate [Member]          
Statement1 [Line Items]          
Weighted average effective interest rate   3.82% 3.71%    
Senior Secured Credit Facility one [Member]          
Statement1 [Line Items]          
Borrowings   $ 13,768,000,000 $ 21,821,000    
Borrowing facility fee   594,000 829,000    
Line of credit facility fee   $ 1,750,000      
Borrowings, interest rate   2.95%      
Senior Secured Credit Facility one [Member] | Lender Swap [Member]          
Statement1 [Line Items]          
Additional facility fees paid   $ 164,000,000      
Senior Secured Credit Facility Three [Member]          
Statement1 [Line Items]          
Borrowings   1,893,000 3,154,000    
Borrowing facility fee   9,000 15,000    
Line of credit facility fee   $ 32,000      
Borrowings, interest rate   2.00%      
Senior Secured Credit Facility Four [Member]          
Statement1 [Line Items]          
Borrowings   $ 25,223,000      
Borrowing facility fee   227,000      
Line of credit facility fee   $ 373,000      
Borrowings, interest rate   3.20%      
Senior Secured Credit Facility Five [Member]          
Statement1 [Line Items]          
Borrowings   $ 26,672,000 28,752,000    
Borrowing facility fee   105,000 127,000    
Cash and cash equivalents   9,524,000 12,623,000    
Line of credit facility fee   78,600      
Secured term facility   $ 15,720,000      
Borrowings, interest rate   2.00%      
Senior Secured Credit Facility Six [Member]          
Statement1 [Line Items]          
Borrowings   $ 115,375,000,000 104,687,000,000    
Borrowing facility fee   1,651,000,000 1,346,000,000    
Line of credit facility fee   $ 1,634,137,000      
Borrowings, interest rate   3.10%      
Number of vessels to be purchased   11      
Senior Secured Credit Facility Six [Member] | Amendment Of Finance Agreement [Member]          
Statement1 [Line Items]          
Additional borrowing capacity eligible to be availed   $ 23,031,000,000      
Senior Secured Credit Facility Six [Member] | Second Drawdown [Member] | Amendment Of Finance Agreement [Member]          
Statement1 [Line Items]          
Additional facility fees paid   691,000,000      
Senior Secured Credit Facility Seven [Member]          
Statement1 [Line Items]          
Borrowings   11,172,000 12,249,000,000    
Borrowing facility fee   82,000 $ 108,000,000    
Line of credit facility fee   $ 131,300      
Borrowings, interest rate   2.75%      
Number of vessels to be purchased   1      
Non Bank Senior Secured Term Loan Facility One [Member] | Shares In Subsidiary [Member]          
Statement1 [Line Items]          
Borrowings $ 35,833,000 $ 25,532,000      
Borrowing facility fee   $ 339,000      
Borrowings, interest rate 7.50%        
Borrowings maturity 13 June 2021        
Loan Foreclosure Charges Percentage 4.00%