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NCL CORPORATION LTD. Assets, Fair Value Adjustment

NCL CORPORATION LTD. Assets, Fair Value Adjustment

NCL CORPORATION LTD. reported Assets, Fair Value Adjustment of $26.20 million for the 12-month period ending 2015-12-31, per its 10-K filed 2018-02-27.

Discontinued › Notes › Fair Value Disclosures › Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis

us-gaap:AssetsFairValueAdjustment · last filed 2018-02-27

  • NCL CORPORATION LTD. assets, fair value adjustment for fiscal 2015 was $26.20M.
Period endAssets, Fair Value Adjustment 12 month
2015-12-31$26.20M
10-K · filed 2018-02-27