Restricted Cash and Cash Equivalents (Details) (USD $)
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3 Months Ended | ||||||||||||||
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Mar. 31, 2013
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Dec. 31, 2012
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Mar. 31, 2013
Sabine Pass LNG, LP [Member]
Senior Notes Interest Payments [Member]
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Dec. 31, 2012
Sabine Pass LNG, LP [Member]
Senior Notes Interest Payments [Member]
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Mar. 31, 2013
Sabine Pass LNG, LP [Member]
Debt Service Reserve Fund [Member]
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Mar. 31, 2013
Sabine Pass LNG, LP [Member]
Senior Notes [Member]
Rate
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Mar. 31, 2013
2016 Notes [Member]
Sabine Pass LNG, LP [Member]
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Mar. 31, 2013
2020 Notes [Member]
Sabine Pass LNG, LP [Member]
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Mar. 31, 2013
2020 Notes [Member]
Sabine Pass LNG, LP [Member]
Senior Notes [Member]
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Jul. 31, 2012
Liquefaction Credit Facility [Member]
Sabine Pass Liquefaction [Member]
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Mar. 31, 2013
Acquisition of Non-current Assets [Member]
Sabine Pass Liquefaction [Member]
Debt Service Reserve Fund [Member]
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Mar. 31, 2013
Payment of Liabilities [Member]
Sabine Pass Liquefaction [Member]
Debt Service Reserve Fund [Member]
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Dec. 31, 2012
Payment of Liabilities [Member]
Sabine Pass Liquefaction [Member]
Debt Service Reserve Fund [Member]
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Mar. 31, 2013
Payment For Project [Member]
Sabine Pass Liquefaction [Member]
Debt Service Reserve Fund [Member]
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Dec. 31, 2012
Payment For Project [Member]
Sabine Pass Liquefaction [Member]
Debt Service Reserve Fund [Member]
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Restricted Cash and Cash Equivalents Items [Line Items] | |||||||||||||||
Debt instrument principal amount | $ 1,665,500,000 | $ 420,000,000 | |||||||||||||
Debt instrument stated rate (percent) | 7.50% | 6.50% | |||||||||||||
Debt instrument fixed charge coverage ratio | 2 | ||||||||||||||
Current restricted cash and cash equivalents | 252,854,000 | 92,519,000 | 55,400,000 | 17,400,000 | 197,400,000 | 75,100,000 | |||||||||
Non-current restricted cash and cash equivalents | 1,466,602,000 | 272,425,000 | 76,100,000 | 100,000,000 | 1,290,400,000 | 96,300,000 | |||||||||
Maximum borrowing capacity on credit facility | $ 3,600,000,000 |