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Plan of Liquidation - Additional Information (Detail) - USD ($)
9 Months Ended 50 Months Ended 52 Months Ended
Dec. 31, 2020
Apr. 30, 2020
Dec. 31, 2020
Jan. 31, 2020
Aug. 05, 2015
Jul. 01, 2019
Mar. 31, 2012
Dec. 15, 2011
Mar. 31, 2011
Class of Warrant or Right [Line Items]                  
Allowed General Unsecured Claims                 $ 29,771,000,000
Disputed General Unsecured Claims $ 0   $ 0           8,154,000,000
Total aggregate amount of general unsecured claims, both allowed and disputed inclusive of potential Term Loan Avoidance Action Claims                 39,425,000,000
Amount of Term Loan Avoidance Action                 1,500,000,000
Dividends received         $ 24,700,000        
Contribution from MLC                 52,700,000
Initial Reporting Cash                 $ 5,700,000
Appropriated Distributable Cash 2,000,000     $ 58,800,000          
Distributable Cash set aside for projected Trust fees, costs and expenses 32,800,000   32,800,000            
Residual Wind-Down Assets 200,000   200,000         $ 42,800,000  
Cash received to fund Avoidance Action Defense Costs               1,400,000  
Residual wind-down assets transferred benefit in prepaid expenses               2,800,000  
Avoidance action defense costs in excess of corresponding cash 30,200,000   30,200,000            
Funds for Indenture Trustee/Fiscal Paying Agent Costs 100,000   100,000            
Cash received for indenture trustee and paying agent costs               1,400,000  
Cash received for funding Indenture Trustee Fiscal and Paying Agent Costs and Reporting Costs               3,400,000  
Cash received for reporting cash 0   0         2,000,000  
Distributions payable for new allowed general unsecured claims           $ 68,500,000      
Recoveries by the avoidance action trust and corresponding new allowed general unsecured claims           $ 231,000,000      
Not Yet Appropriated Distributable Cash 48,000,000                
Approved Motion For Appropriation Of Distributable Cash   $ 50,000,000              
Effect on Distributable Cash and Other Adminstrative Cash Upon Appropriation 48,000,000   48,000,000            
Avoidance ActionTrust [Member]                  
Class of Warrant or Right [Line Items]                  
Resolved Term Loan Avoidance Action Claims distributions paid 67,800,000   67,800,000            
New GM Securities [Member]                  
Class of Warrant or Right [Line Items]                  
Aggregate sales of new GM Securities to fund costs and expenses         61,700,000        
Aggregate dividend cash associated with sales of New GM Securities to fund costs         $ 200,000        
Cash and Cash Equivalents and Marketable Securities [Member]                  
Class of Warrant or Right [Line Items]                  
Remaining Administrative Fund aggregated 1,008,000   1,008,000            
Aggregate Other Administrative Cash 26,638,000   26,638,000            
Residual Wind-Down Assets 178,000   178,000         $ 40,000,000  
Funds for Indenture Trustee/Fiscal Paying Agent Costs $ 89,000   $ 89,000            
New GM Series A Warrants [Member]                  
Class of Warrant or Right [Line Items]                  
Distributable assets number of securities called by warrants                 136,363,635
Exercise price per share                 $ 10.00
Warrants expiration date     Jul. 10, 2016            
Number of securities sold to fund costs and expenses         948,887        
New GM Series B Warrants [Member]                  
Class of Warrant or Right [Line Items]                  
Distributable assets number of securities called by warrants                 136,363,635
Exercise price per share                 $ 18.33
Warrants expiration date     Jul. 10, 2019            
Number of securities sold to fund costs and expenses         948,887        
New GM Common Stock [Member]                  
Class of Warrant or Right [Line Items]                  
Distributable assets number of securities                 150,000,000
Securities authorized for sale             $ 13,700,000    
Number of securities sold to fund costs and expenses         1,043,801