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Atel 14, LLC – ‘10-K’ for 12/31/19 – ‘ZIP’

On:  Thursday, 3/26/20, at 2:10pm ET   ·   For:  12/31/19   ·   Accession #:  1558370-20-3159   ·   File #:  0-54356

Previous ‘10-K’:  ‘10-K’ on 3/18/19 for 12/31/18   ·   Next:  ‘10-K’ on 3/30/21 for 12/31/20   ·   Latest:  ‘10-K’ on 3/21/24 for 12/31/23

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  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 3/26/20  Atel 14, LLC                      10-K       12/31/19   72:7.5M                                   Toppan Merrill Bridge/FA

Annual Report   —   Form 10-K   —   Sect. 13 / 15(d) – SEA’34
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 10-K        Annual Report                                       HTML    784K 
 2: EX-4.1      Instrument Defining the Rights of Security Holders  HTML     25K 
 3: EX-14.1     Code of Ethics                                      HTML     32K 
 4: EX-31.1     Certification -- §302 - SOA'02                      HTML     30K 
 5: EX-31.2     Certification -- §302 - SOA'02                      HTML     30K 
 6: EX-32.1     Certification -- §906 - SOA'02                      HTML     26K 
 7: EX-32.2     Certification -- §906 - SOA'02                      HTML     26K 
69: R1          Document and Entity Information                     HTML     55K 
32: R2          Balance Sheets                                      HTML     87K 
24: R3          Statements of Operations                            HTML     89K 
51: R4          Statements of Changes in Members' Capital           HTML     45K 
72: R5          Statements of Changes in Members' Capital           HTML     25K 
                (Parenthetical)                                                  
35: R6          Statements of Cash Flows                            HTML    114K 
27: R7          Organization and Limited Liability Company Matters  HTML     30K 
52: R8          Summary of Significant Accounting Policies          HTML    102K 
68: R9          Concentration of Credit Risk and Major Customers    HTML     62K 
67: R10         Equipment Under Operating Leases, Net               HTML    167K 
47: R11         Allowance for Credit Losses                         HTML    139K 
29: R12         Related Party Transactions                          HTML     41K 
38: R13         Non-Recourse Debt                                   HTML     53K 
66: R14         Senior Long-Term Debt                               HTML     25K 
46: R15         Borrowing Facilities                                HTML     24K 
28: R16         Commitments                                         HTML     24K 
37: R17         Guarantees                                          HTML     26K 
64: R18         Members' Capital                                    HTML     39K 
48: R19         Fair Value Measurements                             HTML    307K 
16: R20         Subsequent Events                                   HTML     25K 
41: R21         Summary of Significant Accounting Policies          HTML    147K 
                (Policy)                                                         
59: R22         Summary of Significant Accounting Policies          HTML     64K 
                (Tables)                                                         
55: R23         Concentration of Credit Risk and Major Customers    HTML     65K 
                (Tables)                                                         
15: R24         Equipment Under Operating Leases, Net (Tables)      HTML    168K 
40: R25         Allowance for Credit Losses (Tables)                HTML    140K 
58: R26         Related Party Transactions (Tables)                 HTML     36K 
54: R27         Non-Recourse Debt (Tables)                          HTML     50K 
17: R28         Members' Capital (Tables)                           HTML     37K 
39: R29         Fair Value Measurements (Tables)                    HTML    310K 
33: R30         Organization and Limited Liability Company Matters  HTML     58K 
                (Narrative) (Details)                                            
25: R31         Summary of Significant Accounting Policies          HTML     65K 
                (Narrative) (Details)                                            
49: R32         Summary of Significant Accounting Policies          HTML     29K 
                (Schedule of Differences Between Book Value and                  
                Tax Basis of Net Assets) (Details)                               
70: R33         Summary of Significant Accounting Policies          HTML     40K 
                (Reconciliation of Net Income (Loss) Reported in                 
                Financial Statements and Federal Tax Return)                     
                (Details)                                                        
34: R34         Concentration of Credit Risk and Major Customers    HTML     43K 
                (Schedule of Leasing and Lending Revenues)                       
                (Details)                                                        
26: R35         Equipment Under Operating Leases, Net (Narrative)   HTML     34K 
                (Details)                                                        
50: R36         Equipment Under Operating Leases, Net (Investment   HTML     40K 
                in Leases) (Details)                                             
71: R37         Equipment Under Operating Leases, Net (Property on  HTML     60K 
                Operating Leases) (Details)                                      
36: R38         Equipment Under Operating Leases, Net (Future       HTML     35K 
                Minimum Lease Payments Receivable) (Details)                     
23: R39         Equipment Under Operating Leases, Net (Schedule of  HTML     47K 
                Useful Lives of Lease Assets) (Details)                          
42: R40         Allowance for Credit Losses (Activity in Allowance  HTML     34K 
                for Doubtful Accounts) (Details)                                 
19: R41         Allowance for Credit Losses (Financing Receivables  HTML     27K 
                by Credit Quality Indicator and by Class)                        
                (Details)                                                        
56: R42         Allowance for Credit Losses (Net Investment in      HTML     27K 
                Financing Receivables by Age) (Details)                          
60: R43         Related Party Transactions (Managing Member and/or  HTML     29K 
                Affiliates Earned Commissions and Billed for                     
                Reimbursements Pursuant to Operating Agreement)                  
                (Details)                                                        
43: R44         Non-Recourse Debt (Narrative) (Details)             HTML     33K 
20: R45         Non-Recourse Debt (Future Minimum Payments of       HTML     66K 
                Non-Recourse Debt) (Details)                                     
57: R46         Senior Long-Term Debt (Narrative) (Details)         HTML     39K 
61: R47         Borrowing Facilities (Narrative) (Details)          HTML     25K 
44: R48         Commitments (Narrative) (Details)                   HTML     23K 
18: R49         Members' Capital (Narrative) (Details)              HTML     48K 
22: R50         Members' Capital (Distributions to Other Members)   HTML     31K 
                (Details)                                                        
31: R51         Fair Value Measurements (Narrative) (Details)       HTML     29K 
63: R52         Fair Value Measurements (Fair Value, Warrants       HTML     28K 
                Measured on Recurring Basis) (Details)                           
45: R53         Fair Value Measurements (Fair Value, Investment     HTML     27K 
                Securities Measured on Recurring Basis) (Details)                
21: R54         Fair Value Measurements (Fair Value Measurement of  HTML     28K 
                Impaired Assets at Fair Value on Non-Recurring                   
                Basis) (Details)                                                 
30: R55         Fair Value Measurements (Summary of Valuation       HTML     62K 
                Techniques and Significant Unobservable Inputs                   
                Used) (Details)                                                  
62: R56         Fair Value Measurements (Estimated Fair Values of   HTML     51K 
                Financial Instruments) (Details)                                 
53: XML         IDEA XML File -- Filing Summary                      XML    130K 
14: EXCEL       IDEA Workbook of Financial Reports                  XLSX     75K 
 8: EX-101.INS  XBRL Instance -- atel-20191231                       XML   2.08M 
10: EX-101.CAL  XBRL Calculations -- atel-20191231_cal               XML    184K 
11: EX-101.DEF  XBRL Definitions -- atel-20191231_def                XML    421K 
12: EX-101.LAB  XBRL Labels -- atel-20191231_lab                     XML    874K 
13: EX-101.PRE  XBRL Presentations -- atel-20191231_pre              XML    739K 
 9: EX-101.SCH  XBRL Schema -- atel-20191231                         XSD    167K 
65: ZIP         XBRL Zipped Folder -- 0001558370-20-003159-xbrl      Zip    144K 


‘ZIP’   —   XBRL Zipped Folder — 0001558370-20-003159-xbrl


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        Download this zipped .zip folder
 
Files:atel-20191231.xml
atel-20191231.xsd
atel-20191231_cal.xml
atel-20191231_def.xml
atel-20191231_lab.xml
atel-20191231_pre.xml

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