Annual report pursuant to Section 13 and 15(d)

Schedule of Profits Interests Pursuant to Profits Sharing Agreement (Detail)

v2.4.0.8
Schedule of Profits Interests Pursuant to Profits Sharing Agreement (Detail) (USD $)
12 Months Ended
Dec. 31, 2013
TBUs
 
Number of Management NCL Corporation Units  
Outstanding as of beginning of period 2,265,554
Exchanged for NCLH shares (510,917)
Forfeited (4,978)
Outstanding as of end of period 1,749,659
Vested and expected to vest as of end of period 1,663,732
Exchangeable as of end of period 1,320,027
Non-vested as of end of period 429,632
Weighted- Average Grant-Date Fair Value  
Outstanding as of beginning of period $ 3.53
Exchanged for NCLH shares $ 3.78
Forfeited $ 2.96
Outstanding as of end of period $ 3.45
Vested and expected to vest as of end of period $ 3.50
Exchangeable as of end of period $ 3.77
Non-vested as of end of period $ 2.50
PBUs
 
Number of Management NCL Corporation Units  
Outstanding as of beginning of period 3,495,737
Exchanged for NCLH shares (528,382)
Forfeited (7,322)
Outstanding as of end of period 2,960,033
Vested and expected to vest as of end of period 2,455,563
Exchangeable as of end of period 437,682
Non-vested as of end of period 2,522,351
Weighted- Average Grant-Date Fair Value  
Outstanding as of beginning of period $ 3.56
Exchanged for NCLH shares $ 3.47
Forfeited $ 4.92
Outstanding as of end of period $ 3.57
Vested and expected to vest as of end of period $ 3.56
Exchangeable as of end of period $ 3.34
Non-vested as of end of period $ 3.61