Annual report pursuant to Section 13 and 15(d)

Debt (Tables)

v2.4.1.9
Debt (Tables)
12 Months Ended
Dec. 31, 2014
Long-term Debt, Unclassified [Abstract]  
Schedule of Long-term Debt Instruments

 

 

 

 

 

 

 

 

 

 

 

 

Outstanding

 

Carrying value

 

 

    

Principal

    

December 31,

    

December 31,

 

 

 

December 31, 2014

 

 2014

 

 2013

 

 

 

amounts in millions

 

Corporate level notes and loans:

 

 

 

 

 

 

 

 

 

Liberty 1.375% Cash Convertible Notes due 2023

 

$

1,000 

 

 

990 

 

1,002 

 

Margin loans

 

 

250 

 

 

250 

 

920 

 

Subsidiary notes and loans:

 

 

 

 

 

 

 

 

 

SIRIUS XM 7% Exchangeable Senior Subordinated Notes due 2014

 

 

 —

 

 

 —

 

520 

 

SIRIUS XM 5.875% Senior Notes due 2020

 

 

650 

 

 

644 

 

643 

 

SIRIUS XM 5.75% Senior Notes due 2021

 

 

600 

 

 

595 

 

594 

 

SIRIUS XM 5.25% Senior Secured Notes due 2022

 

 

400 

 

 

407 

 

407 

 

SIRIUS XM 4.25% Senior Notes due 2020

 

 

500 

 

 

496 

 

494 

 

SIRIUS XM 4.625% Senior Notes due 2023

 

 

500 

 

 

495 

 

495 

 

SIRIUS XM 6% Senior Notes due 2024

 

 

1,500 

 

 

1,484 

 

 —

 

SIRIUS XM Credit Facility

 

 

380 

 

 

380 

 

460 

 

Other subsidiary debt

 

 

111 

 

 

111 

 

20 

 

Total debt

 

$

5,891 

 

 

5,852 

 

5,555 

 

Less debt classified as current

 

 

 

 

 

(257)

 

(777)

 

Total long-term debt

 

 

 

 

$

5,595 

 

4,778 

 

 

Value of shares pledged as collateral pursuant to the margin loan agreements

 

 

 

 

 

 

 

 

    

Number of Shares Pledged

    

    

 

 

 

 

as Collateral as of

 

Share value as of

 

Investment

    

December 31, 2014

    

December 31, 2014

 

 

 

amounts in millions

 

SIRIUS XM

 

150.0 

 

$

525 

 

Live Nation

 

12.0 

 

$

313 

 

Time Warner, Inc.

 

3.6 

 

$

309 

 

Viacom, Inc.

 

3.5 

 

$

266 

 

Time, Inc.

 

1.0 

 

$

13 

 

 

Fair Value of Debt

The fair value, based on quoted market prices of the same instruments but not considered to be active markets (Level 2), of SIRIUS XM's publicly traded debt securities is as follows (amounts in millions):

 

 

 

 

 

 

 

    

December 31,

 

 

 

2014

 

SIRIUS XM 5.875% Senior Notes due 2020

 

$

672 

 

SIRIUS XM 5.75% Senior Notes due 2021

 

$

619 

 

SIRIUS XM 5.25% Senior Secured Notes due 2022

 

$

421 

 

SIRIUS XM 4.25% Senior Notes due 2020

 

$

494 

 

SIRIUS XM 4.625% Senior Notes due 2023

 

$

471 

 

SIRIUS XM 6% Senior Notes due 2024

 

$

1,545 

 

 

Schedule of Maturities of Long-term Debt

The annual principal maturities of outstanding debt obligations for each of the next five years is as follows (amounts in millions):

 

 

 

 

 

 

 

2015

    

$

257 

 

2016

 

$

 

2017

 

$

381 

 

2018

 

$

100 

 

2019

 

$

 —