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Long-Term Debt (Details)
£ in Millions, $ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2021
USD ($)
Jun. 30, 2020
USD ($)
Jun. 30, 2021
USD ($)
Jun. 30, 2020
USD ($)
Jun. 30, 2021
GBP (£)
Dec. 31, 2020
USD ($)
Long-term Debt:            
Principal Amount $ 87,526   $ 87,526     $ 82,143
Accreted Value 87,964   87,964     82,752
Accreted value, current portion (1,002)   (1,002)     (1,008)
Principal amount, noncurrent portion 86,526   86,526     81,143
Accreted value, noncurrent portion 86,962   86,962     81,744
CCO Holdings notes redemption (46) $ (36) (75) $ (63)    
Credit facilities            
Long-term Debt:            
Accreted Value 9,949   $ 9,949     10,081
CCO Holdings            
Long-term Debt:            
Debt Instrument Redemption Price (Percentage)     100.00%      
Debt instrument, amount of principal that may be redeemed (percentage)     40.00%      
Debt instrument redemption price in the event of change of control events (percentage)     101.00%      
CCO Holdings notes redemption (46) $ (36) $ (75) $ (63)    
CCO Holdings | 4.000% senior notes due March 1, 2023            
Long-term Debt:            
Principal Amount 500   500     500
Accreted Value $ 498   $ 498     498
Stated interest rate (percentage) 4.00%   4.00%   4.00%  
CCO Holdings | 5.750% senior notes due February 15, 2026            
Long-term Debt:            
Principal Amount $ 1,250   $ 1,250     2,500
Accreted Value $ 1,239   $ 1,239     2,475
Stated interest rate (percentage) 5.75%   5.75%   5.75%  
CCO Holdings | 5.500% senior notes due May 1, 2026            
Long-term Debt:            
Principal Amount $ 1,500   $ 1,500     1,500
Accreted Value $ 1,493   $ 1,493     1,492
Stated interest rate (percentage) 5.50%   5.50%   5.50%  
CCO Holdings | 5.875% senior notes due May 1, 2027            
Long-term Debt:            
Principal Amount $ 0   $ 0     800
Accreted Value $ 0   $ 0     796
Stated interest rate (percentage) 5.875%   5.875%   5.875%  
CCO Holdings | 5.125% senior notes due May 1, 2027            
Long-term Debt:            
Principal Amount $ 3,250   $ 3,250     3,250
Accreted Value $ 3,227   $ 3,227     3,225
Stated interest rate (percentage) 5.125%   5.125%   5.125%  
CCO Holdings | 5.000% senior notes due February 1, 2028            
Long-term Debt:            
Principal Amount $ 2,500   $ 2,500     2,500
Accreted Value $ 2,474   $ 2,474     2,472
Stated interest rate (percentage) 5.00%   5.00%   5.00%  
CCO Holdings | 5.375% senior notes due June 1, 2029            
Long-term Debt:            
Principal Amount $ 1,500   $ 1,500     1,500
Accreted Value $ 1,501   $ 1,501     1,501
Stated interest rate (percentage) 5.375%   5.375%   5.375%  
CCO Holdings | 4.750% senior notes due March 1, 2030            
Long-term Debt:            
Principal Amount $ 3,050   $ 3,050     3,050
Accreted Value $ 3,042   $ 3,042     3,042
Stated interest rate (percentage) 4.75%   4.75%   4.75%  
CCO Holdings | 4.500% senior notes due August 15, 2030            
Long-term Debt:            
Principal Amount $ 2,750   $ 2,750     2,750
Accreted Value $ 2,750   $ 2,750     2,750
Stated interest rate (percentage) 4.50%   4.50%   4.50%  
CCO Holdings | 4.250% senior notes due February 1, 2031            
Long-term Debt:            
Principal Amount $ 3,000   $ 3,000     3,000
Accreted Value $ 3,002   $ 3,002     3,001
Stated interest rate (percentage) 4.25%   4.25%   4.25%  
CCO Holdings | 4.500% senior notes due May 1, 2032            
Long-term Debt:            
Principal Amount $ 2,900   $ 2,900     2,900
Accreted Value $ 2,927   $ 2,927     2,928
Stated interest rate (percentage) 4.50%   4.50%   4.50%  
CCO Holdings | 4.500% senior notes due June 1, 2033            
Long-term Debt:            
Principal Amount $ 1,750   $ 1,750     0
Accreted Value $ 1,728   $ 1,728     0
Stated interest rate (percentage) 4.50%   4.50%   4.50%  
CCO Holdings | 4.500% senior notes due June 1, 2033 issued in April 2021            
Long-term Debt:            
Principal Amount $ 1,000   $ 1,000      
CCO Holdings | 4.500% senior notes due June 1, 2033 issued in May2021            
Long-term Debt:            
Principal Amount 750   $ 750      
Debt instrument issue price (percentage)     99.25%      
CCO Holdings | 5.750% Senior Notes Due February 15, 2026 redeemed in March 2021            
Long-term Debt:            
Debt repurchased, principal amount 750   $ 750      
CCO Holdings | 5.750% Senior Notes Due February 15, 2026 redeemed in June 2021            
Long-term Debt:            
Debt repurchased, principal amount 500   500      
Charter Operating | 4.464% senior notes due July 23, 2022            
Long-term Debt:            
Principal Amount 3,000   3,000     3,000
Accreted Value $ 2,994   $ 2,994     2,992
Stated interest rate (percentage) 4.464%   4.464%   4.464%  
Charter Operating | Senior floating rate notes due February 1, 2024            
Long-term Debt:            
Principal Amount $ 900   $ 900     900
Accreted Value 901   901     902
Charter Operating | 4.500% senior notes due February 1, 2024            
Long-term Debt:            
Principal Amount 1,100   1,100     1,100
Accreted Value $ 1,095   $ 1,095     1,094
Stated interest rate (percentage) 4.50%   4.50%   4.50%  
Charter Operating | 4.908% senior notes due July 23, 2025            
Long-term Debt:            
Principal Amount $ 4,500   $ 4,500     4,500
Accreted Value $ 4,478   $ 4,478     4,475
Stated interest rate (percentage) 4.908%   4.908%   4.908%  
Charter Operating | 3.750% senior notes due February 15, 2028            
Long-term Debt:            
Principal Amount $ 1,000   $ 1,000     1,000
Accreted Value $ 989   $ 989     989
Stated interest rate (percentage) 3.75%   3.75%   3.75%  
Charter Operating | 4.200% senior notes due March 15, 2028            
Long-term Debt:            
Principal Amount $ 1,250   $ 1,250     1,250
Accreted Value $ 1,242   $ 1,242     1,241
Stated interest rate (percentage) 4.20%   4.20%   4.20%  
Charter Operating | 5.050% senior notes due March 30, 2029            
Long-term Debt:            
Principal Amount $ 1,250   $ 1,250     1,250
Accreted Value $ 1,242   $ 1,242     1,242
Stated interest rate (percentage) 5.05%   5.05%   5.05%  
Charter Operating | 2.800% senior notes due April 1, 2031            
Long-term Debt:            
Principal Amount $ 1,600   $ 1,600     1,600
Accreted Value $ 1,584   $ 1,584     1,583
Stated interest rate (percentage) 2.80%   2.80%   2.80%  
Charter Operating | 2.300% senior notes due February 1, 2032            
Long-term Debt:            
Principal Amount $ 1,000   $ 1,000     1,000
Accreted Value $ 991   $ 991     991
Stated interest rate (percentage) 2.30%   2.30%   2.30%  
Charter Operating | 6.384% senior notes due October 23, 2035            
Long-term Debt:            
Principal Amount $ 2,000   $ 2,000     2,000
Accreted Value $ 1,984   $ 1,984     1,983
Stated interest rate (percentage) 6.384%   6.384%   6.384%  
Charter Operating | 5.375% senior notes due April 1, 2038            
Long-term Debt:            
Principal Amount $ 800   $ 800     800
Accreted Value $ 787   $ 787     786
Stated interest rate (percentage) 5.375%   5.375%   5.375%  
Charter Operating | 3.500% senior notes due June 1, 2041            
Long-term Debt:            
Principal Amount $ 1,500   $ 1,500     0
Accreted Value $ 1,482   $ 1,482     0
Stated interest rate (percentage) 3.50%   3.50%   3.50%  
Debt instrument issue price (percentage)     99.544%      
Charter Operating | 6.484% senior notes due October 23, 2045            
Long-term Debt:            
Principal Amount $ 3,500   $ 3,500     3,500
Accreted Value $ 3,468   $ 3,468     3,468
Stated interest rate (percentage) 6.484%   6.484%   6.484%  
Charter Operating | 5.375% senior notes due May 1, 2047            
Long-term Debt:            
Principal Amount $ 2,500   $ 2,500     2,500
Accreted Value $ 2,506   $ 2,506     2,506
Stated interest rate (percentage) 5.375%   5.375%   5.375%  
Charter Operating | 5.750% senior notes due April 1, 2048            
Long-term Debt:            
Principal Amount $ 2,450   $ 2,450     2,450
Accreted Value $ 2,392   $ 2,392     2,392
Stated interest rate (percentage) 5.75%   5.75%   5.75%  
Charter Operating | 5.125% senior notes due July 1, 2049            
Long-term Debt:            
Principal Amount $ 1,250   $ 1,250     1,250
Accreted Value $ 1,240   $ 1,240     1,240
Stated interest rate (percentage) 5.125%   5.125%   5.125%  
Charter Operating | 4.800% senior notes due March 1, 2050            
Long-term Debt:            
Principal Amount $ 2,800   $ 2,800     2,800
Accreted Value $ 2,797   $ 2,797     2,797
Stated interest rate (percentage) 4.80%   4.80%   4.80%  
Charter Operating | 3.700% senior notes due April 1, 2051            
Long-term Debt:            
Principal Amount $ 2,050   $ 2,050     2,050
Accreted Value $ 2,031   $ 2,031     2,030
Stated interest rate (percentage) 3.70%   3.70%   3.70%  
Charter Operating | 3.900% senior notes due June 1, 2052            
Long-term Debt:            
Principal Amount $ 2,400   $ 2,400     0
Accreted Value $ 2,321   $ 2,321     0
Stated interest rate (percentage) 3.90%   3.90%   3.90%  
Charter Operating | 6.834% senior notes due October 23, 2055            
Long-term Debt:            
Principal Amount $ 500   $ 500     500
Accreted Value $ 495   $ 495     495
Stated interest rate (percentage) 6.834%   6.834%   6.834%  
Charter Operating | 3.850% senior notes due April 1, 2061            
Long-term Debt:            
Principal Amount $ 1,850   $ 1,850     1,350
Accreted Value 1,809   1,809     1,339
Charter Operating | 4.400% senior notes due December 1, 2061            
Long-term Debt:            
Principal Amount 1,400   1,400     0
Accreted Value $ 1,389   $ 1,389     0
Stated interest rate (percentage) 4.40%   4.40%   4.40%  
Debt instrument issue price (percentage)     99.906%      
Charter Operating | Credit facilities            
Long-term Debt:            
Principal Amount $ 10,012   $ 10,012     10,150
Accreted Value 9,949   9,949     10,081
Charter Operating | Revolving Credit Facility            
Long-term Debt:            
Availability under credit facilities 4,700   4,700      
Charter Operating | Additional 3.850% Senior Notes Due April 1, 2061            
Long-term Debt:            
Principal Amount $ 500   $ 500      
Stated interest rate (percentage) 3.85%   3.85%   3.85%  
Debt instrument issue price (percentage)     94.668%      
Charter Operating | 3.900% senior notes due June 1, 2052 issued in March 2021            
Long-term Debt:            
Principal Amount $ 1,000   $ 1,000      
Debt instrument issue price (percentage)     99.951%      
Charter Operating | 3.900% senior notes due June 1, 2052 issued in May 2021            
Long-term Debt:            
Principal Amount 1,400   $ 1,400      
Debt instrument issue price (percentage)     95.578%      
Time Warner Cable | 4.000% senior notes due September 1, 2021            
Long-term Debt:            
Principal Amount 1,000   $ 1,000     1,000
Accreted Value 1,002   1,002     1,008
Principal amount, current portion (1,000)   (1,000)     (1,000)
Accreted value, current portion $ (1,002)   $ (1,002)     (1,008)
Stated interest rate (percentage) 4.00%   4.00%   4.00%  
Time Warner Cable | 5.750% sterling senior notes due June 2, 2031 (a)            
Long-term Debt:            
Principal Amount $ 865   $ 865   £ 625 854
Accreted Value $ 919   $ 919     911
Stated interest rate (percentage) 5.75%   5.75%   5.75%  
Time Warner Cable | 6.550% senior debentures due May 1, 2037            
Long-term Debt:            
Principal Amount $ 1,500   $ 1,500     1,500
Accreted Value $ 1,665   $ 1,665     1,668
Stated interest rate (percentage) 6.55%   6.55%   6.55%  
Time Warner Cable | 7.300% senior debentures due July 1, 2038            
Long-term Debt:            
Principal Amount $ 1,500   $ 1,500     1,500
Accreted Value $ 1,759   $ 1,759     1,763
Stated interest rate (percentage) 7.30%   7.30%   7.30%  
Time Warner Cable | 6.750% senior debentures due June 15, 2039            
Long-term Debt:            
Principal Amount $ 1,500   $ 1,500     1,500
Accreted Value $ 1,703   $ 1,703     1,706
Stated interest rate (percentage) 6.75%   6.75%   6.75%  
Time Warner Cable | 5.875% senior debentures due November 15, 2040            
Long-term Debt:            
Principal Amount $ 1,200   $ 1,200     1,200
Accreted Value $ 1,253   $ 1,253     1,254
Stated interest rate (percentage) 5.875%   5.875%   5.875%  
Time Warner Cable | 5.500% senior debentures due September 1, 2041            
Long-term Debt:            
Principal Amount $ 1,250   $ 1,250     1,250
Accreted Value $ 1,258   $ 1,258     1,258
Stated interest rate (percentage) 5.50%   5.50%   5.50%  
Time Warner Cable | 5.250% sterling senior notes due July 15, 2042 (b)            
Long-term Debt:            
Principal Amount $ 899   $ 899   £ 650 889
Accreted Value $ 869   $ 869     859
Stated interest rate (percentage) 5.25%   5.25%   5.25%  
Time Warner Cable | 4.500% senior debentures due September 15, 2042            
Long-term Debt:            
Principal Amount $ 1,250   $ 1,250     1,250
Accreted Value $ 1,146   $ 1,146     1,145
Stated interest rate (percentage) 4.50%   4.50%   4.50%  
Time Warner Cable Enterprises | 8.375% senior debentures due March 15, 2023            
Long-term Debt:            
Principal Amount $ 1,000   $ 1,000     1,000
Accreted Value $ 1,081   $ 1,081     1,104
Stated interest rate (percentage) 8.375%   8.375%   8.375%  
Time Warner Cable Enterprises | 8.375% senior debentures due July 15, 2033            
Long-term Debt:            
Principal Amount $ 1,000   $ 1,000     1,000
Accreted Value $ 1,262   $ 1,262     $ 1,270
Stated interest rate (percentage) 8.375%   8.375%   8.375%