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Total Debt (Details)
£ in Millions, $ in Millions
3 Months Ended 9 Months Ended
Sep. 30, 2024
USD ($)
Sep. 30, 2023
USD ($)
Sep. 30, 2024
USD ($)
Sep. 30, 2023
USD ($)
Sep. 30, 2024
GBP (£)
May 01, 2024
USD ($)
Dec. 31, 2023
USD ($)
Long-term Debt:              
Principal Amount $ 95,146   $ 95,146       $ 97,588
Carrying Value 95,315   95,315       97,777
Fair Value 85,269   85,269       87,729
Gain on extinguishment of debt (see Note 3) 0 $ 0 9 $ 0      
Senior unsecured notes              
Long-term Debt:              
Principal Amount 27,250   27,250       27,250
Carrying Value 27,178   27,178       27,168
Senior unsecured notes | Level 1              
Long-term Debt:              
Fair Value 25,015   25,015       24,750
Senior secured notes and debentures(a)              
Long-term Debt:              
Principal Amount 56,305   56,305       57,925
Carrying Value 56,592   56,592       58,250
Senior secured notes and debentures(a) | Level 1              
Long-term Debt:              
Fair Value 48,840   48,840       50,742
Credit facilities(b)              
Long-term Debt:              
Principal Amount 11,591   11,591       12,413
Carrying Value 11,545   11,545       12,359
Credit facilities(b) | Level 2              
Long-term Debt:              
Fair Value 11,414   11,414       12,237
Charter Operating              
Long-term Debt:              
Availability under credit facilities $ 5,500   $ 5,500        
Charter Operating | 6.100% Senior Secured Notes Due June 1, 2029              
Long-term Debt:              
Principal Amount | £         £ 1,500    
Stated interest rate (percentage) 6.10%   6.10%   6.10%    
Debt instrument issue price (percentage) 0.99944   0.99944   0.99944    
Charter Operating | 6.550% Senior Secured Notes Due June 1, 2034              
Long-term Debt:              
Principal Amount | £         £ 1,500    
Stated interest rate (percentage) 6.55%   6.55%   6.55%    
Debt instrument issue price (percentage) 0.99755   0.99755   0.99755    
Charter Operating | 4.908% Senior Secured Notes Due July 23, 2025              
Long-term Debt:              
Stated interest rate (percentage) 4.908%   4.908%   4.908%    
Debt repurchased, principal amount           $ 2,700  
Time Warner Cable | 5.750% Sterling Senior Notes Due June 2, 2031              
Long-term Debt:              
Principal Amount $ 836   $ 836   £ 625   797
Time Warner Cable | 5.250% Sterling Senior Notes Due July 15, 2042              
Long-term Debt:              
Principal Amount $ 869   $ 869   £ 650   $ 828