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FAIR VALUE DISCLOSURES - Fair Value Disclosure of Assets and Liabilities Not Measured at Fair Value (Details) - USD ($)
$ in Millions
Dec. 31, 2022
Dec. 31, 2021
Level 1    
Assets:    
Cash, restricted cash and cash equivalents $ 1,137 $ 1,731
Liabilities:    
Non-recourse asset-backed debt and Credit facilities and other secured borrowings 0 0
Other secured borrowings   0
Convertible senior notes 0 0
Level 1 | Restricted Cash    
Assets:    
Cash, restricted cash and cash equivalents 654 847
Level 2    
Assets:    
Cash, restricted cash and cash equivalents 0 0
Liabilities:    
Non-recourse asset-backed debt and Credit facilities and other secured borrowings 4,427 6,140
Other secured borrowings   7
Convertible senior notes 391 1,019
Level 2 | Restricted Cash    
Assets:    
Cash, restricted cash and cash equivalents 0 0
Reported Value Measurement    
Assets:    
Cash, restricted cash and cash equivalents 1,137 1,731
Liabilities:    
Non-recourse asset-backed debt and Credit facilities and other secured borrowings 4,396 6,102
Other secured borrowings   7
Convertible senior notes 959 954
Reported Value Measurement | Restricted Cash    
Assets:    
Cash, restricted cash and cash equivalents 654 847
Estimate of Fair Value Measurement    
Assets:    
Cash, restricted cash and cash equivalents 1,137 1,731
Liabilities:    
Non-recourse asset-backed debt and Credit facilities and other secured borrowings 4,427 6,140
Other secured borrowings   7
Convertible senior notes 391 1,019
Estimate of Fair Value Measurement | Restricted Cash    
Assets:    
Cash, restricted cash and cash equivalents $ 654 $ 847