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Trade and Other Receivables - Summary of Changes in the Allowance for Expected Credit Losses (Detail) - PHP (₱)
₱ in Millions
12 Months Ended
Dec. 31, 2019
Dec. 31, 2018
Disclosure Of Financial Assets [Line Items]    
Balances as at beginning of the year ₱ 16,739  
Balances at end of the year 17,202 ₱ 16,739
Trade and Other Receivables [Member]    
Disclosure Of Financial Assets [Line Items]    
Balances as at beginning of the year 16,503 14,759
Provisions 4,071 4,192
Reclassifications and reversals (55) 47
Business combination/dissolution   (57)
Write-offs (3,604) (2,444)
Translation adjustments (11) 6
Balances at end of the year 16,904 16,503
Trade and Other Receivables [Member] | Stage 2 [Member]    
Disclosure Of Financial Assets [Line Items]    
Balances as at beginning of the year 1,595 1,416
Provisions 638 247
Reclassifications and reversals (449) (13)
Business combination/dissolution   (57)
Write-offs (13) (3)
Translation adjustments (8) 5
Balances at end of the year 1,763 1,595
Trade and Other Receivables [Member] | Stage 3 [Member]    
Disclosure Of Financial Assets [Line Items]    
Balances as at beginning of the year 14,908 13,343
Provisions 3,433 3,945
Reclassifications and reversals 394 60
Write-offs (3,591) (2,441)
Translation adjustments (3) 1
Balances at end of the year 15,141 14,908
Trade and Other Receivables [Member] | Retail subscribers [Member] | Stage 2 [Member]    
Disclosure Of Financial Assets [Line Items]    
Balances as at beginning of the year 893 787
Provisions 418 20
Reclassifications and reversals (366) 86
Write-offs (12)  
Translation adjustments (7)  
Balances at end of the year 926 893
Trade and Other Receivables [Member] | Retail subscribers [Member] | Stage 3 [Member]    
Disclosure Of Financial Assets [Line Items]    
Balances as at beginning of the year 8,931 7,925
Provisions 2,725 3,109
Reclassifications and reversals 793 6
Write-offs (2,683) (2,109)
Balances at end of the year 9,766 8,931
Trade and Other Receivables [Member] | Corporate subscribers [Member] | Stage 2 [Member]    
Disclosure Of Financial Assets [Line Items]    
Balances as at beginning of the year 603 474
Provisions 211 172
Reclassifications and reversals (80) (48)
Write-offs (1)  
Translation adjustments (1) 5
Balances at end of the year 732 603
Trade and Other Receivables [Member] | Corporate subscribers [Member] | Stage 3 [Member]    
Disclosure Of Financial Assets [Line Items]    
Balances as at beginning of the year 3,906 3,212
Provisions 661 820
Reclassifications and reversals 201 201
Write-offs (895) (328)
Translation adjustments (3) 1
Balances at end of the year 3,870 3,906
Trade and Other Receivables [Member] | Foreign administrations [Member] | Stage 2 [Member]    
Disclosure Of Financial Assets [Line Items]    
Balances as at beginning of the year 5 7
Provisions   44
Financial assets derecognized during the year (2)  
Reclassifications and reversals   (46)
Balances at end of the year 3 5
Trade and Other Receivables [Member] | Foreign administrations [Member] | Stage 3 [Member]    
Disclosure Of Financial Assets [Line Items]    
Balances as at beginning of the year 914 925
Provisions 64  
Financial assets derecognized during the year   (13)
Reclassifications and reversals (604) 2
Balances at end of the year 374 914
Trade and Other Receivables [Member] | Domestic carriers [Member] | Stage 2 [Member]    
Disclosure Of Financial Assets [Line Items]    
Balances as at beginning of the year 3 1
Provisions 1 2
Balances at end of the year 4 3
Trade and Other Receivables [Member] | Domestic carriers [Member] | Stage 3 [Member]    
Disclosure Of Financial Assets [Line Items]    
Balances as at beginning of the year 74 75
Provisions 12 2
Reclassifications and reversals   (3)
Balances at end of the year 86 74
Trade and Other Receivables [Member] | Dealers agents and others [Member] | Stage 2 [Member]    
Disclosure Of Financial Assets [Line Items]    
Balances as at beginning of the year 91 147
Provisions 10 9
Reclassifications and reversals (3) (5)
Business combination/dissolution   (57)
Write-offs   (3)
Balances at end of the year 98 91
Trade and Other Receivables [Member] | Dealers agents and others [Member] | Stage 3 [Member]    
Disclosure Of Financial Assets [Line Items]    
Balances as at beginning of the year 1,083 1,206
Provisions   27
Financial assets derecognized during the year (29)  
Reclassifications and reversals 4 (146)
Write-offs (13) (4)
Balances at end of the year ₱ 1,045 ₱ 1,083