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Pension and Other Employee Benefits - Additional Information (Detail)
₱ / shares in Units, shares in Millions
5 Months Ended 6 Months Ended 12 Months Ended
Apr. 30, 2024
PHP (₱)
Feb. 16, 2024
USD ($)
Jan. 24, 2024
PHP (₱)
May 30, 2015
PHP (₱)
May 21, 2015
PHP (₱)
Dec. 31, 2014
PHP (₱)
Mar. 11, 2014
PHP (₱)
Feb. 19, 2014
PHP (₱)
Sep. 27, 2013
Jan. 25, 2013
PHP (₱)
May 08, 2012
PHP (₱)
Oct. 31, 2013
PHP (₱)
Aug. 31, 2013
PHP (₱)
Dec. 31, 2024
PHP (₱)
₱ / shares
shares
Dec. 31, 2023
PHP (₱)
₱ / shares
shares
Dec. 31, 2022
PHP (₱)
Dec. 31, 2021
PHP (₱)
Dec. 31, 2020
PHP (₱)
Dec. 31, 2019
PHP (₱)
Feb. 28, 2018
PHP (₱)
Oct. 26, 2012
PHP (₱)
₱ / shares
Disclosure Of Defined Benefit Plans [Line Items]                                          
Actual net gain (loss) on plan assets                           ₱ (918,000,000) ₱ (3,766,000,000) ₱ 562,000,000          
Expected contribution in 2025 to the defined benefit plan                           ₱ 4,448,000,000              
Average duration of the defined benefit obligation                           12 years 8 months 4 days              
VIU calculations derived from cash flow projections                           The VIU calculations were derived from cash flow projections over a period of five years based on the 2024 financial budgets approved by MediaQuest’s Board of Directors and calculated terminal value              
Percentage of Economic Interest       70.00%                                  
Additional amount deposited       ₱ 3,250,000,000                                  
Additional investment         ₱ 800,000,000                                
Settlement amount   $ 3,000,000     200,000,000                                
Balance investment amount         ₱ 500,000,000                                
Carrying value of investments in associates                           ₱ 18,981,000,000 16,618,000,000         ₱ 1,664,000,000  
Direct Subscription In Shares Of Stocks                           20,000,000              
Unpaid Subscription in Unlisted Equity Investments                           32,000,000              
Cumulative Change In Fair Market Value Of Investment                           ₱ 603,000,000 ₱ 553,000,000            
Debt and fixed income securities                           2.00% 16.00%            
Change in fair value of plan assets                           ₱ 0 ₱ 0            
Defined Contribution Plans [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Average duration of the defined benefit obligation                           10 years              
Fixed Income Securities [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Proportion of portfolio percentage                           71.00%              
Equity Securities 1 [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Proportion of portfolio percentage                           29.00%              
Smart and Subsidiaries [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Actual net gain (loss) on plan assets                           ₱ 318,000,000 257,000,000 (109,000,000)          
Expected contribution in 2025 to the defined benefit plan                           309,000,000              
Smart and Subsidiaries [Member] | PLDT Shares [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Plan Assets of Defined Benefit Pension Plans                           ₱ 38,000,000 ₱ 33,000,000            
Unlisted Preferred Shares [member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Subscription price per share | ₱ / shares                           ₱ 10 ₱ 10            
Unlisted preferred shares | shares                           300 300            
Subscription payable                           ₱ 2,640,000,000 ₱ 2,640,000,000            
Dividend rate                           13.50% 13.50%            
Dividends earned                           ₱ 49,000,000 ₱ 49,000,000 49,000,000          
Corporate Bonds and Loans Receivable [Member] | TV5 Network Inc. [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Loan agreement term     10 years                       10 years            
Loans receivable aggregate amount     ₱ 2,300,000,000                       ₱ 2,300,000,000            
Loan settled aggregate value ₱ 2,300,000,000                                        
Loans receivable interest rate description                           The applicable interest rates for the loans shall be based on the average of the One Year PHP BVAL for the three consecutive business days immediately prior to and including the interest rate setting date plus a credit margin of 125 bps per annum.              
MediaQuest PDRs [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Deposits                     ₱ 6,000,000,000                    
Percentage of Economic Interest                     40.00%                    
Deposit for future subscription                               6,000,000,000          
Additional investment                               1,000,000,000 ₱ 2,000,000,000 ₱ 1,400,000,000 ₱ 3,100,000,000    
Carrying value of investments in associates                           ₱ 9,186,000,000 9,260,000,000            
Satventures Philippine Depositary Receipts [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Percentage of Economic Interest                   40.00%                      
Deposit for future subscription                         ₱ 3,600,000,000                
Additional deposit for subscription                   ₱ 3,600,000,000                      
Cignal TV Philippine Depositary Receipts [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Percentage of Economic Interest                 64.00%                        
Hastings Philippine Depositary Receipts [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Deposit for future subscription             ₱ 300,000,000         ₱ 1,950,000,000                  
Additional amount deposited               ₱ 500,000,000   ₱ 1,950,000,000                      
Total deposit for subscription           ₱ 2,250,000,000                              
Tahanan Mutual Building and Loan Association, Inc [member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Carrying value of investments in associates                           119,000,000              
Deed of pledge                           99,000,000              
BTF Holdings, Inc. [Member] | Voting Preferred Stock [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Voting Preferred Stock                                         ₱ 150,000,000
Subscription price per share | ₱ / shares                                         ₱ 1
Total Subscription Price ₱ 2,480,000,000                                       ₱ 150,000,000
Dividend income                           10,000,000 10,000,000 10,000,000          
Dividends received                           2,000,000 2,000,000            
Parent [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Shares of stocks sold to third party                           ₱ 3,000,000 ₱ 3,000,000 ₱ 3,000,000          
Bottom of range [member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Pre-tax discount rates applied to cash flow projections                           11.30%              
Growth rate of cash flows beyond the projection of three years                           0.00%              
Percentage of contribution to plan by employer                           5.00%              
Debt and fixed income securities                           10.00%              
Bottom of range [member] | Smart and Subsidiaries [Member] | Philippine Foreign Currency Bonds [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Percentage of interest earned                           2.38%              
Bottom of range [member] | Smart and Subsidiaries [Member] | Debt and Fixed Income Securities [Member] | Domestic Fixed Income [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Percentage of interest earned                           2.90%              
Bottom of range [member] | Corporate Bonds [member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Fixed interest rates                           4.38%              
Bottom of range [member] | Debt Securities [Member] | Retail Treasury Bonds and FXTN [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Fixed interest rates                           3.90%              
Top of range [member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Pre-tax discount rates applied to cash flow projections                           12.20%              
Growth rate of cash flows beyond the projection of three years                           4.80%              
Percentage of contribution to plan by employer                           10.00%              
Percentage of contribution to plan by employee                           10.00%              
Debt and fixed income securities                           50.00%              
Top of range [member] | Smart and Subsidiaries [Member] | Philippine Foreign Currency Bonds [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Percentage of interest earned                           10.63%              
Top of range [member] | Smart and Subsidiaries [Member] | Debt and Fixed Income Securities [Member] | Domestic Fixed Income [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Percentage of interest earned                           10.13%              
Top of range [member] | Corporate Bonds [member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Fixed interest rates                           6.80%              
Top of range [member] | Debt Securities [Member] | Retail Treasury Bonds and FXTN [Member]                                          
Disclosure Of Defined Benefit Plans [Line Items]                                          
Fixed interest rates                           4.80%