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INVESTMENTS, DEBT AND DERIVATIVES - Reconciliation of cash flows from financing activities (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Reconciliation of cash flows from financing activities      
Liabilities arising from financing activities at beginning of period $ 4,762 $ 7,570  
Cash flows      
Proceeds from borrowings, net of fees paid [1] 955 194 $ 2,087
Repayment of debt   (1,111)  
Repayment of debt (1,483) (1,098) (1,619)
Interest paid (431) (489)  
Non-cash movements      
Interest and fee accruals 465 467  
Lease additions, disposals, impairment and modifications 295 601  
Held for sale - Note 11 (3)    
Foreign currency translation (100) (353)  
Reclassification related to bank loans and bonds * 4 (2,064)  
Other non-cash movements (41) (53)  
Liabilities arising from financing activities at end of period 4,423 4,762 7,570
Bank loans and bonds      
Reconciliation of cash flows from financing activities      
Liabilities arising from financing activities at beginning of period 3,785 6,764  
Cash flows      
Proceeds from borrowings, net of fees paid 955 194  
Repayment of debt   (964)  
Repayment of debt (1,333)    
Interest paid (314) (370)  
Non-cash movements      
Interest and fee accruals 346 355  
Lease additions, disposals, impairment and modifications 0 171  
Held for sale - Note 11 (3)    
Foreign currency translation (32) (276)  
Reclassification related to bank loans and bonds * 4 (2,064)  
Other non-cash movements (15) (25)  
Liabilities arising from financing activities at end of period 3,393 3,785 6,764
Lease liabilities      
Reconciliation of cash flows from financing activities      
Liabilities arising from financing activities at beginning of period 977 806  
Cash flows      
Proceeds from borrowings, net of fees paid 0 0  
Repayment of debt   (147)  
Repayment of debt (150)    
Interest paid (117) (119)  
Non-cash movements      
Interest and fee accruals 119 112  
Lease additions, disposals, impairment and modifications 295 430  
Held for sale - Note 11 0    
Foreign currency translation (68) (77)  
Reclassification related to bank loans and bonds * 0 0  
Other non-cash movements (26) (28)  
Liabilities arising from financing activities at end of period $ 1,030 $ 977 $ 806
[1]
* Fees paid in 2024 for borrowings were US$9 (2023: US$18, 2022: US$11).