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VARIABLE INTEREST ENTITIES - Cash Flows Between Company and Variable Interest Entities (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Cash Outflows      
Voluntary repurchases of defaulted vacation ownership notes receivable $ (164) $ 123 $ (94)
Vacation Ownership Notes Receivable Securitizations      
Cash Inflows      
Net proceeds from vacation ownership notes receivable securitizations 866 841  
Principal receipts 565 510  
Interest receipts 266 240  
Reserve release 245 49  
Total 1,942 1,640  
Cash Outflows      
Principal payments (553) (508)  
Voluntary repurchases of defaulted vacation ownership notes receivable (161) (118)  
Voluntary clean-up call (92) (51)  
Interest payments (95) (70)  
Funding of restricted cash (243) (48)  
Total (1,144) (795)  
Net Cash Flows 798 845  
Warehouse Credit Facility      
Cash Inflows      
Net proceeds from vacation ownership notes receivable securitizations 449 642  
Principal receipts 25 54  
Interest receipts 16 31  
Reserve release 11 11  
Total 501 738  
Cash Outflows      
Principal payments (18) (39)  
Voluntary repurchases of defaulted vacation ownership notes receivable (3) (5)  
Repayment of Warehouse Credit Facility (455) (610)  
Interest payments (9) (14)  
Funding of restricted cash (9) (21)  
Total (494) (689)  
Net Cash Flows $ 7 $ 49