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VARIABLE INTEREST ENTITIES - Cash Flows Between Company and Variable Interest Entities (Details) - USD ($)
$ in Millions
6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Vacation Ownership Notes Receivable Securitizations    
Cash Inflows [Abstract]    
Net proceeds from vacation ownership notes receivable securitizations $ 445 $ 426
Principal receipts 293 275
Interest receipts 135 132
Reserve release 105 112
Total 978 945
Cash Outflows [Abstract]    
Principal payments (284) (277)
Voluntary repurchases of defaulted vacation ownership notes receivable (83) (78)
Voluntary clean-up call (64) (29)
Interest payments (47) (47)
Funding of restricted cash (103) (112)
Total (581) (543)
Cash Flows Between Transferee and Transferor Net 397 402
Warehouse Credit Facility    
Cash Inflows [Abstract]    
Net proceeds from vacation ownership notes receivable securitizations 364 203
Principal receipts 25 12
Interest receipts 14 7
Reserve release 11 6
Total 414 228
Cash Outflows [Abstract]    
Principal payments (21) (7)
Voluntary repurchases of defaulted vacation ownership notes receivable (1) (2)
Repayment of Warehouse Credit Facility (308) (236)
Interest payments (6) (4)
Funding of restricted cash (12) (5)
Total (348) (254)
Cash Flows Between Transferee and Transferor Net $ 66 $ (26)