XML 45 R34.htm IDEA: XBRL DOCUMENT v3.25.3
FINANCING ARRANGEMENTS (Tables)
9 Months Ended
Sep. 30, 2025
Debt Disclosure [Abstract]  
Schedule of long-term debt
Principal amounts of debt obligations and principal amounts of debt obligations net of premiums, discounts and issuance costs consist of the following:
September 30, 2025December 31, 2024
(in millions)MaturityPrincipal AmountNet of Premiums, Discounts and Issuance CostsPrincipal AmountNet of Premiums, Discounts and Issuance Costs
Senior Secured Credit Facilities:
2022 Amended Credit Agreement
2027 Revolving Credit FacilityFebruary 2027$— $— $— $— 
February 2027 Term Loan B FacilityFebruary 2027— — 2,187 2,166 
2025 Credit Agreement
2030 Revolving Credit FacilityApril 2030— — — — 
2030 Term Loan B FacilityOctober 20302,992 2,870 — — 
AR Credit FacilityJanuary 2028300 300 300 300 
B+L Credit Facilities
B+L May 2027 Revolving Credit FacilityMay 2027— — 110 110 
B+L May 2027 Term Loan B FacilityMay 2027— — 2,437 2,412 
B+L May 2027 Incremental Term Loan B FacilityMay 2027— — 400 396 
B+L September 2028 Term Loan B FacilitySeptember 2028490 484 494 486 
B+L 2030 Revolving Credit FacilityJune 2030— — — — 
B+L January 2031 Term Loan B FacilityJanuary 20312,319 2,291 — — 
Senior Secured Notes:
5.50% Secured Notes
November 2025— — 1,680 1,678 
6.125% Secured Notes
February 2027— — 1,000 993 
5.75% Secured Notes
August 2027— — 500 498 
4.875% Secured Notes
June 20281,600 1,592 1,600 1,589 
11.00% First Lien Secured Notes
September 20281,774 2,306 1,774 2,481 
14.00% Second Lien Secured Notes
October 2030352 600 352 622 
10.00% Secured Notes
April 20324,400 4,341 — — 
B+L Senior Secured Notes:
B+L 8.375% Secured Notes
October 20281,400 1,386 1,400 1,382 
B+L January 2031 Senior Secured NotesJanuary 2031792 780 — — 
9.00% Intermediate Holdco Secured Notes
January 2028— — 999 1,279 
Senior Unsecured Notes: 
9.00%
December 2025— — 535 533 
9.25%
April 2026— — 602 601 
8.50%
January 2027643 643 643 643 
7.00%
January 2028171 171 171 171 
5.00%
January 2028433 431 433 431 
6.25%
February 2029821 816 821 816 
5.00%February 2029452 450 452 449 
7.25%
May 2029336 335 336 335 
5.25%
January 2030779 774 779 774 
5.25%February 2031463 460 463 459 
OtherVarious12 12 12 12 
Total long-term debt and other $20,529 21,042 $20,480 21,616 
Less: Current portion of long-term debt 579 2,674 
Non-current portion of long-term debt and other$20,463 $18,942 
The aggregate principal amounts of the February 2027 Term Loan B Facility repaid in full and terminated and the Redeemed Notes redeemed in connection with the April 2025 Refinancing Transactions are set forth below:
(in millions)Principal Amount
February 2027 Term Loan B Facility$2,156 
5.50% Senior Secured Notes due 2025
1,680 
6.125% Senior Secured Notes due 2027
1,000 
5.75% Senior Secured Notes due 2027
500 
9.00% Intermediate Holdco Secured Notes due 2028
999 
9.00% Senior Unsecured Notes due 2025
535 
Total$6,870 
Schedule of long-term debt maturities
Maturities of debt obligations for the remainder of 2025, the five succeeding years ending December 31 and thereafter are as follows:
(in millions)
Remainder of 2025$314 
202658 
2027701 
20285,923 
20291,663 
20304,018 
Thereafter7,852 
Total debt obligations20,529 
Unamortized premiums, discounts and issuance costs513 
Total long-term debt and other$21,042