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Debt, Lease Liabilities and Other Notes Payable (Details)
$ in Thousands, $ in Millions
1 Months Ended 12 Months Ended
Oct. 03, 2019
MXN ($)
Jul. 31, 2019
MXN ($)
Dec. 31, 2019
USD ($)
Dec. 31, 2017
USD ($)
Dec. 31, 2017
MXN ($)
Dec. 31, 2019
MXN ($)
Oct. 31, 2017
MXN ($)
Dec. 31, 2015
MXN ($)
Dec. 31, 2014
MXN ($)
Dec. 31, 2010
MXN ($)
Debt, lease liabilities and other notes payable outstanding                    
Principal amount           $ 122,378,292        
Senior notes due between 2025 and 2049                    
Debt, lease liabilities and other notes payable outstanding                    
Unsecured outstanding principal amount     $ 4,450.0     $ 11,000,000        
Senior notes redemption price (as a percent)     101.00%              
6% Senior Notes due 2018                    
Debt, lease liabilities and other notes payable outstanding                    
Principal amount       $ 500.0            
Prepayment of principal       $ 511.7 $ 9,841,716          
6.625% Senior Notes due 2025                    
Debt, lease liabilities and other notes payable outstanding                    
Interest including withholding taxes (as a percent)     6.97%     6.97%        
6.625% Senior notes 1 due 2025                    
Debt, lease liabilities and other notes payable outstanding                    
Unsecured outstanding principal amount     $ 400.0              
Senior Notes priced at yield to maturity (as a percent)     98.081%              
Debt instrument yield to maturity (as a percent)     6.802%              
6.625% Senior notes 2 due 2025                    
Debt, lease liabilities and other notes payable outstanding                    
Unsecured outstanding principal amount     $ 200.0              
Senior Notes priced at yield to maturity (as a percent)     98.632%              
Debt instrument yield to maturity (as a percent)     6.787%              
4.625% Senior Notes due 2026                    
Debt, lease liabilities and other notes payable outstanding                    
Interest including withholding taxes (as a percent)     4.86%     4.86%        
Senior Notes priced at yield to maturity (as a percent)     99.385%              
Debt instrument yield to maturity (as a percent)     4.70%              
8.50% Senior Notes due 2032                    
Debt, lease liabilities and other notes payable outstanding                    
Interest including withholding taxes (as a percent)     8.94%     8.94%        
Senior Notes priced at yield to maturity (as a percent)     99.431%              
Debt instrument yield to maturity (as a percent)     8.553%              
8.49% Senior Notes due 2037                    
Debt, lease liabilities and other notes payable outstanding                    
Interest including withholding taxes (as a percent)     8.93%     8.93%        
6.625% Senior Notes due 2040                    
Debt, lease liabilities and other notes payable outstanding                    
Interest including withholding taxes (as a percent)     6.97%     6.97%        
Senior Notes priced at yield to maturity (as a percent)     98.319%              
Debt instrument yield to maturity (as a percent)     6.755%              
7.25% Senior Notes due 2043                    
Debt, lease liabilities and other notes payable outstanding                    
Interest including withholding taxes (as a percent)     7.62%     7.62%        
Senior Notes priced at yield to maturity (as a percent)     99.733%              
Debt instrument yield to maturity (as a percent)     7.27%              
5% Senior Notes due 2045                    
Debt, lease liabilities and other notes payable outstanding                    
Interest including withholding taxes (as a percent)     5.26%     5.26%        
Senior Notes priced at yield to maturity (as a percent)     96.534%              
Debt instrument yield to maturity (as a percent)     5.227%              
6.125% Senior Notes due 2046                    
Debt, lease liabilities and other notes payable outstanding                    
Interest including withholding taxes (as a percent)     6.44%     6.44%        
Senior Notes priced at yield to maturity (as a percent)     99.677%              
Debt instrument yield to maturity (as a percent)     6.147%              
Senior Notes Due 2049                    
Debt, lease liabilities and other notes payable outstanding                    
Interest including withholding taxes (as a percent)     5.52%     5.52%        
Senior Notes priced at yield to maturity (as a percent)     98.588%              
Debt instrument yield to maturity (as a percent)     5.345%              
7.38% Notes due 2020                    
Debt, lease liabilities and other notes payable outstanding                    
Principal amount                   $ 10,000,000
TIIE + 0.35% Notes due 2021                    
Debt, lease liabilities and other notes payable outstanding                    
Principal amount                 $ 6,000,000  
Number of days interest is payable     28 days              
TIIE + 0.35% Notes due 2022                    
Debt, lease liabilities and other notes payable outstanding                    
Principal amount               $ 5,000,000    
Number of days interest is payable     28 days              
8.79% Notes due 2027                    
Debt, lease liabilities and other notes payable outstanding                    
Principal amount             $ 4,500,000      
Notes due 2021 and 2022                    
Debt, lease liabilities and other notes payable outstanding                    
Prepayment of principal   $ 11,000,000                
Notes due 2020                    
Debt, lease liabilities and other notes payable outstanding                    
Prepayment of principal $ 10,000,000                  
TIIE | TIIE + 0.35% Notes due 2021                    
Debt, lease liabilities and other notes payable outstanding                    
Variable interest rate spread (as a percent)     0.35%     0.35%        
TIIE | TIIE + 0.35% Notes due 2022                    
Debt, lease liabilities and other notes payable outstanding                    
Variable interest rate spread (as a percent)     0.35%     0.35%