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Long-Term Debt (Tables)
3 Months Ended
Mar. 31, 2014
Long-Term Debt [Abstract]  
Schedule Of Long-Term Debt
(In thousands)March 31, 2014 December 31, 2013
Senior Secured Credit Facilities (1)$ 8,224,014 $ 8,225,754
Receivables Based Facility due 2017  -   247,000
9.0% Priority Guarantee Notes due 2019  1,999,815   1,999,815
9.0% Priority Guarantee Notes due 2021  1,750,000   1,750,000
11.25% Priority Guarantee Notes due 2021  575,000   575,000
Subsidiary senior revolving credit facility due 2018  -   -
Other secured subsidiary long-term debt (2)  19,818   21,124
Total consolidated secured debt  12,568,647   12,818,693
       
Senior Cash Pay Notes due 2016  94,304   94,304
Senior Toggle Notes due 2016 (3)  127,941   127,941
Senior Notes due 2021 (4)  1,645,244   1,404,202
Clear Channel Senior Notes (5)  1,374,568   1,436,455
Subsidiary Senior Notes due 2022  2,725,000   2,725,000
Subsidiary Senior Subordinated Notes due 2020  2,200,000   2,200,000
Other subsidiary debt   854   10
Purchase accounting adjustments and original issue discount   (312,172)   (322,392)
    20,424,386   20,484,213
Less: current portion  413,882   453,734
Total long-term debt$ 20,010,504 $ 20,030,479