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Annual report pursuant to Section 13 and 15(d)

Long-Term Debt (Tables)

v2.4.0.8
Long-Term Debt (Tables)
3 Months Ended 12 Months Ended
Mar. 31, 2013
Dec. 31, 2013
Long-term Debt, Unclassified [Abstract] Ìý Ìý
Schedule of Financial Instruments Owned and Pledged as Collateral [Table Text Block] Ìý
As of DecemberÌý31, 2013, the value of shares pledged as collateral pursuant to all three margin loan agreements is as follows:
Ìý
Ìý
Number of Shares Pledged
Ìý
Ìý
Ìý
Ìý
as Collateral as of
Ìý
Share value as of
Investment
Ìý
DecemberÌý31, 2013
Ìý
DecemberÌý31, 2013
Ìý
Ìý
amounts in millions
SIRIUS XM
Ìý
719.9

Ìý
$
2,513

Charter
Ìý
20.3

Ìý
$
2,772

Live Nation
Ìý
8.1

Ìý
$
159

Time Warner, Inc.
Ìý
3.6

Ìý
$
252

Viacom, Inc.
Ìý
3.5

Ìý
$
308

Time Warner Cable, Inc.
Ìý
1.1

Ìý
$
151

Schedule of Long-term Debt Instruments [Table Text Block] Ìý
Debt is summarized as follows:
Ìý
Outstanding Principal December 31, 2013
Ìý
Carrying value
Ìý
DecemberÌý31,
2013
Ìý
DecemberÌý31,
2012
Ìý
amounts in millions
Corporate level notes and loans:
Ìý
Ìý
Ìý
Ìý
Ìý
Liberty 1.375% Cash Convertible Notes due 2023
$
1,000

Ìý
1,002

Ìý
—

Margin loans
920

Ìý
920

Ìý
—

Subsidiary notes and loans:
Ìý
Ìý
Ìý
Ìý
Ìý
SIRIUS XM 7% Exchangeable Senior Subordinated Notes due 2014
491

Ìý
520

Ìý
—

SIRIUS XM 5.875% Senior Notes due 2020
650

Ìý
643

Ìý
—

SIRIUS XM 5.75% Senior Notes due 2021
600

Ìý
594

Ìý
—

SIRIUS XM 5.25% Senior Notes due 2022
400

Ìý
407

Ìý
—

SIRIUS XM 4.25% Senior Notes due 2020
500

Ìý
494

Ìý
—

SIRIUS XM 4.625% Senior Notes due 2023
500

Ìý
495

Ìý
—

SIRIUS XM Credit Facility
460

Ìý
460

Ìý
—

Other subsidiary debt
20

Ìý
20

Ìý
—

Total debt
$
5,541

Ìý
5,555

Ìý
—

Less debt classified as current
Ìý

Ìý
(777
)
Ìý
—

Total long-term debt
Ìý

Ìý
$
4,778

Ìý
—

Schedule of Maturities of Long-term Debt [Table Text Block]
The annual principal maturities of outstanding debt obligations for each of the next five years is as follows (amounts in millions):
2014
$
749

2015
$
677

2016
$
4

2017
$
461

2018
$
—

Ìý