Quarterly report pursuant to Section 13 or 15(d)

Long-Term Debt (Tables)

v3.22.1
Long-Term Debt (Tables)
3 Months Ended
Mar. 31, 2022
Schedule of Long-term Debt Instruments

Outstanding

Carrying value

    

Principal

    

March 31,

    

December 31,

 

March 31, 2022

2022

2021

amounts in millions

Liberty SiriusXM Group

Corporate level notes and loans:

1.375% Cash Convertible Senior Notes due 2023 (1)

$

1,000

 

1,419

1,540

2.125% Exchangeable Senior Debentures due 2048 (1)

388

403

416

2.25% Exchangeable Senior Debentures due 2048 (1)

644

2.75% Exchangeable Senior Debentures due 2049 (1)

586

598

624

0.5% Exchangeable Senior Debentures due 2050 (1)

920

1,305

1,332

Sirius XM Holdings Margin Loan

875

 

875

 

875

Live Nation Margin Loan

250

 

250

Subsidiary notes and loans:

Sirius XM 3.125% Senior Notes due 2026

1,000

990

990

Sirius XM 5.0% Senior Notes due 2027

1,500

1,491

1,491

Sirius XM 4.0% Senior Notes due 2028

2,000

1,980

1,979

Sirius XM 5.50% Senior Notes due 2029

1,250

1,239

1,239

Sirius XM 4.125% Senior Notes due 2030

1,500

1,486

1,485

Sirius XM 3.875% Senior Notes due 2031

1,500

1,484

1,484

Pandora 1.75% Convertible Senior Notes due 2023

193

193

177

Sirius XM Senior Secured Revolving Credit Facility

 

981

 

981

 

Deferred financing costs

(13)

(14)

Total Liberty SiriusXM Group

13,943

14,681

14,262

Braves Group

Subsidiary notes and loans:

Notes and loans

 

678

 

678

 

700

Deferred financing costs

(3)

(3)

Total Braves Group

678

675

697

Formula One Group

Corporate level notes and loans:

1% Cash Convertible Notes due 2023 (1)

386

730

666

Other

68

68

69

Subsidiary notes and loans:

Senior Loan Facility

2,902

2,902

2,902

Deferred financing costs

(5)

(6)

Total Formula One Group

3,356

3,695

3,631

Total debt

$

17,977

 

19,051

 

18,590

Debt classified as current

 

(2,584)

 

(2,891)

Total long-term debt

$

16,467

 

15,699

(1) Measured at fair value

Fair Value of Debt

The fair value, based on quoted market prices of the same instruments but not considered to be active markets (Level 2), of Sirius XM Holdings’ publicly traded debt securities, not reported at fair value, are as follows (amounts in millions):

    

March 31, 2022

 

Sirius XM 3.125% Senior Notes due 2026

$

945

Sirius XM 5.0% Senior Notes due 2027

$

1,500

Sirius XM 4.0% Senior Notes due 2028

$

1,895

Sirius XM 5.50% Senior Notes due 2029

$

1,270

Sirius XM 4.125% Senior Notes due 2030

$

1,403

Sirius XM 3.875% Senior Notes due 2031

$

1,365

Pandora 1.75% Convertible Senior Notes due 2023

$

222

Braves Holdings  
Schedule of Braves Holdings Debt

Carrying value

 

As of March 31, 2022

March 31,

    

December 31,

 

Borrowing

Weighted avg

Maturity

2022

2021

 

Capacity

interest rate

Date

amounts in millions

Operating credit facilities

$

100

120

185

1.65%

various

Ballpark funding

 

Senior secured note

175

178

NA

3.77%

September 2041

Floating rate notes

53

55

NA

1.83%

September 2029

Stadium credit facility

44

46

46

1.73%

July 2026

Mixed-use credit facilities and loans

276

271

307

3.67%

various

Spring training credit facility

30

30

NA

3.65%

December 2030

Total Braves Holdings

$

678

700