0001047469-13-001381.txt : 20130221 0001047469-13-001381.hdr.sgml : 20130221 20130221150210 ACCESSION NUMBER: 0001047469-13-001381 CONFORMED SUBMISSION TYPE: 10-K PUBLIC DOCUMENT COUNT: 14 CONFORMED PERIOD OF REPORT: 20121231 FILED AS OF DATE: 20130221 DATE AS OF CHANGE: 20130221 FILER: COMPANY DATA: COMPANY CONFORMED NAME: DIRECTV CENTRAL INDEX KEY: 0001465112 STANDARD INDUSTRIAL CLASSIFICATION: COMMUNICATION SERVICES, NEC [4899] IRS NUMBER: 264772533 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-34554 FILM NUMBER: 13630031 BUSINESS ADDRESS: STREET 1: 2230 E. IMPERIAL HIGHWAY CITY: EL SEGUNDO STATE: CA ZIP: 90245 BUSINESS PHONE: 310-964-0724 MAIL ADDRESS: STREET 1: 2230 E. IMPERIAL HIGHWAY CITY: EL SEGUNDO STATE: CA ZIP: 90245 10-K 1 a2212949z10-k.htm 10-K

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UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM 10-K

(Mark One)    
ý   ANNUAL REPORT PURSUANT TO SECTION 13 or 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

 

For the fiscal year ended December 31, 2012

OR

o

 

TRANSITION REPORT PURSUANT TO SECTION 13 or 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

 

For the transition period from                             to                            

Commission file number 1-34554

DIRECTV
(Exact name of registrant as specified in its charter)

DELAWARE
(State or other jurisdiction of incorporation or organization)
  26-4772533
(I.R.S. Employer Identification No.)

2230 East Imperial Highway, El Segundo, California
(Address of Principal Executive Offices)

 

90245
(Zip Code)

Registrant's telephone number, including area code: (310) 964-5000

Securities registered pursuant to Section 12(b) of the Act:

Title of Each Class
 
Name of Exchange on Which Registered
Common Stock, $0.01 par value   NASDAQ Global Select Market

Securities registered pursuant to Section 12(g) of the Act:

None

          Indicate by check mark if the registrant is a well-known seasoned issuer, as defined in Rule 405 of the Securities Act. Yes ý    No o

          Indicate by check mark if the registrant is not required to file reports pursuant to Section 13 or Section 15(d) of the Act. Yes o    No ý

          Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days. Yes ý    No o

          Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files). Yes ý    No o

          Indicate by check mark if disclosure of delinquent filers pursuant to Item 405 of Regulation S-K is not contained herein, and will not be contained, to the best of registrant's knowledge, in definitive proxy or information statements incorporated by reference in Part III of this Form 10-K or any amendment to this Form 10-K. ý

          Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See definition of "large accelerated filer," "accelerated filer" and "smaller reporting company" in Rule 12b-2 of the Exchange Act. (Check one):

Large accelerated filer ý   Accelerated filer o   Non-accelerated filer o
(Do not check if a smaller reporting company)
  Smaller reporting company o

          Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act). Yes o    No ý

          As of June 30, 2012, the aggregate market value of the registrant's voting and non-voting common equity held by non-affiliates was $31,057,152,128.

          As of February 13, 2013, the registrant had outstanding 573,118,774 shares of common stock.

          Documents incorporated by reference are as follows:

Document
 
Part and Item Number of Form 10-K into which Incorporated

DIRECTV Notice of Annual Meeting of Stockholders and Proxy Statement for Annual Meeting of Stockholders to be held on May 2, 2013

  Part I, Item 5
Part III, Items 10 through 14


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DIRECTV

TABLE OF CONTENTS

 
  Page No.  

Part I

       

Item 1. Business

    2  

Item 1A. Risk Factors

    20  

Item 1B. Unresolved Staff Comments

    30  

Item 2. Properties

    30  

Item 3. Legal Proceedings

    30  

Item 4. Mine Safety Disclosures

    31  

Part II

       

Item 5. Market for the Registrant's Common Equity, Related Stockholder Matters and Issuer Purchases of Equity Securities

    32  

Item 6. Selected Financial Data

    33  

Item 7. Management's Discussion and Analysis of Financial Condition and Results of Operations

    34  

Item 7A. Quantitative and Qualitative Disclosures About Market Risk

    57  

Item 8. Financial Statements and Supplementary Data

    59  

Report of Independent Registered Public Accounting Firm

    59  

Consolidated Statements of Operations for the Years Ended December 31, 2012, 2011 and 2010

    60  

Consolidated Statements of Comprehensive Income for the Years Ended December 31, 2012, 2011 and 2010

    62  

Consolidated Balance Sheets as of December 31, 2012 and 2011

    63  

Consolidated Statements of Changes in Stockholders' Deficit and Redeemable Noncontrolling Interest for the Years Ended December 31, 2012, 2011 and 2010

    64  

Consolidated Statements of Cash Flows for the Years Ended December 31, 2012, 2011 and 2010

    65  

Notes to the Consolidated Financial Statements

    67  

Item 9. Changes In and Disagreements with Accountants on Accounting and Financial Disclosure

    115  

Item 9A. Controls and Procedures

    115  

Item 9B. Other Information

    117  

Part III

       

Item 10. Directors, Executive Officers and Corporate Governance

    117  

Item 11. Executive Compensation

    117  

Item 12. Security Ownership of Certain Beneficial Owners and Management and Related Stockholder Matters

    117  

Item 13. Certain Relationships and Related Transactions, and Director Independence

    117  

Item 14. Principal Accounting Fees and Services

    117  

Part IV

       

Item 15. Exhibits, Financial Statement Schedules

    117  

Signatures

    124  

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CAUTIONARY STATEMENT FOR PURPOSE OF THE
"SAFE HARBOR" PROVISIONS OF THE PRIVATE SECURITIES
LITIGATION REFORM ACT OF 1995

        This Annual Report on Form 10-K may contain certain statements that we believe are, or may be considered to be, "forward-looking statements" within the meaning of various provisions of the Securities Act of 1933 and of the Securities Exchange Act of 1934. These forward-looking statements generally can be identified by use of statements that include phrases such as we "believe," "expect," "estimate," "anticipate," "intend," "plan," "foresee," "project" or other similar references to future periods. Examples of forward-looking statements include, but are not limited to, statements we make related to our business strategy and regarding our outlook for 2013 financial results, liquidity and capital resources.

        Forward-looking statements are based on our current expectations and assumptions regarding our business, the economy and other future conditions. Because forward-looking statements relate to the future, they are subject to inherent uncertainties, risks and changes in circumstances that are difficult to predict. Our actual results may differ materially from those contemplated by the forward-looking statements. We caution you therefore against relying on any of these forward-looking statements. They are neither statements of historical fact nor guarantees or assurances of future performance. Important factors that could cause actual results to differ materially from those in the forward-looking statements include economic, business, competitive, national or global political, market and regulatory conditions and other risks, each of which is described in more detail in Item 1A-Risk Factors of this Annual Report.

        Any forward-looking statement made by us in this Annual Report on Form 10-K speaks only as of the date on which it is made. Factors or events that could cause our actual results to differ may occur and it is not possible for us to predict them all. We undertake no obligation to publicly update any forward-looking statement, whether as a result of new information, future developments or otherwise, except as required by law.

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PART I

ITEM 1.    BUSINESS

        DIRECTV, which we also refer to as the company, we, or us, is a leading provider of digital television entertainment in the United States and Latin America. We operate two direct-to-home, or DTH, business units: DIRECTV U.S. and DIRECTV Latin America, which are differentiated by their geographic location and are engaged in acquiring, promoting, selling and distributing digital entertainment programming primarily via satellite to residential and commercial subscribers. In addition, we own and operate three regional sports networks, or RSNs, and own a 42% interest in Game Show Network, LLC, or GSN, a television network dedicated to game-related programming and Internet interactive game playing. We account for our investment in GSN using the equity method of accounting.

    DIRECTV U.S.  DIRECTV Holdings LLC and its subsidiaries, or DIRECTV U.S., is the largest provider of DTH digital television services and the second largest provider in the multi-channel video programming distribution, or MVPD, industry in the United States. As of December 31, 2012, DIRECTV U.S. had approximately 20.1 million subscribers.

    DIRECTV Latin America.  DIRECTV Latin America Holdings, Inc. and its subsidiaries, or DIRECTV Latin America, is a leading provider of DTH digital television services throughout Latin America. DIRECTV Latin America is comprised of: PanAmericana, which provides services in Argentina, Chile, Colombia, Ecuador, Puerto Rico, Venezuela and certain other countries in the region, and Sky Brasil Servicos Ltda., or Sky Brasil, which is a 93% owned subsidiary. DIRECTV Latin America also includes our 41% equity method investment in Innova, S. de R.L. de C.V., or Sky Mexico. As of December 31, 2012, PanAmericana had approximately 5.3 million subscribers, Sky Brasil had approximately 5.0 million subscribers and Sky Mexico had approximately 5.2 million subscribers.

    DIRECTV Sports Networks.  DIRECTV Sports Networks LLC and its subsidiaries, or DSN, is comprised primarily of three regional sports television networks based in Seattle, Washington, Denver, Colorado and Pittsburgh, Pennsylvania, each of which operates under the brand name ROOT SPORTS®. The operating results of DSN are reported as part of the "Sports Networks, Eliminations and Other" reporting segment.

        Our vision is to make DIRECTV the best video experience anytime and anywhere for customers in both the United States and Latin America. Our primary strategy for achieving this vision is to combine unique and compelling content along with technological innovation and industry-leading customer service to make DIRECTV the clear choice among consumers throughout the Americas. We believe that our employees' commitment to excellence is integral to the success of this strategy and to the future of our company. We intend to advance a service-oriented culture focused on building lifelong customer relationships while maintaining financial strength and a cost structure that enables profitable growth in the markets we serve.

        The DIRECTV team is committed to our company values: leadership, innovation, decisiveness, agility, teamwork and integrity. We believe sustaining a high level of employee engagement and developing the talent we have among our people cultivates an environment of loyalty and can be directly correlated with increased customer satisfaction, productivity and profitability. Therefore, we have intensified our leadership development programs, and placed an even greater emphasis on diversity and an inclusive workplace culture to foster higher levels of innovation, engagement, cross-functional teamwork and collaboration. We also believe it is important to promote the behaviors that reflect our company values within the communities that we serve through volunteer service projects, employee-driven corporate citizenship programs and meaningful educational initiatives that impact and enrich students' curriculum. In addition, we are supporting sustainable business practices company-wide, to help ensure that our planet is healthy for future generations.

        We believe that the successful execution of our stated operating strategies will create significant shareholder value over the long term by delivering sustainable, profitable growth through brand leadership, innovative excellence, world-class customer service, increased productivity and disciplined expense management, while also returning excess cash to shareholders. DIRECTV's common stock trades on the NASDAQ® Global Select Market, or NASDAQ, under the ticker "DTV". DIRECTV was incorporated in Delaware in 2009.

DIRECTV U.S.

        Through DIRECTV U.S., we provide approximately 20.1 million subscribers with access to hundreds of channels of digital-quality video entertainment and audio programming that we transmit directly to subscribers' homes or businesses via high-powered geosynchronous satellites. We also provide video-on-demand, or

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VOD, by "pushing" top-rated movies onto customers' digital video recorders, or DVRs, for instant viewing, as well as via broadband to our subscribers who have connected their set-top receiver to their broadband service.

        We believe we provide one of the most extensive collections of programming available in the MVPD industry, including over 185 national high-definition, or HD, television channels and five dedicated 3D channels. In addition, we offer VOD service, named DIRECTV CINEMA®, which provides a selection of over 10,000 movie and television programs to our broadband-connected subscribers. As of December 31, 2012, we provided local channel coverage to markets covering over 99% of U.S. television households, 98% in HD.

        We also provide premium professional and collegiate sports programming such as the NFL SUNDAY TICKET® package, which allows subscribers to view the largest selection of NFL games available each Sunday during the regular season. Under our contract with the NFL, we have exclusive rights to provide this service through the 2014 season, including rights to provide related broadband, HD, VOD, interactive and mobile services.

        To subscribe to the DIRECTV® service, subscribers sign up for our service directly through us or our national retailers, independent satellite television retailers or dealers, or regional telephone companies, which we refer to as telcos. We or one of our home service providers or dealers install the receiving equipment. The receiving equipment, which we refer to as a DIRECTV® System, consists of a small receiving satellite dish antenna, one or more digital set-top receivers, which are typically leased to the subscriber, and remote controls. After acquiring and installing a DIRECTV System, subscribers activate the DIRECTV service by contacting us and subscribing to one of our programming packages that are tailored to appeal to specific segments of existing and potential customers.

Key Strengths

    Large Subscriber Base.  We are the largest provider of DTH digital television services and the second largest MVPD provider in the United States, in each case based on the number of subscribers. We believe that our large subscriber base provides us with the opportunity to obtain programming on favorable terms and secure unique and exclusive programming. We also believe that our large subscriber base contributes to achieving other economies of scale in areas such as DIRECTV System equipment purchasing, customer service, installation and repair service, broadcast operations and general and administrative services.

    Leading Brand Name.  We commissioned a study in 2012 which indicated that 96% of consumers in the United States recognized the DIRECTV brand name. We believe the strength of our brand name is an important factor in our ability to attract new subscribers and retain existing subscribers. In addition, we believe our recognized brand name enhances our ability to secure strategic alliances with programmers, distributors and other technology and service providers.

    Substantial Channel Capacity and Programming Content.  As a result of our significant channel capacity, we believe we are able to deliver to our subscribers one of the widest selections of local and national programming available today in the United States, including exclusive programming such as the NFL SUNDAY TICKET package, critically acclaimed original series content such as Damages and Call Me Fitz, international programming, premium channels, regional sports networks and one of the most extensive national HD offerings currently available in the industry. In addition, we believe that we offer one of the most comprehensive collections of sports programming content available both inside and outside of the home, highlighted by the NFL SUNDAY TICKET MAX package.

    High-Quality Digital Picture and Sound, Including HD and 3D Programming.  Our video and audio programming is 100% digitally delivered, providing subscribers with digital-quality video and sound. We believe this compares favorably with cable providers, as DIRECTV's picture quality has consistently been rated higher than cable in J.D. Power and Associates annual survey. In addition, we believe we currently offer one of the nation's most comprehensive selections of HD channels, including a large collection of 1080p HD movies. Also, we currently offer 3D programming on five dedicated channels.

    Sales and Marketing.  We sell DIRECTV through a number of distribution channels, including direct sales, online, telcos, national sales providers, local sales providers and consumer electronics retailers. We believe this variety of distribution alternatives coupled with sophisticated marketing programs has enabled us to continue to grow our subscriber base in an increasingly competitive and mature business.

    Technology.  We devote considerable resources to improving our set-top receivers, including the middleware for our receivers, as well as developing new services. For example in 2012, we introduced the DIRECTV Genie™,

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      a premium high-definition whole-home DVR service with a terabyte hard drive that allows consumers to record five different high-definition programs simultaneously while viewing and controlling content from one DVR to four different locations in the house at the same time with the appropriate equipment. We also enhanced the search and discovery functionality on our high-definition user interface, or HD UI, with a new opt-in feature which recommends personalized programming that is available to watch instantly. In addition, we continue to evolve our platform to meet our subscribers' desire to view quality content where they want it most. For example, in 2012 we expanded the access to our live streaming content offerings on certain devices both inside and outside of the home and increased the programming available for subscribers to watch provided they are connected to the Internet.

    Strong Customer Satisfaction.  We have attained top rankings in customer satisfaction studies for our industry. For example, we have scored higher than the largest national cable providers in customer satisfaction for twelve consecutive years in the American Customer Satisfaction Index™. We believe that providing high-quality customer service is an important element in minimizing subscriber disconnection, or churn, and attracting new subscribers.

    Valuable Orbital Slots and Satellite-Based Technology.  We believe our regulatory authorization to use desirable orbital slots and broadcast spectrum helps sustain our position as one of the leading companies in the MVPD industry. Our satellite-based service provides us with many advantages over ground-based cable television services. We have the ability to distribute hundreds of channels to millions of recipients nationwide with minimal incremental infrastructure cost per additional subscriber. In addition, we have comprehensive coverage to areas with low population density in the United States and the ability to quickly introduce new services to a large number of subscribers.

        We hold licenses in three orbital slots (99° west longitude, or WL, 101° WL, and 103° WL) in the Ka-Band spectrum. The satellites that have been launched into these orbital slots have substantially increased our channel capacity, allowing us to provide one of the most extensive HD channel offerings currently available across the United States. In addition, we hold licenses to broadcast our services from 46 of 96 Ku-band DBS frequencies spread over three orbital slots (101° WL, 110° WL and 119° WL). The FCC is currently considering licensing additional DBS slots for satellites that are sometimes referred to as "tweeners" which would provide CONUS coverage. See "Government Regulation—FCC Regulation Under the Communications Act and Related Acts" and "Risk Factors—The ability to maintain FCC licenses and other regulatory approvals is critical to our business" for more information related to these types of slots and satellites.

    Strong Balance Sheet.  We believe our cash position and borrowing capacity combined with our current and expected future cash generation capability provides us with significant financial flexibility to improve stockholder value. As of December 31, 2012, we have repurchased approximately $25.7 billion of our common stock over the last seven years, retiring approximately 60% of our then-outstanding shares, and have announced a new $4 billion share repurchase program.

Business Strategy

        Our vision is to provide customers with the best video experience in the United States both inside and outside of the home by offering subscribers unique, differentiated and compelling programming through leadership in content, technology and customer service. Due to the rising cost of programming as well as higher costs to acquire new subscribers in an increasingly mature and competitive industry, it is even more important to distinguish and elevate the DIRECTV experience with a focus on delighting our new and existing customers. To fulfill our goals in a profitable and sustainable way we developed a strategy to (1) transform the customer service experience, (2) advance the entertainment experience both inside and outside of the home and (3) strike a balance between growth and profitability.

    Transform the Customer Service Experience.  The greatest opportunity we have to create value is to delight and earn the enthusiastic loyalty of our approximately 20.1 million subscribers in the United States. We have implemented systems to measure and monitor our customer feedback regularly to continuously improve customer satisfaction. One way we do so is by measuring our Net Promoter Score, or NPS, which is a standard metric that surveys our customers' willingness to recommend DIRECTV to a friend or family member by sorting them into promoters, neutrals and detractors. Our goal is to make the customer experience a hallmark of the DIRECTV brand, drive higher loyalty levels and meaningfully differentiate DIRECTV from competitors. Our strategy involves (1) identifying improvement opportunities, (2) increasing our investment in existing

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      customers, (3) simplifying the sales process and (4) strengthening our bundled offers and capabilities.

      Identify Improvement Opportunities.  We believe developing a system for discovering improvement opportunities in products, policies and procedures is strategically important. In 2012, we built a learning lab where we have a dedicated team focused on surfacing and resolving issues that cause negative experiences and testing ideas that could create more satisfaction for our customers through all service interactions including the initial installation as well as any subsequent communications, service or upgrade transactions. We are testing and refining solutions for customers that heighten the focus on resolving problems the first time they contact us, minimizing hand-offs, valuing the customer's time and providing in-home education on our products and services. In 2013, we will continue to empower our front line employees to go above and beyond our customers' expectations at every single point of interaction as well as identify new ways to improve customers' satisfaction while simultaneously improving productivity by reducing service calls.

      Increase Our Investment in Existing Customers.  Investing in our valuable customers is strategically important. For this reason, in 2013, we expect to launch a transparent upgrade program, which will provide additional value to our existing customers, including the ability to receive upgrades to our latest product features and functionality every two years. We also believe it is critical to re-affirm our appreciation for our most tenured loyalists and plan on continuing to recognize and reward these subscribers through segmented retention offers. Transitioning our investment away from providing new customers with the best deals to thoughtful economic investments in our existing subscriber base is expected to yield even higher levels of customer satisfaction and financial returns.

      Simplify the Sales Process.  Making a great first impression is important, as it sets the tone for the relationship interactions that follow. Therefore, we have decided to streamline the sales and on-boarding process through the elimination of the programming rebate redemption process. By simplifying the sales process with this new instant rebate, we have not only improved the customer experience, we have also reduced the complexity for our front-line sales and service workforce. We have plans to launch a new simplified bill as well as make it easier and more intuitive for customers to manage their account and understand features of the DIRECTV service on directv.com. We expect these solutions to reduce customer call volumes to our call centers.

      Strengthen Our Bundled Offers and Capabilities.  Bundled video, telephone and broadband services continue to grow in popularity as consumers look for ways to reduce costs in a challenging economy. To better serve the segment of consumers who are attracted to the convenience and value of bundle offerings, we have agreements in place with most of the major telco companies nationwide to offer digital subscriber line, or DSL, and fiber bundles which include the DIRECTV service. In 2012, we completed the implementation of an integrated broadband ordering tool that enables us to offer DSL and fiber bundles through a more seamless process. We believe it is important that we continue to work closely with broadband providers to further streamline the bundle process, offer broadband services with higher speeds and improve joint marketing efforts so that a greater percentage of our customers can enjoy the benefits of a bundle.

    Advance the Entertainment Experience Both Inside and Outside of the Home.  We believe it is critical that we continue to extend our brand leadership as the premium pay-TV provider in the marketplace by providing the best and most compelling video experience both inside and outside of the home. To fulfill our goals, we have developed a robust product roadmap to advance the entertainment experience across multiple platforms by (1) enhancing our Whole-Home DVR and time-shifting capabilities, (2) expanding DIRECTV Everywhere capabilities and (3) delivering a seamless best-in-class user interface that unifies search and discovery across multiple screens.

    Enhance Whole-Home DVR and Time-Shifting Capabilities.  We believe that consumers are looking for more features and functionality in their TV viewing, particularly in terms of place and time shifting. For this reason, in 2012 we introduced the DIRECTV Genie, a premium HD whole-home DVR service with a terabyte hard drive that allows consumers to record five different high-definition programs simultaneously without any conflicts. This advanced set-top receiver includes sophisticated, intuitive search and discovery functionality with

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        an opt-in feature that will recommend personalized programming available to watch instantly. The DIRECTV Genie is RVU capable and allows multiple screens within the home to connect to one central set-top receiver which enables the television viewer to watch live or recorded programs on every TV in the home without the need for an additional DVR receiver at every location. In 2013, we expect to introduce the next generation of this advanced receiver with faster processing power, new interactive features and greater functionality at a reduced cost. In addition, we plan on expanding our time and place shifting capabilities with new services as well as extending our pay-per-view and VOD movie offerings.

      Connect Customer HD-DVRs to the Internet.  Connecting our customers' receivers to broadband service is strategically important because it greatly enhances the video experience while facilitating access of DIRECTV™ programming services on mobile devices. For example, a connected receiver provides our customers with the ability to (1) access over 10,000 additional movies and shows including the ability to search and watch web-based videos on YouTube®, (2) stream live authorized DIRECTV programming on their iPad®, iPhone® and Android phone anywhere both inside and outside of their home, (3) engage interactive "TV Apps" that provide real-time information such as favorite sports teams, local traffic or weather reports as well as a connection that enables customers to interact with friends on their Twitter® or Facebook® account via their television or portable devices and (4) use the Pandora® audio service. In the future, we expect to expand the recent programming selection available through broadband connected receivers, with a focus on quality, as well as provide access to more applications and features.

      Expand DIRECTV Everywhere capabilities.  Enhancing the accessibility of subscription TV content on any device inside and outside of the home is strategically important because it augments our customers' video experiences while meeting their desire to view quality content when and where they want it most. DIRECTV Everywhere offers our customers video streaming capabilities of authorized cable and broadcast network content, as well as the ability to search and record all of their favorite shows whenever they are connected to the Internet. Today, customers with premium subscriptions have the ability to stream content through directv.com as well as through offerings such as HBO GO®, MAX GO®, Showtime Anytime®, Starz Play® and Encore Play™. In addition, subscribers can access pay-per-view and VOD programming through their laptop, tablet, smartphone or computer. During 2013, we expect to expand the video streaming capabilities of live and recorded content offerings across multiple screens and applications. We also expect to introduce the ability to stream content stored on our customers HD-DVR to mobile devices inside and outside of the home.

      Deliver a Seamless Best-in-Class User Interface that Unifies Search and Discovery Across Multiple Screens.  Providing our customers with a consistent user experience as they access their subscription television content on any device inside or outside of the home is strategically important. Therefore in 2012, we expanded the availability of our new HD UI to the majority of our customers leasing HD products as well as developed applications with a similar look and feel for mobile devices and tablets. This new HD UI is significantly faster than our previous UI and is displayed in a crisp, easy-to-read HD format using more graphical poster art, providing our customers with a friendly and fun way to navigate through hundreds of channels. In addition, the HD UI incorporates our industry-leading Smart Search capabilities. In 2013, we plan to continue to unify the way our subscribers navigate content across three distinct platforms of the DIRECTV Entertainment Experience—large screen, dual screen and portable screen—to drive deeper engagement with the customer. We expect to launch faster channel navigation, interactive TV applications with HD clarity, as well as improved discovery and enhanced personalization with social and editorial curation. In addition, we plan to introduce Voice Search, which will enable subscribers to use natural language voice interaction to navigate the DIRECTV experience. We are also developing applications for mobile devices and tablets to increase the features and functionalities available to our customers both inside and outside of the home.

    Strike a Balance Between Growth and Profitability.  Maintaining a strong financial foundation is vital to achieving our plans for profitable growth. To fulfill our strategic objectives, we believe we must balance top line sales and bottom line profitability. Our strategy involves (1) growing revenue streams,

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      (2) the optimization of acquisition and retention spending and (3) enhancing productivity and cost containment.

      Grow Revenue Streams.  Due to the rising cost of programming in the maturing pay television marketplace, driving top line sales has become increasingly critical to maintaining strong profit margins. In order to achieve this objective we must grow revenues through (1) responsible pricing and (2) maximizing ancillary and non-residential revenue opportunities.

      Responsible Pricing.  We believe our ability to generate the industry's highest average revenue per unit, or ARPU, demonstrates the value our best-in-class video experience delivers to our customers. It is imperative that we maintain appropriate price increases on our differentiated service offerings, while simultaneously expanding the value proposition by advancing the customer service and entertainment experiences. It is also critical that we remain disciplined in the management of subscriber credits and promotions. For example, in 2012 we introduced an Advanced Receiver Service fee on our customers' bills eliminating "Free HD for Life" as well as a lower cost programming "Entertainment" package to better fit the needs of our more value conscious consumers. These actions have reduced customer credits and are expected to increase ARPU over the coming years.

      Maximize Ancillary and Non-Residential Revenues.  We believe we have an opportunity to drive top line growth through ancillary and non-residential revenue opportunities, including DIRECTV CINEMA, addressable and local advertising and the commercial property market. In 2013, we expect to continue generating incremental VOD revenues by "pushing" top-rated movies, including many available on the same day of the DVD release, onto customers DVRs for instant viewing and by expanding the video library of our enhanced movie service called DIRECTV CINEMA. We are also looking to significantly increase our advertising revenues over the coming years with a new technology that provides us the capability to insert ads into individual DVRs enabling advertisers to target customers in local regions and eventually in the individual home. In addition, we believe commercial properties represent another incremental revenue opportunity for DIRECTV. For example, although historically we have competed effectively in the higher-end hotel market, we expect that in the coming years, hotels will be upgrading their television service from standard-definition to HD which will present us with opportunities for growth. In the future, we will introduce new features, applications and package enhancements that will provide an integrated residential television experience for our hotel customers to offer to their patrons. We also currently have low market share in the private businesses and smaller bars and restaurants segments and we intend to grow our share in these markets by developing an integrated bundling solution, as well as from improved management, targeting, billing, pricing and packaging.

      Optimize Acquisition and Retention Spending.  Although we continue to invest in new subscribers with a disciplined focus on driving value through quality, attaining strong financial returns on new subscribers has been increasingly difficult in this maturing industry where programmers are seeking even higher rates for their content. Therefore, in 2012 we transitioned to a new customer acquisition strategy that reduced our promotional discounts for new customers and shifted our investment towards increasing our upgrade efforts for tenured and high-value existing subscribers, which yield stronger returns. Our revised upgrade policy is expected to improve customer satisfaction, reduce churn and increase profitability by driving greater penetration of advanced services such as DIRECTV Genie and the Connected Home.

      Enhance Productivity and Manage Costs.  Improving our productivity is a critical element of our goal to maintain strong margins particularly given rising programming costs and the competitive nature of our industry. In particular, we plan to focus our efforts on (1) effectively managing our programming costs and (2) capturing enterprise-wide productivity improvements.

      Effectively Manage Programming Cost Growth.  Programming costs are DIRECTV's largest expense and as a result, we must manage these costs as effectively as possible particularly considering that we expect programming costs to grow faster than ARPU primarily due to higher sports costs (including the NFL SUNDAY TICKET) and higher retransmission fees for the carriage of local

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          channels. In addition, due to competitive pressures, there is a risk that we will be unable to pass such increases through to our subscribers. Therefore, we must minimize the cost increases by leveraging our size, growth and attractive subscriber demographics to attain competitive terms and conditions. We must also work to closely align a channel's value with the costs we pay and obtain rights for value-added video services, such as mobile and streaming rights, in every negotiation. Another way we expect to reduce the rate of cost growth is by packaging channels to better align the programming that our customers want to watch with what they are willing to pay for and by securing greater flexibility regarding tiering and packaging of content and/or channels. In addition, we may discontinue carrying less popular channels if we are unable to negotiate fair terms and conditions.

        Capture Enterprise-Wide Productivity Improvements.  Our objective is to deliver the best video experience at the lowest possible cost. Our goal is to manage our costs and make strategic investments that will deliver future benefits, preserve a sustainable cost structure and drive efficiency. In particular, we are looking to capture productivity improvements which will not only reduce costs, but also improve call center performance, field operations such as installations and repairs, retention and customer satisfaction. Our strategy also includes improving the reliability of our set-top receivers and increasing the effectiveness of our customers' self-care options to reduce call volumes and truck rolls. We will strive to get it "right the first time" especially during the critical first 90 days of a customer's lifecycle with improved work order accuracy and installation. We are utilizing technology to optimize our technicians' installation and service routes to help our front-line be more effective and efficient. We are also investing in technology called Active Decisioning, which increases the information available to our agents and helps them effectively and profitably close deals faster.

Infrastructure

        Satellites.    We currently have a fleet of twelve geosynchronous satellites, including eleven owned satellites and one leased satellite. We have seven Ku-Band satellites at the following orbital locations: 101° WL (three), 110° WL (one), 119° WL (one), 95° WL (one-leased) and one spare satellite that is currently being leased by a third party and is operating at 56° EL. We also have five Ka-Band satellites at our 99° WL (two) and 103° WL (three) orbital locations.

        We have entered into contracts for the construction and launch of two new satellites: D14, which we expect to launch in the first quarter of 2014, and D15, which we expect to launch in the fourth quarter of 2014. D14 and D15 are expected to provide additional HD, replacement and backup capacity.

        Satellite Risk Management.    We may purchase in-orbit and launch insurance to mitigate the potential financial impact of in-orbit and satellite launch failures unless the premium costs are considered to be uneconomical relative to the risk of satellite failure. The insurance generally covers the unamortized book value of covered satellites. We do not insure against lost revenues in the event of a total or partial loss of the capacity of a satellite. We generally rely on in-orbit spare satellites and excess transponder capacity at key orbital slots to mitigate the impact a satellite failure could have on our ability to provide service. However, programming continuity cannot be assured in all instances or in the event of multiple satellite losses. Launch insurance typically covers the time frame from ignition of the launch vehicle through separation of the satellite from the launch vehicle. In the past, we have launched satellites without insurance. As of December 31, 2012, the net book value of DIRECTV U.S.' in-orbit satellites was $1,344 million, all of which was uninsured.

        Digital Broadcast Centers.    To gather programming content, ensure its digital quality, and transmit content to our satellites, we have two digital broadcast centers, located in Castle Rock, Colorado and Los Angeles, California and six uplink facilities. These broadcast centers and uplink facilities provide our national and local standard-definition and HD programming to our customers. We receive programming at the broadcast centers and uplink facilities from content providers via satellite, fiber optic cable and/or special tape. Most satellite-delivered programming is then digitized, encoded and transmitted to our satellites. We designed each broadcast center and uplink facility with redundant systems to minimize service interruptions.

        Installation Network.    The DIRECTV Home Service Provider, or HSP, network performs customer installation, upgrade, and service call work for us. From 2008 to 2010, we completed several transactions that brought a significant portion of this HSP network activity in-house. We now directly employ over 4,000

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technicians. We also utilize an additional 10,000 technicians from four major outsourced companies who have assigned territories and a number of smaller subcontractors around the United States. The combined workforce completed approximately 91% of all in-home visits in 2012. We set quality standards for all installation, upgrade, and service work, perform quality control procedures against those standards, manage network inventory levels, and monitor overall network performance for nearly all of the installation and service network.

        Customer Service Centers.    As of December 31, 2012, we utilized 50 customer service centers employing over 18,000 customer service representatives. Most of these customer service centers are operated by Convergys Customer Management Group, Inc., Alorica, Inc., Sitel Operating Corporation, N.E.W. Customer Service Companies, Inc., VXI Global Solutions, Inc. and Teleperformance. We currently own and operate six customer service centers located in: Boise, Idaho; Tulsa, Oklahoma; Huntsville, Alabama; Missoula, Montana; Huntington, West Virginia; and Denver, Colorado that employ approximately 4,000 customer service representatives. Potential and existing subscribers can call a single telephone number 24 hours a day, seven days a week, to request assistance for hardware, programming, installation, technical and other support. We continue to increase the functionality of telephone-based and web-based self-care features in order to better manage customer service costs and improve service levels.

Competition

        We face substantial competition in the MVPD industry and from emerging digital media distribution providers. Our competition includes companies that offer video, audio, interactive programming, telephony, data and other entertainment services, such as cable television, other DTH companies, telcos, wireless companies and companies that are developing new technologies, including online video distributors, or OVDs. Many of our competitors have access to substantially greater financial and marketing resources. We believe our brand, the quality and variety of video, audio and interactive programming, quality of picture, access to service, availability of HD and DVR services, customer service and price are the key elements for attaining and retaining subscribers. Our approximately 20.1 million subscribers represent approximately 20% of MVPD subscribers at December 31, 2012.

    Cable Television.  We encounter substantial competition in the MVPD industry from cable television companies. According to the National Cable & Telecommunications Association, 131.2 million U.S. housing units are passed by cable, representing 99% of total U.S. homes. Most cable television operators have a large, established customer base, and some have significant investments in companies that provide programming content. Approximately 100 million households subscribe to an MVPD service and approximately 57% of MVPD subscribers receive their programming from a cable operator. In addition, most cable providers have completed network upgrades that allow for enhanced service offerings such as digital cable, HD channels, broadband Internet access and telephony services. Cable companies bundle these services, offering discounts and providing one bill to the consumer. In addition, Verizon Wireless has entered into a joint marketing agreement with Comcast, Time Warner Cable, Cox and Brighthouse Networks to sell their products and services in storefronts and over the Internet. These promotions are widely available across the United States.

    Telephone Companies.  Several telcos have upgraded a significant portion of their infrastructure by replacing their older, copper wire telephone lines with high-speed fiber optic lines. These fiber lines provide the telcos with significantly greater capacity enabling them to offer new and enhanced services, such as broadband Internet access at much greater speeds and digital-quality video. For example, Verizon announced that at the end of 2012, it had the capability to serve approximately 17.6 million homes with fiber optic lines with the goal of having the capability to serve 18 million homes. In addition, as of year-end 2012, AT&T had deployed fiber optic lines with the capability to serve approximately 30 million homes. In November 2012, AT&T announced plans to extend their fiber optic line capability to serve 33 million homes by year end 2015. As of year-end 2012, Verizon had approximately 4.7 million video subscribers and AT&T had approximately 4.5 million video subscribers, representing approximately 9% of MVPD subscribers. Similar to the cable companies, the telcos expect to offer their customers multiple services at a discount on one bill.

    Other Direct Broadcast Satellite and Direct-To-Home Satellite System Operators.  We also compete with DISH Network Corporation, or DISH, which had approximately 14 million subscribers at the end of 2012, representing approximately 14% of MVPD subscribers. On April 26, 2011, DISH Network acquired certain assets of Blockbuster. Currently, DISH uses Blockbuster® and the Blockbuster@HomeTM service to offer video content through multiple distribution channels such as mail and through streaming

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      services via the Internet. On September 27, 2012, DISH launched a high-speed satellite Internet service called dishNETTM. In addition to marketing and selling dishNET services on a stand-alone basis, they bundle dishNET services with their DISH branded pay-TV service to offer customers a single bill, payment and customer service option, which includes a bundle discount. In addition, on December 11, 2012 the FCC granted DISH full terrestrial use of its AWS-4 spectrum and established build-out requirements. Other domestic and foreign satellite operators also have proposed to offer DTH satellite service to U.S. customers using U.S.-licensed satellite frequencies or foreign-licensed frequencies that have the ability of covering the United States.

    Video via the Internet.  With the large increase in the number of consumers with broadband service, a significant amount of video content has become available on the Internet for users to download and view on their personal computers, televisions and other devices. For example, Apple offers thousands of television shows and movies for rental, some in high-definition, on the online iTunes® Store and with their iCloud® service, all of a user's content could be shared wirelessly across Apple devices. In addition, Hulu® is an online video distributor which provides free movies and TV shows from 430 content providers including FOX, NBC Universal, ABC, Lionsgate, MGM, Univision, National Geographic, Paramount, A&E Television Networks, Sony Pictures and Warner Bros. This content can be accessed on demand through its website and those of its partners: AOL, IMDb, MSN, Yahoo! and TV Guide. Hulu also provides a monthly streaming subscription service to more than 3 million paying Hulu Plus subscribers that offers current and past season shows from ABC, Comedy Central, The CW, FOX, NBC, MTV and Univision. In addition, Netflix and Amazon through Amazon Prime® offer Subscription Video on Demand (SVOD) services for a flat monthly fee. For example, Netflix has a library of thousands of movies and TV shows available for streaming to its over 33 million subscribers in the U.S., Canada, Latin America and the United Kingdom. Verizon has announced plans to offer an SVOD service through a partnership with Redbox and expects to launch Redbox InstantTM in 2013. Additionally, several companies, such as Vudu, Google through Google Play and Amazon through Amazon Instant Video sell or rent movies or other shows via Internet download or streaming media. There are also several similar initiatives by companies such as Intel, Microsoft and Sony to make it easier to view Internet-based video on television and personal computer screens. Many television models, Blu-Ray Disc® players and gaming consoles like Nintendo's Wii®, Sony's PS3® and Microsoft's Xbox® can be directly connected to the Internet and have the capacity to stream video to a television.

    Mobile Video.  Many companies are beginning to offer mobile video applications due to consumers' increasing desire to view content outside of the home. For example, AT&T offers AT&T mobile TV™ which provides users the ability to watch full-length TV shows from ABC, CBS, Disney, ESPN, Fox, MTV and other programmers on their cell phones. AT&T also introduced the AT&T U-verse Mobile application providing iPhone customers the ability to download and watch authorized content from their DVRs on the go. Verizon Wireless offers Viewdini® which aggregates content from several providers into one location. In addition, Verizon offers FiOS Flex View which provides FiOS customers access to download and stream OnDemand and rented VOD titles for viewing inside and outside of the home. Comcast introduced the XFINITY™ TV Application which also allows customers to download and stream OnDemand video content to laptops, tablets and mobile devices. Other cable and satellite distributors are also focused on distributing their content to their customers' mobile devices. For example, Time Warner Cable, Cablevision and Cox allow streaming of live linear TV inside the home via iPad applications. Other mobile applications and services are also becoming available.

    Small and Rural Telephone Companies and Google Fiber.  Other telephone companies are also finding ways to deliver video programming services over their wireline facilities or in a bundle with other MVPD providers. For example, DISH Network has agreements with Embarq, Windstream, TDS, Frontier, and ViaSat to bundle their individual DSL or satellite broadband (in the case of ViaSat), and telephony services with DISH Network's video service. Google has also deployed its own fiber network in Kansas City and offers the highest broadband speeds in the country. Google has announced that it plans to expand its fiber service to more cities during 2013.

    Local Broadcasters.  Most areas of the United States can receive traditional terrestrial television broadcasts of numerous broadcast channels, with more stations available in larger markets. These include full-power broadcasters transmitting digital signals as well as low-power broadcasters transmitting in analog. Broadcasters provide local, network and syndicated programming. Viewers can receive this programming free of charge using off-air antennas,

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      although broadcast signals typically cannot reach the entire local market to which the broadcaster is assigned. Full-power broadcasters transmitting in digital can offer both programming in high-definition and multiple programming services per channel.

DIRECTV LATIN AMERICA

        DIRECTV Latin America is a leading provider of DTH digital television services throughout Latin America. DIRECTV Latin America provides a wide selection of local and international digital-quality video entertainment and audio programming under the DIRECTV and SKY brands to approximately 5.3 million subscribers in PanAmericana and approximately 5.0 million subscribers in Brazil. Our affiliate, Sky Mexico, has approximately 5.2 million subscribers. Including Sky Mexico, DIRECTV and SKY provide service to more than 15.5 million subscribers throughout the region.

        We own 100% of PanAmericana, which provides services in Argentina, Chile, Colombia, Ecuador, Puerto Rico, Venezuela and certain other countries in the region, 93% of Sky Brasil, which operates in Brazil, and 41% of Sky Mexico, which operates in Mexico, certain countries in Central America and the Dominican Republic. Globo Comunicações e Participações S.A., or Globo, owns the other 7% of Sky Brasil and Grupo Televisa, S.A., or Televisa, owns the other 59% of Sky Mexico. The results of PanAmericana and Sky Brasil are consolidated in our results, and we account for our interest in Sky Mexico under the equity method of accounting.

        We believe we provide one of the most extensive collections of programming available in the Latin America pay television market, including HD sports video content and the most innovative interactive technology across the region. In addition, we have the unique ability to sell superior offerings of our differentiated products and services on a continent-wide basis at a lower cost compared to our competition. As of December 31, 2012, we provided service to 24% of pay television households in PanAmericana, 31% of pay television households in Brazil and 37% of pay television households in Mexico.

        To subscribe to the DIRECTV or SKY service, customers sign up for our video service directly through us or our regional retailers, or independent satellite television retailers or dealers. We tailor our offers and products to profitably and effectively provide our service to various customer segments across the region that have the need and desire for our brand and service. We offer post-paid products and services to customers who meet our standard requirements. For these customers, dealers or one of our home service providers install the receiving equipment. The receiving equipment consists of a small receiving satellite dish antenna, one or more digital set-top receivers, which are typically leased to the subscriber, and remote controls. In addition, we offer prepaid service for customers that desire payment and commitment flexibility. These customers may purchase a standard-definition receiver and antenna at a regional retailer and pre-pay their DIRECTV service typically through one or more means, such as the purchase of a rechargeable card that they can acquire at a retailer or local kiosk. The video service will automatically disconnect once the credit on the card runs out.

Key Strengths

    Large Subscriber Base and Pan-Regional Scale of Service.  On a regional basis, we are a leading provider of pay television services in Latin America. We believe that our large subscriber base, scale and relationship with DIRECTV U.S. provides us with the opportunity to obtain programming on favorable terms and secure unique content and features. We also believe that our large subscriber base contributes to achieving economies of scale in areas such as equipment and technology purchasing, customer service and broadcast operations.

    Leading Brands.   DIRECTV and SKY brands in Latin America are positioned as the leader in digital video entertainment, offering the best quality content, technology and customer service available. We believe the strength of our brands is an important factor in our ability to attract and retain subscribers. In addition, we believe our recognized brand name enhances our ability to secure strategic alliances with programmers and distributors.

    Relationship with DIRECTV U.S.  We believe that our ability to leverage the advanced technologies and best practices developed and followed by DIRECTV U.S. enables us to take advantage of its economies of scale, intellectual property and financial flexibility. Our platforms have set-top receiver specifications and middleware technologies that are aligned with DIRECTV U.S., which allows for the launch of new technologies, innovative features and services in advance of our competitors in the region and at a lower cost.

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    High-Quality Digital Picture and Sound.  Our video and audio programming is 100% digitally delivered, providing subscribers with digital-quality video and audio, as well as interactive features and functionality. We believe this compares favorably with many cable providers in Latin America, which typically continue to broadcast to a large percentage of their subscribers in analog format.

    Unique and Differentiated Content.  As a result of our leading brands and leveraging our greater scale, we believe we are able to offer unique and compelling content to subscribers. For example, in PanAmericana we delivered extensive coverage of the 2012 London Olympics by offering multiple live and simulcast feeds, all of which were in HD. We also offered live broadcasts of most of the events that included a Latin American athlete. In addition, we were the only provider of television services where subscribers could see all of the UEFA 2012 Euro Cup games. Similarly, Sky Brasil, PanAmericana and Sky Mexico have licensed exclusive and non-exclusive rights through the 2015 season to the Spanish soccer league, which in most countries is the second most popular soccer league behind the local country leagues.

    Sales and Marketing.  We sell DIRECTV and SKY through a number of distribution channels, including direct sales, online, regional sales providers and local sales providers. We believe this variety of distribution alternatives coupled with segmented marketing programs, have enabled us to continue to grow our subscriber base and benefit from favorable market conditions by extending our leadership with advanced products as well as by continuing to penetrate the middle market segment with tailored package offerings.

    Strong Customer Satisfaction.  We have attained top rankings in customer satisfaction studies for the pay television industry across the region. For example in 2012, the Brazilian equivalent to J.D. Power, Consumidor Moderno, awarded SKY "Best of the Best" in the Customer Service Category as well as Company of the Year. SKY won these accolades by both the popular vote and technical criteria. For the second consecutive year, DIRECTV was recognized in Chile with the "Calidad del Servicio ProCalidad 2012" award in the pay-TV category. DIRECTV Chile also received the "2012 Consumer Loyalty NPS" (Net Promoter Score) award. In addition, our regional call center operation in Colombia received two first place awards for "Best Social Responsibility" and "Best HR Administration." We believe that providing high-quality customer service is an important element in minimizing churn and attracting new subscribers. In addition, our ability to implement best practices in customer service from across the region, and from DIRECTV U.S., allows us to adapt quickly and efficiently to changes that we face.

Business Strategy

        Our vision is to provide customers across Latin America with the best video experience by leveraging DIRECTV Latin America's key strengths while continuing to distinguish our service from our competitors by offering subscribers unique, differentiated and compelling programming through leadership in content, technology, customer service and targeted marketing strategies. Our strategy involves (1) profitably expanding our leadership position across all demographic segments, (2) enhancing productivity and effectively managing costs and (3) leveraging DIRECTV Latin America's brands and customer base to introduce complementary services.

    Profitably Expand Leadership Position Across All Demographic Segments.  To achieve our goals, we believe we have to profitably expand our leadership position in several key areas including (1) strengthening our leadership position in the higher end markets with a particular focus on DVR and HD excellence, (2) leveraging scale to profitably serve the middle market segment while expanding penetration as well as (3) establishing Colombia as the third major country in PanAmericana.

    Increase DVR Penetration.  We believe that consumers at the higher end of the market are looking for more features and functionality in their TV viewing, particularly in terms of place and time shifting. Therefore in 2012, we obtained high-quality DVRs that are more functional and less costly than those of our competitors to distinguish our service from the competition. In most countries in which we operate, our competitors either do not offer DVRs or make them available on terms that have significantly limited their penetration. In 2013, we plan to expand our time and place shifting capabilities in Latin America with new products and services by continuing to leverage the product roadmap at DIRECTV U.S. For example, we plan on reinforcing our product leadership at the higher end of the market in PanAmericana by

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        introducing an advanced whole-home DVR. As of December 31, 2012, approximately 28% of our subscribers had advanced products.

      Strengthen Our Position in HD.  Although we expect that the HD content offerings will be more limited in Latin America than in the United States for the next several years and the uptake of HD services in Latin America will be slower than in the United States, we believe that continuing to expand our HD offerings provides us with a significant competitive advantage across market segments that are expected to experience continued growth. As of December 31, 2012, Sky Brasil offered its customers 47 HD channels and PanAmericana offered its customers on average 17 HD channels. We believe that we currently have a leading HD channel offering in Brazil and are looking to establish leadership in PanAmericana by increasing the capacity of our current satellite servicing the region by completing the migration of our business in Puerto Rico to the U.S. satellite platform and upgrading our broadcast ground facilities during 2013. We also expect to extend our advantage with the anticipated launch of our new leased satellites starting in 2014.

      Profitably Increase Penetration in Middle Market Segment.  Based on generally low pay television penetration rates and favorable economic and demographic trends in the region, we believe the rapidly growing middle market continues to represent a significant opportunity for growth. In 2012, we continued to tailor our offers and products to profitably and effectively provide our service to value-focused customers who had the need and desire for affordable access to our brands and service. Typically, these offers and products are similar to our traditional ones except they allow customers access to significantly fewer channels and limit the number of set-top receivers customers may have in their homes. Our SKY service in Brazil offers these products and services to customers who meet our standard requirements on a traditional post-paid basis. In PanAmericana, we offer our DIRECTV service on a pre-paid basis to the middle market segment. Pre-paid subscribers purchase a set-top receiver and antenna at a regional retailer and pre-pay their DIRECTV service through various means, such as purchasing a rechargeable card that they can acquire at a retailer or local kiosk. The video service automatically disconnects once the credit on the card runs out. Looking ahead at 2013 and beyond, we plan on continuing to serve the value-focused customers in Brazil and PanAmericana through targeted marketing and distribution strategies, as well as leveraging our relationship with DIRECTV U.S. to obtain lower cost set-top receivers.

      Establish Colombia as the Third Major Country in PanAmericana.  In terms of total households, Colombia is the largest country in which we operate in PanAmericana. Due to continuous improvements in the business operating environment, favorable economic trends and relatively low pay television penetration rates in the marketplace, we believe Colombia presents a significant growth opportunity. In 2012, we established a goal to make Colombia our third largest market. To fulfill our objective we introduced tailored offers to profitably provide our service to higher-end markets as well as value-focused customers. We also expanded our dealer network and acquired programming rights for the Colombia soccer league. We plan on continuing to profitably expand our position in Colombia during 2013 through targeted marketing and distribution strategies that increase awareness and association with Colombian sports.

    Enhance Productivity and Manage Costs.  Improving productivity and identifying efficiencies are critical to our goal to maintain strong margins particularly given the rapid growth of our subscriber base and regional scale of our operations. In particular, we plan to focus our efforts on productivity initiatives aimed at improving overall customer service levels. For example, we expect to utilize technology to implement process improvements in our call centers and other areas, such as upgrading our billing systems and informational technology systems. During 2012, we began investing in new customer relationship management systems and plan to continue centralizing our network management structure in 2013 to ensure superior service levels across customer segments while simultaneously improving productivity. We will also continue leveraging cost containment best practices from DIRECTV U.S. We expect initiatives like these to enhance operations across the various countries and regions where we offer service under the DIRECTV and SKY brands.

    Leverage Brand and Customer Base to Introduce Complementary Services.  To expand our leadership in particular markets we are testing potential growth opportunities that could optimize the profitability of our

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      subscriber base, minimize churn and extend the value of our brand. Our strategy involves (1) offering a fixed wireless broadband service and (2) extending our presence by establishing an over-the-top, or OTT, distribution platform.

      Offer Fixed Wireless Broadband.  Connecting our customers to a broadband service is strategically important because we expect it will minimize churn and attract new subscribers. We are focused on selectively pursuing opportunities to acquire spectrum and expand a technologically robust and profitable fixed wireless broadband service in areas where our existing subscriber base has a weak competitive wireline offering or access to broadband is limited. We currently provide fixed wireless service in Mendoza, Argentina and Brasilia, Brazil. The fixed wireless service offered benefits to our core business through increased pay-TV sales, improved customer satisfaction from bundled subscribers as well as lowered monthly churn. We plan to expand our fixed wireless service to several cities in Brazil.

      Establish OTT Distribution Platform.  Extending our premium video experience to our customers who desire content that can be accessed on demand is important as the penetration of pay television households with Internet access increases across the region. Given the strength of our brands, the scale of our subscriber base and our strong relationships with programmers and distributors, we began to complement our traditional video subscription service by establishing a premium OTT distribution platform in the region. Since late 2011, we have offered SKY Online, which enables customers to download and stream OnDemand video content to laptops, tablets and mobile devices. SKY Online also offers an option for Subscription Video on Demand service (SVOD) for a flat monthly fee.

Infrastructure

        We currently provide services in PanAmericana and Brazil from leased transponders on two geosynchronous satellites. Sky Mexico provides its services from leased transponders on a separate satellite. In addition, we lease a backup satellite that serves Sky Brasil and Sky Mexico.

        We have entered into a contract for the lease of two additional satellites for PanAmericana: ISDLA-1, which we expect to be launched in the fourth quarter of 2014 and ISDLA-2, which we expect to be launched in the fourth quarter of 2015. ISDLA-1 will become the primary satellite for PanAmericana with a substantial increase in channel capacity from the current satellite, and ISDLA-2 is expected to serve as an in-orbit spare for ISDLA-1.

        Our principal digital broadcast centers are located in the United States and Brazil. We also have several smaller satellite uplink facilities in the region.

        We typically have customer service centers in each of the countries where we operate. In addition, we operate two pan-regional centers located in Colombia that provide primary and backup customer service support to most of the PanAmericana region.

Competition

        The pay television and other emerging broadband video and data markets in Latin America are highly competitive. In each of our markets, we compete primarily with other providers of pay television, which distribute their programming by satellite, cable, terrestrial microwave systems, traditional over-the-air broadcasting or the Internet. In addition, in certain markets we face significant competition from illegal and informal sector pay television operations. We compete primarily on the basis of programming selection, price, technology and service.

        In most of the markets in which we operate, cable television is our principal competitor. Cable operators typically offer analog services for lower monthly fees and with lower upfront installation and connection fees than we offer. In addition, the cable operators with which we compete are in various stages of upgrading their networks in order to provide broadband and telephony services, and in some markets the major cable operators are competing with us based principally on their offer of a "triple play" bundle of video, broadband and telephony services. In most cases, they discount the value of their programming services in order to sell broadband and telephony services.

        In addition to competition from cable services, we face increasing competition from other providers of DTH services. Telefonica, the Spanish telephone company, provides DTH services in Brazil, Chile, Colombia, Peru and Venezuela. Telmex provides DTH service in Chile and Peru, and in 2009 it launched services in Brazil through its affiliate, Embratel, which has since been rebranded as Claro TV. Oi, the second fixed line incumbent in Brazil (in addition to Telefonica), launched a DTH service in 2009. Also, in Mexico a joint venture of EchoStar Corp. and MVS

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Comunicaciones launched a DTH service in 2009, with substantial commercial support and cooperation from Telmex, which, due to regulatory restrictions, is not currently permitted to provide its own video services in Mexico. These competitors have significant resources and have proven their ability to grow their businesses rapidly. They typically focus on offering lower-cost, limited services packages in support of their telephony and broadband offerings, which can increase our churn and put pressure on our margins. Also, the existence of multiple DTH operators in a single market dilutes our ability to market our DTH service as an alternative to cable, traditionally our principal competition.

        In a number of markets, existing wireline telephony operators have announced their intention to upgrade their infrastructure in order to provide new and enhanced services, including IPTV video programming. However, to date only a very small number of such upgrades and build outs have been actively pursued on other than a test basis.

ACQUISITIONS, STRATEGIC ALLIANCES AND DIVESTITURES

        We review our competitive position on an ongoing basis and, from time to time, consider various acquisitions, strategic alliances and divestitures, including potential wireless broadband investments or alliances, in order to continue to compete effectively, improve our financial results, grow our business and allocate our resources efficiently. We also consider periodically making equity investments in companies with which we can jointly provide services to our subscribers.

        For a further discussion of our mergers and acquisitions, see Note 4 of the Notes to the Consolidated Financial Statements in Item 8, Part II of this Annual Report, which we incorporate herein by reference.

GOVERNMENT REGULATION

        We are subject to government regulation in the United States, primarily by the FCC, and similar regulatory agencies in Latin America, and by other federal, state and local authorities. We are also subject to the rules and procedures of the International Telecommunications Union, a specialized agency of the United Nations, which coordinates global telecommunications networks and services.

        The following is a summary of relevant regulatory issues and is not intended to describe all present and proposed government regulation and legislation affecting our business.

        FCC Regulation Under the Communications Act and Related Acts.    The Communications Act and other related acts give the FCC broad authority to regulate the operations of DIRECTV U.S.

        FCC regulations govern, among other issues:

    the licensing of DBS and DTH satellites, earth stations and ancillary authorizations;

    the assignment of frequencies and orbital slots, the relocation of satellites to different orbital locations, the extension of licenses for existing satellites, and the replacement of an existing satellite with a new satellite;

    terms and conditions of assignments and authorizations, including required timetables for construction and operation of satellites; and

    avoidance of interference by and to DBS/DTH operations with operations of other entities that make use of the radio spectrum.

        All of our satellites and earth stations are licensed by the FCC. The FCC generally issues DTH space station licenses for a fifteen-year term and DBS space station and earth station licenses for a ten-year term, which is less than the useful life of a healthy direct broadcast satellite. Upon expiration of the initial license term, the FCC has the option to extend a satellite operator's license, authorize operation for a period of time on special temporary authority, or decline to extend the license.

        Currently, we have several applications pending before the FCC, including applications to launch and operate future satellites. In general, the FCC's approval of these applications is required for us to continue to expand our range of service offerings while increasing the robustness of our satellite fleet. We may not obtain these approvals in a timely fashion or at all.

        As a DBS/DTH licensee and operator we are also subject to a variety of Communications Act requirements, FCC regulations and copyright laws that could materially affect our business. They include the following:

    Local-into-Local Service and Limitation on Retransmission of Distant Broadcast Television Signals.  The Satellite Home Viewer Act ("SHVA," which in this Annual Report includes its progeny legislation, the Satellite Home Viewer Improvement Act of 1999; the Satellite Home Viewer Extension and Reauthorization Act of 2004; and the Satellite Television

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      Extension and Localism Act of 2010) allows DIRECTV U.S. to retransmit the signals of local broadcast television stations in the stations' local markets without obtaining authorization from the holders of copyrights in the individual programs carried by those stations. Another portion of SHVA also permits satellite retransmission of distant network stations (e.g., those that originate outside of a satellite subscriber's local television market) only to "unserved households." A subscriber qualifies as an "unserved household" if he or she cannot receive, over the air, a signal of sufficient intensity from a local station affiliated with the same network, or falls into a few other very limited exceptions. SHVA also prohibits DIRECTV U.S. from signing up a new subscriber to distant signals if that subscriber lives in a local market where DIRECTV U.S. makes available the same-network local signal. The FCC has required DIRECTV U.S. to delete certain programming, including sports programming, from the signals of certain distant stations. In addition, the FCC's continuing interpretation, implementation and enforcement of other provisions of SHVA and judicial decisions could hamper the ability of DIRECTV U.S. to retransmit local and distant network and superstation signals, reduce the number of our existing or future subscribers that can qualify to receive these signals, impose compliance costs on us, or subject us to fines, monetary damages or injunctions. The distant signal provisions are set to expire in 2014. Congress may decline to renew those provisions, which could severely restrict our ability to retransmit distant signals.

    Must Carry Requirement.  SHVA imposes a must carry obligation on DIRECTV U.S. This requires satellite carriers that choose to take advantage of the statutory copyright license in a local market to carry upon request the signals of all qualifying television broadcast stations within that local market, subject to limited exceptions. The FCC has adopted further detailed rules covering our carriage of both commercial and non-commercial broadcast television stations. These rules generally require us to carry all of the local broadcast stations properly requesting carriage in markets in which we retransmit the signals of local broadcast stations. The projected number of markets in which we can deliver local broadcast programming will continue to be constrained because of the must carry requirement and may be reduced depending on the FCC's interpretation of its rules and judicial decisions. For example, the FCC issued an order requiring mandatory carriage of high-definition digital signals in an increasing number of markets each year, requiring so-called "HD carry-one, carry-all" in all local markets served by 2013. We may not be able to comply with these rules, or may be required to use capacity that could otherwise be used for additional local or national programming.

    Retransmission Consent.  For those local television broadcast stations that do not elect must carry, SHVA also requires DIRECTV U.S. to obtain consent prior to retransmitting their signals to viewers. Television broadcast stations may withhold this consent (subject to a requirement to negotiate in good faith), and other provisions of copyright and communications law prevent DIRECTV from providing duplicate out-of-market programming in many instances. Thus, where consent is withheld, DIRECTV U.S. subscribers may lose access to popular programming.

    Public Interest Requirement.  The FCC has imposed certain public interest obligations on DBS operators, including a requirement that such providers set aside four percent of channel capacity exclusively for noncommercial programming of an educational or informational nature, for which we must charge programmers below-market rates and may not impose additional charges on subscribers. FCC rules also require DIRECTV U.S. to comply with a number of political broadcasting requirements and limits on the commercialization of children's programming. We believe that DIRECTV U.S. is in compliance with all of these requirements, but some require our interpretations, which we believe are reasonable and consistent with industry practice. However, the FCC may not agree.

    Emergency Alert System.  The Emergency Alert System, or EAS, requires participants to interrupt programming during nationally declared emergencies and to pass through emergency information. The FCC has adopted rules that require satellite carriers to comply with this requirement. It may also mandate that satellite carriers interrupt programming for local emergencies and weather events. Any such requirement would be very difficult to implement, would require costly changes to our DBS/DTH system, and, depending on how it is implemented, could inconvenience or confuse our viewers. The FCC is also considering whether to require that EAS alerts be provided in multiple languages or via text messages, which could also prove difficult and costly.

    Spectrum Allocation and License Assignment Rules.  We depend upon the FCC's allocation of DBS/DTH frequencies and assignment of DBS/DTH

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      licenses. DBS frequencies and available DBS orbital locations capable of supporting our business have become increasingly scarce. While we continue to explore new sources of DBS/DTH capacity, there can be no assurance that we will obtain further capacity.

      In 2007, the FCC adopted new service and licensing rules for broadcasting satellite services in the 17.3-17.8 GHz and 24.75-25.25 GHz bands, or 17/24 GHz BSS. This spectrum, also known as the "reverse band" (in that transmissions from these satellites to consumers would occur in spectrum currently used for uplinking programming to traditional DBS satellites), could provide a new source of additional DTH capacity. DIRECTV currently holds authorizations for satellites in this band at two orbital locations. However, foreign operators who may have international priority have recently brought into use conflicting ITU network filings at the two orbital locations at which we are licensed. Depending upon the ultimate disposition of those filings, our use of one or both of these licenses may be limited or precluded entirely.

    Rules Governing Co-Existence With Other Satellite and Terrestrial Services and Service Providers in the MVPD Industry.  The FCC has adopted rules to allow non-geostationary orbit fixed satellite services to operate on a co-primary basis in the same frequency band as the one used by direct broadcast satellite and Ku-Band-based fixed satellite services. In the same proceeding, the FCC concluded that multi-channel video and data distribution services, or MVDDS, can share spectrum with DBS operators on a non-interference basis, and adopted rules and a method for assigning licenses in that service. While the FCC has established service and technical rules to protect DBS operations from harmful interference, these rules may not be sufficient to prevent such interference, and such services may have a material adverse impact on our operations. In addition, one MVDDS operator has received a conditional waiver of the applicable rules so that it could operate its system in Albuquerque, New Mexico at substantially higher power levels, which may have a material adverse impact on our operations in that market.

      In 2006, the FCC released a notice of proposed rulemaking regarding the possible operation of "tweener" or "short spaced" satellites that would operate in the same DBS uplink and downlink frequency bands as DIRECTV U.S., from orbital positions located in between those now assigned to the DBS service. Under rules that the FCC is considering, a provider could operate a satellite in between two orbital locations where we have already positioned DIRECTV U.S. satellites without completing coordination of its operations and without demonstrating that such operations would not "affect" the DIRECTV service. We have opposed this proposal, and believe that tweener satellites as proposed by applicants would cause interference to current and planned operations and impose a significant constraint on the further growth of our DIRECTV U.S. service. We cannot predict what if any action the FCC may take or the effect of such a proceeding on our business.

      The FCC has also adopted rules that require satellite operators to take certain measures to mitigate the dangers of collision and orbital debris. Among other things, these rules impose certain requirements for satellite design and end-of-life disposal maneuvers, which apply to eight of our in-orbit satellites and may in the future be applied to others. We believe that we are in compliance with all of these requirements, but the requirements could result in a slight reduction in the operational life of each new satellite.

    Geographic Service Rules.  The FCC requires DBS and 17/24 GHz BSS licensees to comply with certain geographic service obligations intended to foster the provision of DTH service to subscribers residing in Alaska and Hawaii. We believe that we are in compliance with these rules. The FCC has not acted on petitions filed several years ago by the State of Hawaii and an Alaska satellite television dealer claiming a violation of those rules. We cannot be sure that the FCC will not require us to make potentially cumbersome and costly changes to our business.

    FCC Conditions Imposed In Connection With the Liberty Media and News Corporation Transactions.  In approving Liberty Media's 2008 acquisition of News Corporation's equity investment in us, the FCC imposed a number of regulatory conditions on us, some of which affected our business. In granting authority for subsequent transactions in 2009 and 2010, the FCC conditioned its approval on continued compliance with those conditions. Accordingly, the FCC has imposed on us program carriage conditions intended to prevent discrimination against all forms of unaffiliated programming; and conditions intended to ensure non-discriminatory access to programming affiliated with DIRECTV. In

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      particular, we may be required to submit to "baseball style" arbitration if we cannot arrive at terms for carriage of our regional sports network programming with an MVPD.

    Potential Regulation of Set-Top Receivers.  Cable operators are subject to a wide variety of regulation of their set-top receivers, including a prohibition on "integrated" security and non-security functions. The FCC has exempted DTH satellite operators from such rules, but has been urged to eliminate that exemption. Were it to do so, DIRECTV U.S. may be required to redesign its set-top receivers and, conceivably, replace existing receivers. The D.C. Circuit recently vacated FCC rules that limited cable and satellite operators' ability to encode programming to restrict copying and to use selectable output control, which could give DIRECTV U.S. additional flexibility. The FCC has adopted accessibility requirements, such as the pass-through or rendering of closed captioning and video description, and is considering additional requirements which could require the redesign of DIRECTV's set-top receivers. The FCC is also considering an alternate regime under which all MVPDs, including DIRECTV U.S, would be required to offer "All Vid interfaces" instead of their existing set-top receiver arrangements. Such interfaces would be designed according to government specifications to deliver the DIRECTV U.S. programming stream and related data for manipulation by third-party electronic equipment. DIRECTV U.S. believes such a requirement would significantly hinder its ability to offer new and innovative services, and could complicate its customer service efforts.

        International Telecommunications Union Rules.    We are required by international rules to coordinate the use of the frequencies on our satellites with other satellite operators who may interfere with us or who may suffer interference from our operations.

        Export Control Regulation.    The delivery of satellite-related technical information for use by foreign manufacturing companies and of satellites and related technical information for the purpose of launch by foreign launch services providers are subject to strict export control and prior approval requirements.

        Other Legal and Regulatory Requirements.    DBS/DTH providers are subject to other federal and state regulatory requirements, such as telemarketing and advertising rules, and subscriber privacy rules similar to those governing other MVPDs. We have agreed with the Federal Trade Commission, or FTC, to (1) review and monitor compliance with telemarketing laws by any companies we authorize to do telemarketing and by independent retailers, (2) investigate and respond to complaints about alleged improper telemarketing and (3) terminate our relationship with marketers or retailers found in violation. Similarly, we have agreed with certain state attorneys general to comply with advertising disclosure requirements and monitor compliance by independent retailers.

        We are also subject to state and federal rules and laws regarding information security. Most of these rules and laws apply to customer information that could be used to commit identity theft. Substantially all of the U.S. states and the District of Columbia have enacted security breach notification laws. These laws generally require that a business give notice to its customers whose financial account information has been disclosed because of a security breach.

        In addition, aspects of DBS/DTH service remain regulated at the state and local level. For example, the FCC has promulgated rules prohibiting restrictions by local government agencies and private organizations on the placement of DBS receiving antennas. Local governments and homeowners associations, however, may continue to regulate the placement of such antennas if necessary to accomplish a clearly defined public safety objective or to preserve a recognized historic district, and may also apply to the FCC for a waiver if there are other local concerns of a special or unusual nature. In addition, a number of state and local governments have attempted to impose consumer protection, customer service and other types of regulation on DBS operators. Also, while Congress has prohibited local taxation of DBS service, state taxation is permissible, and many states have imposed such taxes, and additional states have attempted to do so recently. Incident to conducting a consumer directed business, we occasionally receive inquiries or complaints from authorities such as state attorneys general and state consumer protection offices or the FTC. These matters are generally resolved in the ordinary course of business, and DIRECTV recently agreed to implement a restitution program for consumers who send eligible complaints related to consumer protection practices.

        In Latin America, DIRECTV Latin America and its subsidiaries are subject to laws and regulations in each country in which we operate that govern many of the same aspects of our operations as in the United States, such as landing rights for satellites; spectrum, earth station and other licenses; must carry and other requirements with respect to the channels we carry; and regulations governing telemarketing and customer service. Regulatory regimes in Latin America are

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generally less developed than in the United States, and the application of existing laws and regulations to DBS/DTH providers is at times uncertain. In addition, there are certain areas where regulations in Latin America are stricter than in the United States, such as regarding labor and consumer protection laws. Foreign exchange laws in some countries can have a material impact on our ability to repatriate funds to the United States. Also, several countries such as Venezuela, Argentina and Brazil have passed or proposed laws imposing certain "national" content requirements, advertising limitations and other requirements on the content we distribute. Such laws can have an adverse impact on the business of our subsidiaries.

INTELLECTUAL PROPERTY

        All DIRECTV companies maintain active programs for identifying and protecting our important intellectual property. We believe that our growing portfolio of pending and issued patents are important assets. We presently hold over 2,000 issued patents worldwide relating to our past and present businesses, including over 500 patents developed by, or otherwise relating to, the businesses of DIRECTV U.S. We hold a worldwide portfolio of over 900 trademarks related to the DIRECTV brand, the Cyclone Design and DIRECTV products and services. In particular, DIRECTV U.S. holds trademark registrations relating to its business, including registrations of the primary "DIRECTV" and the DIRECTV Cyclone Design trademarks. In many instances, these trademarks are licensed royalty-free to third parties for use in support of the DIRECTV U.S. business. We actively protect our important patents, trademarks and other intellectual property rights against unauthorized or improper use by third parties.

ENVIRONMENTAL REGULATION

        We are subject to requirements of federal, state, local and foreign environmental laws and regulations. These include laws regulating air emissions, water discharge, employee safety, and universal and hazardous waste management activities. We have an environmental management function designed to track, facilitate and support our compliance with these requirements and attempt to maintain compliance with all such requirements. We have made and will continue to make, as necessary, capital and other expenditures to comply with environmental requirements. We do not, however, expect capital or other expenditures for environmental compliance to be material in 2013. In addition, we periodically review environmental stewardship concepts (such as green initiatives and energy conservation strategies) and implement these whenever feasible. We have been selected by the Environmental Protection Agency as a 2010, 2011 and 2012 Energy Star award winner for excellence in energy efficient product design and recognized for our "leadership in advancing technology" to reduce energy while continuing to deliver our service. Environmental requirements are complex, change frequently and have become increasingly more stringent over time. Accordingly, we cannot provide assurance that these requirements will not change or become more stringent in the future in a manner that could have a material adverse effect on our business.

        We are also subject to environmental laws requiring the investigation and cleanup of environmental contamination at facilities we formerly owned or operated or currently own or operate or to which we sent hazardous wastes, including specified universal wastes, for treatment, service, disposal or recycling. We are aware of contamination at one of our former sites. We are in the process of complying with the requirements stipulated by the government agency overseeing the site cleanup and have allocated the funds to achieve the decontamination goals.

SEGMENT REPORTING DATA

        Operating segment and principal geographic area data for 2012, 2011 and 2010 are summarized in Note 20 of the Notes to the Consolidated Financial Statements in Item 8, Part II of this Annual Report.

EMPLOYEES

        As of December 31, 2012, DIRECTV U.S. had approximately 15,000 full-time and 500 part-time employees, DIRECTV Latin America had approximately 12,000 full-time and 2,000 part-time employees and Sports Networks and Other had approximately 200 full-time employees.

ACCESS TO COMPANY REPORTS

        Our website address is www.directv.com. Our Annual Reports on Form 10-K, Quarterly Reports on Form 10-Q, Current Reports on Form 8-K, and amendments to those reports filed or furnished, if any, pursuant to Section 13(a) or 15(d) of the Securities Exchange Act of 1934 are available free of charge through our website as soon as reasonably practicable after they are electronically filed with, or furnished to, the SEC. We are not incorporating by reference in this Annual Report on Form 10-K any information on our website.

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        DIRECTV, DIRECTV Cinema and the DIRECTV Cyclone Design are trademarks of The DIRECTV Group, Inc. and/or its related entities. Other trademarks, service marks and trade names appearing in this Annual Report are the property of their respective holders.

ITEM 1A.    RISK FACTORS

        You should carefully consider the following risk factors. The risks described below are not the only ones facing our company. Additional risks not presently known to us or that we currently deem immaterial may also impair our business, financial conditions or results of operations.

        Our business, financial condition or results of operations could be materially and adversely affected by the following:

We compete with other MVPDs, some of whom have greater resources than we do and levels of competition are increasing.

        We compete in the MVPD industry against cable television, telcos and wireless companies and other land-based and satellite-based system operators with service offerings including video, audio and interactive programming, broadband and other entertainment services and telephony service. Some of these competitors have greater financial, marketing and other resources than we do.

        Some cable television operators have large, established customer bases and many cable operators have significant investments in, and access to, programming. Cable television operators have advantages relative to our U.S. operations, including or as a result of:

    being the incumbent MVPD operator with an established subscriber base in the territories in which DIRECTV U.S. competes;

    access or telephone service on upgraded cable systems;

    having legacy arrangements for exclusivity in certain multiple dwelling units and planned communities.

        In addition, certain cable companies and telcos in the U.S. and Latin America are capable of offering bundled video, broadband and telecommunications services. In some cases, it appears that the video component of such bundled offerings is significantly underpriced and, in effect, subsidized by the rates charged for broadband and telephony services. In Latin America, this practice of cross-subsidization is sometimes incentivized by higher taxes on pay TV services than on telecommunication and broadband services. These pricing practices can influence customers' willingness to subscribe to our service at rates we consider appropriate.

        Mergers, joint ventures and alliances among wireless or private cable television operators, telcos, broadband service providers and others may result in an increase in the number of providers capable of offering such bundled services. For example, last year the FCC approved a commercial arrangement under which four of the nation's largest cable operators and Verizon Wireless would act as agents selling one another's services and engage in ongoing development of ways to integrate their wireless and wireline services.

        We have been unable to secure certain international programming, due to exclusive arrangements of programming providers with certain competitors, which has constrained our ability to compete for subscribers who wish to obtain such programming. And as discussed below, certain cable-affiliated programmers have withheld their programming from us in certain markets, which has further constrained our ability to compete for subscribers in those markets.

        In the United States, various telcos and broadband service providers have deployed fiber optic lines directly to customers' homes or neighborhoods to deliver video services, which compete with the DIRECTV service. It is uncertain whether we will be able to increase our satellite capacity, offer a significant level of new services in existing markets in which we compete or expand to additional markets as may be necessary to compete effectively. Some of these various telcos and broadband service providers also sell the DIRECTV service as part of a bundle with their voice and data services. A new broadly-deployed network with the capability of providing video, voice and data services could present a significant competitive challenge and, in the case of the telcos currently selling the DIRECTV service, could result in such companies focusing less effort and resources selling the DIRECTV service or declining to sell it at all. We may be unable to develop other distribution methods to make up for lost sales through the telcos.

        As a result of these and other factors, we may not be able to continue to expand our subscriber base or compete effectively against cable television or other MVPD operators in the future.

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Emerging digital media competition could materially adversely affect us.

        Our business is focused on video, and we face emerging competition from other providers of digital media, some of which have greater financial, marketing and other resources than we do. In particular, programming offered over the Internet has become more prevalent as the speed and quality of broadband networks have improved. Online video distributors and providers such as Hulu, Roku, Netflix, Apple, Amazon, Blockbuster and Google, as well as gaming consoles such as Microsoft's Xbox, Sony's PS3 and Nintendo's Wii, are aggressively working to become alternative providers of video services. Such services and the growing availability of online content, coupled with an expanding market for connected devices and Internet-connected televisions, as well as wireless and other emerging mobile technologies that provide for the distribution and viewing of video programming, pose a competitive challenge to traditional MVPDs, as a number of consumers may decide to drop or reduce their traditional MVPD subscription package. Some of these services charge a nominal fee or no fee for access to their content, which could adversely affect our business.

        Significant changes in consumer behavior with regard to how they obtain video entertainment and information in response to this emerging digital media competition could materially adversely affect our revenues and earnings or otherwise disrupt our business.

We depend on others to produce programming and programming costs are increasing.

        Almost all of our programming is provided by unaffiliated third parties. Typically our programming agreements are multiple-year agreements and contain annual price increases. Upon renewal of expiring contracts, programming suppliers have historically increased the rates they charge us for programming. Often these increases are greater than the rate of inflation. We expect this practice to continue and the negotiations over such increases to become more difficult and disruptive. Programming expenses will continue to be our largest single expense item in the foreseeable future. Our industry has continued to experience an increase in the cost of programming, especially sports programming. Continued increases in programming costs, including retransmission costs for broadcast programming, will cause us to increase the rates that we charge our subscribers, which could in turn, especially in a difficult economic environment, cause subscribers to terminate their subscriptions or potential new subscribers to refrain from subscribing to our service. Furthermore, due to the economy and other factors, we may be unable to pass programming cost increases on to our subscribers. Alternatively, to attempt to mitigate the effect of price increases, we may refuse to carry certain channels, which could adversely affect subscriber growth or result in higher churn.

        In addition, a limited number of cable-affiliated programmers have in the past denied us access to their programming. As discussed below, the FCC's prohibition on most exclusive distribution arrangements involving cable operators and cable-affiliated programmers expired last year, replaced by a case-by-case complaint procedure in which the burden rests with the complainant. Our ability to compete successfully will depend on our ability to continue to obtain desirable programming and deliver it to our subscribers at competitive prices. We may not be able to renew these agreements on favorable terms, or at all, or these agreements may be canceled prior to expiration of their original terms. If we are unable to renew any of these agreements or the other parties cancel the agreements, we may not be able to obtain substitute programming, or what we obtain may not be comparable in quality or cost to our existing programming.

        If we are unable to obtain rights to programming or to pass additional costs on, the potential loss of subscribers and the need to absorb some or all of the additional costs could have a material adverse effect on our earnings or cash flow.

Increased subscriber churn or subscriber upgrade and retention costs could materially adversely affect our financial performance.

        Subscriber service cancellations, or churn, have a significant financial impact on the results of operations of any subscription television provider, as does the cost of upgrading and retaining subscribers. Any increase in our upgrade and retention costs for our existing subscribers or increased programming costs may adversely affect our financial performance or cause us to increase our subscription rates, which could increase churn. Churn may also increase due to factors beyond our control, including churn by subscribers who are unable to pay their monthly subscription fees, a slowing economy, significant signal theft, consumer fraud, a maturing subscriber base and competitive offers. Any of the risks described in this Annual Report that could potentially have a material adverse impact on our costs or service quality or that could result in higher prices for our subscribers could cause an increase in churn and consequently have a material adverse effect on our earnings and financial performance.

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Our subscriber acquisition costs could materially increase.

        We incur costs for subscribers acquired by us and through third parties. These costs are known as subscriber acquisition costs and include the cost of set-top receivers and other equipment, commissions we pay to third parties, and the cost of installation, advertising, marketing and customer call center expenses associated with the acquisition of new subscribers. Our subscriber acquisition costs may materially increase if we offer more costly advanced equipment or services, including connecting our receivers to the customers' broadband service, continue or expand current sales promotion activities or introduce more aggressive promotions. Any material increase in subscriber acquisition costs from current levels would negatively impact our earnings and could materially adversely affect our financial performance.

Results are impacted by the effect of, and changes in, economic conditions and weakening economic conditions may reduce subscriber spending and our rate of growth of subscriber additions and may increase subscriber churn.

        Our business may be affected by factors that are beyond our control, such as downturns in economic activity, or in the MVPD industry. Factors such as interest rates and the health of the housing market may impact our business. A substantial portion of our revenues comes from residential customers whose spending patterns may be affected by prevailing economic conditions. Our market share in multiple dwelling units such as apartment buildings is lower than that of many of our competitors. If unemployment and foreclosures of single family residences increase, our earnings and financial performance could be negatively affected more than those of our competitors. In addition, if our customers seek alternative means to obtain video entertainment, they may choose to purchase fewer services from us or may discontinue receiving our services. Due to the economic and competitive environment, we may need to spend more, or we may provide greater discounts or credits, to acquire and retain customers who in turn spend less on our services. If our ARPU decreases or does not increase commensurate with increases in programming or other costs, our margins could become compressed and the long-term value of a customer would then decrease. The weak economy may affect our net subscriber additions and reduce subscriber spending and, if these economic conditions continue or deteriorate, subscriber growth could decline and churn could increase which would have a material adverse effect on our earnings and financial performance.

DIRECTV Latin America is subject to various additional risks associated with doing business internationally, which include political instability, economic instability and foreign currency exchange rate volatility.

        All of DIRECTV Latin America's operating companies are located outside the continental United States. DIRECTV Latin America operates and has subscribers located throughout Latin America and the Caribbean, which makes it vulnerable to risks of conducting business in foreign markets, including:

    difficulties and costs associated with complying with a wide variety of complex laws, treaties and regulations;

    unexpected changes in political or regulatory environments;

    earnings and cash flows that may be subject to tax withholding requirements or the imposition of tariffs, exchange controls or other restrictions;

    restrictions on, or difficulties and costs associated with, the repatriation of cash from foreign countries to the United States;

    political and economic instability;

    import and export restrictions and other trade barriers;

    difficulties in maintaining overseas subsidiaries and international operations;

    difficulties in obtaining approval for significant transactions;

    government imposition of limitations on foreign ownership;

    government takeover or nationalization of business; and

    government mandated price controls.

        In the past, the countries that constitute some of DIRECTV Latin America's largest markets, including Brazil, Argentina, Colombia and Venezuela have experienced economic crises, characterized by exchange rate instability, currency devaluation, high inflation, high interest rates, economic contraction, a reduction or cessation of international capital flows, a reduction of liquidity in the banking sector and high unemployment. These economic conditions have often been related to political instability. If these economic conditions recur, they could substantially reduce the purchasing power of the population in our markets, including the middle-markets which we are targeting, and materially adversely affect our business. Also, foreign currency exchange controls are currently in effect in Venezuela and

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Argentina, and have adversely affected our ability to repatriate cash balances from those countries.

        Because DIRECTV Latin America offers premium pay television programming, its business may be particularly vulnerable to economic downturns. DIRECTV Latin America has in the past experienced, and may in the future experience, decreases or instability in consumer demand for its programming and increases in subscriber credit problems. DIRECTV Latin America's inability to adjust its business and operations to address these issues could materially adversely affect its revenues and ability to sustain profitable operations.

Our ability to keep pace with technological developments is uncertain.

        In our industry, changes occur rapidly as new technologies are developed, which could render our services and products obsolete. We may not be able to keep pace with technological developments. If new technologies on which we focus our investments fail to achieve acceptance in the marketplace or our technology does not work and requires significant cost to replace or fix, we could suffer a material adverse effect on our future competitive position, which could cause a reduction in our revenues and earnings. Further, after incurring substantial costs, one or more of the technologies under development by us or any of our strategic partners could become obsolete prior to its introduction.

        Technological innovation depends, to a significant extent, on the work of technically skilled employees. Competition for the services of these employees has been vigorous. We may not be able to continue to attract and retain such employees.

        To access technologies and provide products that are necessary for us to remain competitive, we may make future acquisitions and investments and may enter into strategic partnerships with other companies. Such investments may require a commitment of significant capital and human and other resources. The value of such acquisitions, investments and partnerships and the technology accessed may be highly speculative. Arrangements with third parties can lead to contractual and other disputes and dependence on others for the development and delivery of necessary technology that we may not be able to control or influence. Such relationships may commit us to technologies that are rendered obsolete by other developments or preclude the pursuit of other technologies which may prove to be superior.

Our business relies on intellectual property, some of which is owned by third parties, and we may inadvertently infringe patents and proprietary rights of others.

        Many entities, including some of our competitors, have or may obtain patents and other intellectual property rights that cover or affect products or services related to those that we currently offer or may offer. If a court determines that one or more of our services or the products used to transmit or receive our services infringes on intellectual property owned by others, we and the applicable manufacturers or vendors may be required to cease developing or marketing those services and products, to obtain licenses from the owners of the intellectual property or to redesign those services and products in such a way as to avoid infringing the intellectual property rights. If a third party holds intellectual property rights, it may not allow us or the applicable manufacturers to use its intellectual property at any price, which could materially adversely affect our competitive position.

        We may not be aware of all intellectual property rights that our services or the products used to transmit or receive our services may potentially infringe. U.S. patent applications are generally confidential until the Patent and Trademark Office issues a patent. Therefore, we cannot evaluate the extent to which our services or the products used to transmit or receive our services may infringe claims contained in pending patent applications. Further, without lengthy litigation, it is often not possible to determine definitively whether a claim of infringement is valid.

        We cannot estimate the extent to which we may be required in the future to obtain intellectual property licenses or the availability and cost of any such licenses. Those costs, and their impact on our earnings, could be material. Damages in patent infringement cases may also include treble damages. If we are required to pay royalties to third parties, these increased costs could materially adversely affect our operating results. We are currently being sued in patent infringement actions related to use of technologies in our DTH business. There can be no assurance that the courts will conclude that our services or the products used to transmit or receive our services do not infringe on the rights of third parties, that we or the manufacturers would be able to obtain licenses from these persons on commercially reasonable terms or, if we were unable to obtain such licenses, that we or the manufacturers would be able to redesign our services or the products used to transmit or receive our services to avoid infringement. The final disposition of these claims is not expected to have a material adverse effect on our consolidated

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financial position, but could possibly be material to our consolidated results of operations for any one period. Further, no assurance can be given that any adverse outcome would not be material to our consolidated financial position. See "Legal Proceedings-Intellectual Property Litigation" in Part I, Item 3 which is incorporated by reference herein.

We rely on key personnel.

        We believe that our future success will depend to a significant extent upon the performance of certain of our key executives. The loss of certain of our key executives could have a material adverse effect on our business, financial condition and results of operations.

Construction or launch delays on satellites could materially adversely affect our revenues and earnings.

        A key component of our business strategy is our ability to expand our offering of new programming and services, including HD programming. In order to accomplish this goal, we need to construct and launch new satellites. The construction and launch of satellites are often subject to delays, including construction delays, unavailability of launch opportunities due to competition for launch slots, weather, general delays when a launch provider experiences a launch failure, and delays in obtaining regulatory approvals. A significant delay in the delivery of any satellite would materially adversely affect the use of the satellite and thus could materially adversely affect our anticipated revenues and earnings. If satellite construction schedules are not met, there can be no assurance that a launch opportunity will be available at the time a satellite is ready to be launched. Certain delays in satellite construction could also jeopardize a satellite authorization that is conditioned on timely construction and launch of the satellite.

Satellites are subject to significant launch and operational risks.

        Satellites are subject to significant operational risks relating to launch and while in orbit. These risks include launch failure, incorrect orbital placement or improper operation. Launch failures result in significant delays in the deployment of satellites because of the need both to construct replacement satellites, which can take up to 36 months, and to obtain other launch opportunities. Any significant delays or failures in successfully launching and deploying our satellites could materially adversely affect our ability to generate revenues. While we have traditionally purchased insurance covering the launch and, in limited cases, operation of our satellites, such policies typically cover the loss of the satellite itself or a portion thereof, and not the business interruption or other associated direct and indirect costs.

        In-orbit risks include malfunctions, commonly referred to as anomalies, and collisions with meteoroids, other spacecraft or other space debris. Anomalies occur as a result of satellite manufacturing errors, problems with the power systems or control systems of the satellites and general failures resulting from operating satellites in the harsh space environment. We work closely with our satellite manufacturers to determine and eliminate the potential causes of anomalies in new satellites and provide for redundancies of critical components as well as having backup satellite capacity. However, we cannot assure that we will not experience anomalies in the future, nor can we assure you that our backup satellite capacity will be sufficient.

        Any single anomaly or series of anomalies could materially adversely affect our operations and revenues and our relationships with our subscribers, as well as our ability to attract new subscribers for our services. Anomalies may also reduce the expected useful life of a satellite, creating additional expenses due to the need to provide replacement or backup satellites and potentially reducing revenues if service is interrupted. Finally, the occurrence of anomalies may materially adversely affect our ability to insure our satellites at commercially reasonable premiums, if at all.

        Our ability to earn revenue also depends on the usefulness of our satellites. Each satellite has a limited useful life. A number of factors affect the useful life of a satellite, including, among other things:

    the design;

    the quality of its construction;

    the durability of its component parts;

    the insertion of the satellite into orbit;

    any required movement, temporary or permanent, of the satellite;

    the ability to continue to maintain proper orbit and control over the satellite's functions; and

    the remaining on-board fuel following orbit insertion.

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        Generally, the minimum design life of the satellites in our fleet is between 12 and 16 years. The actual useful lives of the satellites may be shorter or longer, in some cases significantly. Our operating results could be adversely affected if the useful life of any of our satellites were significantly shorter than 12 years from the date of launch.

        In the event of a failure or loss of any of DIRECTV U.S.' satellites, DIRECTV U.S. may relocate another satellite and use it as a replacement for the failed or lost satellite. In the event of a complete satellite failure, DIRECTV U.S.' services provided via that satellite could be unavailable for several days or longer while backup in-orbit satellites are repositioned and services are moved. DIRECTV U.S. is not insured for any resultant lost revenues. The use of backup satellite capacity for DIRECTV U.S. programming may require DIRECTV U.S. to discontinue some programming services due to potentially reduced capacity on the backup satellite. Relocation of a DIRECTV U.S. satellite may not require prior FCC approval if, among other things, the replacement satellite would operate within the authorized or coordinated parameters of the failed or lost satellite. If that is not the case, prior FCC approval would be required. Such FCC approval may not be obtained. DIRECTV U.S. believes we have in-orbit satellite capacity to expeditiously recover transmission of most of our programming in the event one of our in-orbit satellites fails. However, programming continuity cannot be assured in the event of multiple satellite losses.

        DIRECTV Latin America provides its services in PanAmericana and Brazil using leased transponders on two satellites. Sky Mexico provides its services from leased transponders on a separate satellite. Backup satellite capacity is available to serve Sky Brasil and Sky Mexico. In the event of a failure of a satellite used to provide services to Sky Brasil or Sky Mexico, we believe DIRECTV Latin America has sufficient in orbit back-up capacity to recover transmission of most of its programming distributed in those markets. However, in PanAmericana, DIRECTV Latin America has no designated back up satellite capacity for the region and, therefore, programming continuity cannot be assured in the event of a satellite loss.

        In addition, DIRECTV Latin America is dependent on third parties for the orbital slots in which its leased satellites are located. If those third parties fail to adequately protect their rights to continued use of and other rights related to those orbital slots, or fail to take appropriate steps to manage potential conflicts with rights holders for adjacent orbital slots, then DIRECTV Latin America could lose rights to operate from those locations or may otherwise be required to modify or limit its operations from those locations which could materially adversely affect DIRECTV Latin America's transmission capacity and its ability to compete in regions served from those orbital slots.

The loss of a satellite that is not insured could materially adversely affect our earnings.

        Any launch vehicle failure, or loss or destruction of any of our satellites, even if insured, could have a material adverse effect on our financial condition and results of operations, our ability to comply with FCC regulatory obligations and our ability to fund the construction or acquisition of replacement satellites in a timely fashion, or at all. At December 31, 2012, the net book value of in-orbit satellites was $1,664 million, none of which was insured.

DIRECTV U.S. depends on the Communications Act for access to cable-affiliated programming and changes impacting that access could materially adversely affect us.

        DIRECTV U.S. purchases a substantial percentage of programming from programmers that are affiliated with cable system operators, including key RSNs. Currently, under certain provisions of the Communications Act governing access to programming, cable-affiliated programmers generally must sell and deliver their programming services to all MVPDs on non-discriminatory terms and conditions.

        Any change in the Communications Act or the FCC's rules that would permit programmers that are affiliated with cable system operators to refuse to provide such programming or to impose discriminatory terms or conditions could materially adversely affect our ability to acquire programming on a cost-effective basis, or at all. Most recently, the Communications Act prohibitions on certain cable industry exclusive contracting practices with cable-affiliated programmers expired in October 2012. Under the remaining rules, DIRECTV may bring complaints on a case-by-case basis alleging that a particular instance of exclusivity constitutes a prohibited "unfair practice" that has the purpose or effect of significantly hindering or preventing DIRECTV from providing programming to consumers. The FCC is currently considering whether to adopt additional safeguards, such as rebuttable presumptions in favor of complainants, but we cannot predict what if any action the FCC will take. Regardless of the outcome of those considerations, the weakening of the program access rules may increase the ability of cable-affiliated programmers to deny DIRECTV access to their programming.

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        In addition, certain cable providers have in the past denied us and other MVPDs access to a limited number of channels created by programmers with which the cable providers are affiliated. In other cases, such programmers have denied MVPDs high-definition feeds of such programming. The cable providers have asserted that they are not required by the Communications Act to provide such programming (or resolution) due to the manner in which that programming is distributed. The FCC adopted rules to close this loophole. However, they require an evidentiary showing by an MVPD seeking access to such programming and cable operators have vigorously contested such showings proffered by other complainants. If we were not able to make the required evidentiary showing, we could be precluded from obtaining such programming, which in turn could materially adversely affect our ability to compete in regions serviced by those cable providers.

        DIRECTV U.S. itself is subject to similar restrictions with respect to certain programmers affiliated with us. The FCC imposed a number of conditions on its approval of Liberty Media's acquisition of News Corporation's interest in DIRECTV which continue to apply. Those conditions require DIRECTV U.S. to offer national and regional programming services it controls to all MVPDs on non-exclusive and non-discriminatory terms and conditions, and prohibits DIRECTV U.S. from entering into exclusive arrangements with affiliated programmers or unduly influencing such programmers in their dealings with other MVPDs.

        We are subject to significant regulatory oversight and changes in applicable regulatory requirements could adversely affect our business. You should review the regulatory disclosures under the caption "Item 1—Business—Government Regulation—FCC Regulation Under the Communications Act and Related Acts" which is incorporated here by reference.

Changes to and implementation of statutory copyright license requirements may negatively affect our ability to deliver local and distant broadcast stations, as well as other aspects of our business.

        We carry the signals of local and distant broadcast stations pursuant to statutory copyright licenses contained in SHVA, and our carriage of these stations is governed by the FCC and Copyright Office implementing regulations. Any changes to such laws or regulations could limit our ability to deliver local or distant broadcast signals. More generally, we have limited capacity, and the projected number of markets in which we can deliver local broadcast programming will continue to be constrained because of the statutory "carry-one, carry-all" requirement and may be reduced depending on the FCC's interpretation of its rules, as well as judicial decisions. We may not be able to comply with these must carry rules, or compliance may mean that we are not able to use capacity otherwise for new or additional local or national programming services. In addition, the FCC has issued an increasing obligation for carriage of local digital broadcast transmissions in HD format. We may be unable to comply with this requirement in markets where we currently carry such signals without ceasing HD local service entirely in some markets, and would be precluded from launching additional markets currently planned.

        The FCC has adopted rules requiring us to negotiate in good faith with broadcast stations seeking carriage outside of the mandatory carriage regime described elsewhere. The rules for "retransmission consent" negotiations require us to negotiate in good faith with programming providers. Failure to comply with these rules could subject us to administrative sanctions and other penalties. Moreover, the FCC is considering changes to these and other rules related to retransmission consent, which could make negotiations more difficult, increase fees charged for carriage, or result in the increased withholding of broadcast signals.

Satellite programming signals have been stolen and may be stolen, which could result in lost revenues and would cause us to incur incremental operating costs that do not result in subscriber acquisition.

        The delivery of subscription programming requires the use of conditional access technology to limit access to programming to only those who are authorized to view it. The conditional access system uses encryption technology to protect the transmitted signal from unauthorized access. It is illegal to create, sell or otherwise distribute software or devices to circumvent that conditional access technology. However, theft of cable and satellite programming has been widely reported, and the access cards used in our conditional access system have been, and could be compromised in the future.

        We have undertaken various initiatives with respect to our conditional access system to further enhance the security of the DIRECTV signal. We provide our subscribers with advanced access cards that we believe significantly enhance the security of our signal. We believe these access cards have not been compromised. However, we cannot guarantee that these advanced access cards will prevent future

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theft of our satellite programming signals. There can be no assurance that we will succeed in developing the technology we need to effectively restrict or eliminate signal theft. If our current access cards are compromised, our revenue and our ability to contract for programming could be materially adversely affected. In addition, our operating costs could increase if we attempt to implement additional measures to combat signal theft.

        In addition, particularly in Latin America, we also face other forms of signal theft, including illegal retransmission of our signal through unauthorized cable head-ends and internet key sharing schemes. If we are not able to contain and combat these and other forms of signal theft, such schemes could limit our growth and materially adversely affect our ability to generate revenue.

The ability to maintain FCC licenses and other regulatory approvals is critical to our business.

        If we do not obtain all requisite U.S. regulatory approvals for the construction, launch and operation of any of our existing or future satellites, for the use of frequencies at the orbital locations planned for these satellites or for the provision of service, or the licenses obtained impose operational restrictions on us, our ability to generate revenue and profits could be materially adversely affected. In addition, under certain circumstances, existing licenses are subject to revocation or modification and upon expiration, extension or renewal may not be granted. If existing licenses are not extended or renewed, or are revoked or materially modified, our ability to generate revenue could be materially adversely affected.

        Other U.S. regulatory risks include:

    the relocation of satellites to different orbital locations if the FCC determines that relocation is in the public interest;

    the denial by the FCC of an application to replace an existing satellite with a new satellite, or to operate a satellite beyond the term of its current authorization, or to operate an earth station to communicate with such satellite; and

    the authorization by the United States or foreign governments of the use of frequencies by third party satellite or terrestrial facilities that have the potential to interfere with communication to or from our satellites, which could interfere with our contractual obligations or services to subscribers or other business operations.

        All of our FCC satellite authorizations are subject to conditions imposed by the FCC in addition to the FCC's general authority to modify, cancel or revoke those authorizations. Use of FCC licenses and other authorizations are often subject to conditions, including technical requirements and implementation deadlines. Failure to comply with such requirements, or comply in a timely manner, could lead to the loss of authorizations and could have a material adverse effect on our ability to generate revenue. For example, loss of an authorization could potentially reduce the amount of programming and other services available to our subscribers. The materiality of such a loss of authorization would vary based upon, among other things, the orbital location at which the frequencies may be used.

        Moreover, some of our authorizations and future applications may be subject to petitions and oppositions, and there can be no assurance that our authorizations will not be canceled, revoked or modified or that our applications will not be denied. The outcomes of any legislative or regulatory proceedings or their effect on our business cannot be predicted. You should review "Item 1. Business—Government Regulation—FCC Regulation Under the Communications Act and Related Acts," which is incorporated here by reference.

DIRECTV U.S. has significant debt.

        The carrying value of DIRECTV U.S.' debt, which is guaranteed by DIRECTV, totaled $17,528 million as of December 31, 2012. If we do not have sufficient income or other sources of cash, it could affect our ability to service debt and pay other obligations.

We may not be able to obtain or retain certain foreign regulatory approvals.

        There can be no assurance that any current regulatory approvals held by us are, or will remain, sufficient in the view of foreign regulatory authorities, or that any additional necessary approvals will be granted on a timely basis or at all, in all jurisdictions in which we operate, or that applicable restrictions in those jurisdictions will not be unduly burdensome. The failure to obtain and maintain the authorizations necessary to operate satellites or provide satellite service internationally could have a material adverse effect on our ability to generate revenue and our overall competitive position.

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We have an indemnity obligation to Liberty Media, which is not limited in amount, that could be triggered if parts of the Liberty Transaction or Liberty's 2008 Transaction with News Corporation are treated as a taxable transaction.

        On November 19, 2009, The DIRECTV Group, Inc., or DIRECTV Group, and Liberty Media Corporation, which we refer to as Liberty Media, obtained stockholder approval of and closed a series of related transactions which we refer to collectively as the Liberty Transaction. The Liberty Transaction included the split-off of certain of the assets of the Liberty Entertainment group into Liberty Entertainment, Inc., or LEI, which was then split-off from Liberty. Following the split-off, DIRECTV Group and LEI merged with subsidiaries of DIRECTV. As a result of the Liberty Transaction, DIRECTV Group, which is comprised of the DIRECTV U.S. and DIRECTV Latin America businesses, and LEI, which held Liberty's 57% interest in DIRECTV Group, a 100% interest in three regional sports television networks and a 65% interest in GSN, became wholly owned subsidiaries of DIRECTV.

        Despite obtaining a private letter ruling from the Internal Revenue Service and an opinion of legal counsel to the effect that parts of the Liberty Transaction qualified as a tax-free distribution for U.S. federal income tax purposes, the continuing validity of such ruling and opinion is subject to the accuracy of factual representations and certain assumptions. Any inaccuracy in such representations could invalidate the ruling, and failure to comply with any undertakings made in connection with such tax opinion could alter the conclusions reached in such opinion. Even if parts of the Liberty Transaction otherwise qualify for tax-free treatment, it would result in a significant U.S. federal income tax liability to Liberty Media if one or more persons acquire a 50% or greater interest in the DIRECTV common stock as part of a plan or series of related transactions that includes the Liberty Transaction. The process for determining whether an acquisition is part of a plan under these rules is complex, inherently factual and subject to interpretation of the facts and circumstances of a particular case. Liberty Media or DIRECTV might inadvertently cause or permit a prohibited change in the ownership of DIRECTV to occur, thereby triggering a tax liability to Liberty Media.

        In addition, Liberty Media entered into a tax matters agreement with News Corporation in connection with its 2008 transaction with News Corporation, pursuant to which Liberty Media agreed, among other things, to indemnify News Corporation and certain related persons for taxes resulting from actions taken by Liberty Media or its affiliates that cause such transaction (or related restructuring transactions) not to qualify as tax-free transactions. Liberty Media's indemnification obligations to News Corporation and certain related persons are not limited in amount.

        Under a Tax Sharing Agreement between Liberty Media and DIRECTV, in certain circumstances DIRECTV is obligated to indemnify Liberty Media and certain related persons for any losses and taxes resulting from the failure of the Liberty Transaction to be tax-free transactions and from any losses resulting from Liberty Media's indemnity obligations to News Corporation under the tax matters agreement between News Corporation and Liberty Media. If DIRECTV is required to indemnify Liberty Media or certain related persons under the circumstances set forth in the Tax Sharing Agreement, we may be subject to substantial liabilities not limited in amount. In such a circumstance, we may be required to make payments or dividends to satisfy such liabilities that could either breach covenants in our credit facilities and bond indentures or require additional or accelerated payments, which could materially adversely affect our financial position and short term operating results.

We may be required to forgo certain transactions in order to avoid the risk of incurring significant tax-related liabilities.

        We might be required to forgo certain transactions that might have otherwise been advantageous in order to preserve the tax-free treatment of the Liberty Transaction. In particular, we might be required to forgo certain transactions, including asset dispositions or other strategic transactions for some period of time following the Liberty Transaction so as not to trigger any liability under the tax indemnification obligations.

We rely on network and information systems and other technology, and a disruption or failure of such networks, systems or technology as a result of, misappropriation of data or other malfeasance, as well as outages, natural disasters, accidental releases of information or similar events, may disrupt our business.

        Because network and information systems and other technologies are critical to our operating activities, network or information system shutdowns caused by events such as computer hacking on our network or our DIRECTV.com website, dissemination of computer viruses, worms and other destructive or disruptive

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software, and other malicious activity including industrial espionage and malicious social engineering, as well as power outages, natural disasters such as earthquakes, terrorist attacks and similar events, pose significant risks. Due to the fast-moving pace of technological advancements, it may be difficult to detect, contain and remediate every such event. Such an event could have an adverse impact on our operations, including service disruption, degradation of service, excessive call volume to call centers and damage to our broadcast centers, other properties, equipment and data. Such an event also could result in large expenditures necessary to repair or replace such networks or information systems or to protect them from similar events in the future. Third parties may also experience errors or disruptions that could adversely impact our business operations and over which we have limited control. Significant incidents could result in a disruption of our operations, customer dissatisfaction, or a loss of customers or revenues. The amount and scope of insurance we maintain against losses resulting from these events may not be sufficient to cover our losses or otherwise adequately compensate us for any disruptions to our business that may result. Furthermore, our operating activities could be subject to risks caused by misappropriation, misuse, leakage, falsification and accidental release or loss of information maintained in our information technology systems and networks, including customer, personnel and vendor data. We could be exposed to significant costs if such risks were to materialize, and such events could damage our reputation and credibility and have a negative impact on our revenues. We also could be required to expend significant capital and other resources to remedy any such security breach. As a result of the increasing awareness concerning the importance of safeguarding personal information, the potential misuse of such information and legislation that has been adopted or is being considered regarding the protection, privacy and security of personal information, the liability associated with information-related risks is increasing, particularly for businesses like ours that handle a large amount of personal customer data. The occurrence of any such network or information systems related events or security breaches could have a material adverse effect on our business and results of operations.

We face risks arising from the outcome of various legal proceedings.

        We are involved in various legal proceedings, including those arising in the ordinary course of business, such as consumer class actions and those described under the caption "Legal Proceedings" in Part I, Item 3 incorporated by reference herein. Such matters include investigations and legal actions by the FTC and state attorneys general where regulators may seek monetary damages and may also seek to require or prohibit certain actions by us with regard to our current or potential customers. While we do not believe that any of these proceedings alone or in the aggregate will have a material effect on our consolidated financial position, an adverse outcome in one or more of these matters or the imposition of conditions by regulators on the conduct of our business could be material to our consolidated results of operations and cash flows for any one period. Further, no assurance can be given that any adverse outcome would not be material to our consolidated financial position.

Our strategic initiatives may not be successfully implemented, may not elicit the expected customer response in the market and may result in competitive reactions.

        The Company has identified a number of strategic initiatives that it intends to pursue which are discussed in more detail in the "Business Strategy" section beginning in Part I, Item 1 of this Annual Report. The successful implementation of those strategic initiatives requires an investment of time, talent and money and is dependent upon a number of factors some of which are not within our control. Those factors include the ability to execute such initiatives in the market, the response of existing and potential new customers, and the reaction of competitors. If we fail to properly execute or deliver products or services that do not address customers' expectations, it may have an adverse effect on our ability to retain and attract customers and may increase our costs and reduce our revenues. Similarly, competitive reaction to our initiatives or advancements in technology or competitive products or services could impair our ability to execute or could limit the effectiveness of those strategic initiatives. There can be no assurance that we will successfully implement these strategic initiatives or that, if successfully pursued, they will have the desired result on our business or results of operations.

We may face other risks described from time to time in periodic reports filed by us with the SEC.

        From time to time, we may disclose other relevant risks in other periodic reports that we file with the SEC. We urge you to consider the above risk factors and any other risks disclosed in such periodic reports carefully in evaluating the forward-looking statements contained in this Annual Report. The forward-looking statements included in this Annual Report are made only as of the date of this

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Annual Report and we undertake no obligation to publicly update these forward-looking statements to reflect subsequent events or circumstances.

ITEM 1B.    UNRESOLVED STAFF COMMENTS

        None.

ITEM 2.    PROPERTIES

        As of December 31, 2012, we had approximately 216 owned and leased locations operating in the United States and Latin America. The major locations of the DIRECTV U.S. segment include eight administrative offices, two broadcast centers and six call centers. The major locations of the DIRECTV Latin America segment include 11 administrative offices, four broadcast centers and eight call centers. We consider our properties adequate for our present needs.

ITEM 3.    LEGAL PROCEEDINGS

        (a)    Material pending legal proceedings, other than ordinary routine litigation incidental to the business, to which we became or were a party during the year ended December 31, 2012 or subsequent thereto, but before the filing of the report, are summarized below:

        Pegasus Development Corporation and Personalized Media Communications L.L.C.    In December, 2000, Pegasus Development Corporation, or Pegasus, and Personalized Media Communications L.L.C., or PMC, filed suit in the United States District Court for the District of Delaware against DIRECTV, Inc., Hughes Electronics Corporation, Thomson Consumer Electronics, Inc., and Philips Electronics North America Corporation. The suit alleged infringement of certain claims of seven United States patents and sought an injunction and a monetary award including damages for infringement, interest, costs, and attorney's fees. In May, 2003, the suit was stayed pending reexamination by the United States Patent and Trademark Office of certain claims of the asserted patents. The stay was lifted in November, 2011, and trial is presently scheduled for November, 2013. The suit now involves claims of four of the seven patents originally asserted, all of which have expired, and the validity and infringement of which are disputed by DIRECTV.

        Other Intellectual Property Litigation.    We are a defendant in several unrelated lawsuits claiming infringement of various patents relating to various aspects of our businesses. In certain of these cases other industry participants are also defendants, and also in certain of these cases we expect that any potential liability would be the responsibility of our equipment vendors pursuant to applicable contractual indemnification provisions. To the extent that the allegations in these lawsuits can be analyzed by us at this stage of their proceedings, we believe the claims are without merit and intend to defend the actions vigorously. We have determined the likelihood of a material liability in such matters is remote or have made appropriate accruals and the final disposition of these claims is not expected to have a material effect on our consolidated financial position. However, if an adverse ruling is made in a lawsuit involving key intellectual property, such ruling could possibly be material to our consolidated results of operations of any one period. No assurance can be given that any adverse outcome would not be material to our consolidated financial position.

        Early Cancellation Fees.    In 2008, a number of plaintiffs filed putative class action lawsuits in state and federal courts challenging the early cancellation fees we assess our customers when they do not fulfill their programming commitments. Several of these lawsuits are pending, some in California state court purporting to represent statewide classes, and some in federal courts purporting to represent nationwide classes. The lawsuits seek both monetary and injunctive relief. While the theories of liability vary, the lawsuits generally challenge these fees under state consumer protection laws as both unfair and inadequately disclosed to customers. Our motions to compel arbitration have been granted in all of the federal cases, except as to claims seeking injunctive relief under California statutes. The denial of our motion as to those claims is currently on appeal. We believe that our early cancellation fees are adequately disclosed, and represent reasonable estimates of the costs we incur when customers cancel service before fulfilling their programming commitments.

        From time to time, we receive investigative inquiries or subpoenas from state and federal authorities with respect to alleged violations of state and federal statutes. These inquiries may lead to legal proceedings in some cases. DIRECTV U.S. has received a request for information from the FTC on issues similar to those resolved in 2011 with a multistate group of state attorneys general. We are cooperating with the FTC by providing information about our sales and marketing practices and customer complaints.

        ECAD.    Sky Brasil, along with other video distributors in Brazil, is disputing charges assessed by Escritorio Central de Arrecadacao, or ECAD, the organization

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responsible for collecting performance rights fees under Brazilian law. Sky Brasil has been withholding payments to ECAD since 2004, and has accrued amounts we and Sky Brasil believe are adequate to satisfy amounts owed to ECAD. In order to continue its opposition to ECAD's claims, Sky Brasil has provided letters of credit in the amount of approximately $103 million. Sky Brasil's dispute with ECAD is currently pending in the Superior Justice Tribunal, and there are other claims by the Brazilian pay television association, known as ABTA, against ECAD before the Brazilian antitrust board, or CADE, which may affect ECAD or the rights fees it is attempting to collect.

        Waste Disposal Inquiry.    On August 20, 2012, DIRECTV U.S. received from the State of California subpoenas and interrogatories related to our generation, handling, recordkeeping, transportation and disposal of hazardous waste, including universal waste, in the State of California, and the training of employees regarding the same. The investigation is jointly conducted by the Office of the Attorney General and the District Attorney for Alameda County and appears to be part of a broader effort to investigate waste handling and disposal processes of a number of industries. We are diligently reviewing our policies and procedures applicable to all facilities and cooperating with the investigation. As this inquiry is in its early stages, we are currently unable to reasonably estimate the outcome of this matter.

        Other.    We are subject to other legal proceedings and claims that arise in the ordinary course of our business. The amount of ultimate liability with respect to such actions is not expected to materially affect our financial position, results of operations or liquidity.

        (b)   No previously reported legal proceedings were terminated during the fourth quarter ended December 31, 2012.

ITEM 4.    MINE SAFETY DISCLOSURES

        Not applicable.

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PART II

ITEM 5.    MARKET FOR THE REGISTRANT'S COMMON EQUITY, RELATED STOCKHOLDER MATTERS AND ISSUER PURCHASES OF EQUITY SECURITIES

Common Stock Price

        Our common stock is publicly traded on the NASDAQ Global Select Market under the symbol "DTV." The following table sets forth for the quarters indicated the high and low sales prices for our common stock, as reported on the NASDAQ Global Select Market.

2012  
High
 
Low
 

Fourth Quarter

  $ 54.08   $ 48.00  

Third Quarter

    55.17     46.59  

Second Quarter

    50.35     42.87  

First Quarter

    49.99     41.92  

 

2011  
High
 
Low
 

Fourth Quarter

  $ 48.60   $ 39.82  

Third Quarter

    53.40     40.22  

Second Quarter

    51.23     45.52  

First Quarter

    47.40     40.20  

        As of the close of business on February 13, 2013, there were 46,169 holders of record of our common stock.

Dividend Rights and Other Stockholder Matters

        Holders of our common stock are entitled to such dividends and other distributions in cash, stock or property as may be declared by our Board of Directors in its sole discretion, subject to the preferential and other dividend rights of any outstanding series of our preferred stock. There were no shares of our preferred stock outstanding at December 31, 2012.

        No dividends on our common stock have been declared by our Board of Directors for more than five years. We have no current plans to pay any dividends on our common stock. We currently expect to use our future earnings, if any, for the development of our businesses or other corporate purposes, which may include share repurchases.

        Information regarding compensation plans under which our equity securities may be issued is included in Item 12 through incorporation by reference to our Proxy Statement for the Annual Meeting of Stockholders scheduled to be held on May 2, 2013.

Share Repurchase Programs

        Since 2006 our Board of Directors has approved multiple authorizations for the repurchase of our common stock. In February 2013, our Board of Directors terminated the remaining $857 million available under the 2012 authorization and authorized up to an additional $4 billion for repurchases of our common stock. The authorizations allow us to repurchase our common stock from time to time through open market purchases and negotiated transactions or otherwise. The timing, nature and amount of such transactions will depend on a variety of factors, including market conditions and the program may be suspended, discontinued or accelerated at any time. The sources of funds for the purchases are our existing cash on hand, cash from operations and potential additional borrowings. Purchases are made on the open market, through block trades and other negotiated transactions. Repurchased shares are retired but remain authorized for registration and issuance in the future.

        A summary of the repurchase activity for the three months ended December 31, 2012 is as follows:

Period
 
Total Number
of Shares
Purchased
 
Average Price
Paid Per Share
 
Total Number of
Shares Purchased
as Part of Publicly
Announced Plans
or Programs
 
Maximum Dollar
Value that May
Yet Be Purchased
Under the Plans
or Programs
 
 
  (Amounts in Millions, Except Per Share Amounts)
 

October 1 - 31, 2012

    8   $ 51.45     8   $ 2,579  

November 1 - 30, 2012

    5     49.61     5     2,315  

December 1 - 31, 2012

    12     49.49     12     1,719  
                       

Total

    25     50.12     25     1,719  
                       

        For additional information regarding our share repurchases see Note 15 of the Notes to the Consolidated Financial Statements in Part II, Item 8 of this Annual Report.

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ITEM 6.    SELECTED FINANCIAL DATA

 
 
Years Ended December 31,
 
 
 
2012
 
2011
 
2010
 
2009
 
2008
 
 
  (Dollars in Millions, Except Per Share Amounts)
 

Consolidated Statements of Operations Data:

                               

Revenues

  $ 29,740   $ 27,226   $ 24,102   $ 21,565   $ 19,693  

Total operating costs and expenses

    24,655     22,597     20,206     18,892     16,998  
                       

Operating profit

  $ 5,085   $ 4,629   $ 3,896   $ 2,673   $ 2,695  
                       

Net income attributable to DIRECTV

  $ 2,949   $ 2,609   $ 2,198   $ 942   $ 1,515  

Basic earnings attributable to DIRECTV common stockholders per common share

 
$

4.62
 
$

3.49
 
$

2.31
 
$

0.96
 
$

1.36
 

Diluted earnings attributable to DIRECTV common stockholders per common share

 
$

4.58
 
$

3.47
 
$

2.30
 
$

0.95
 
$

1.36
 

Basic and diluted earnings (loss) attributable to DIRECTV Class B common stockholders per common share, for the period of November 19, 2009 through June 16, 2010, including $160 million exchange inducement value for the Malone Transaction

 
$

 
$

 
$

8.44
 
$

(0.02

)

$

 

Weighted average number of common shares outstanding (in millions):

                               

Basic

    638     747     870     982     1,110  

Diluted

    644     752     876     989     1,114  

Weighted average number of Class B common shares outstanding, for the period of November 19, 2009 through June 16, 2010 (in millions) :

                               

Basic

            22     22      

Diluted

            22     22      

Weighted average number of total common shares outstanding (in millions):

                               

Basic

    638     747     880     985     1,110  

Diluted

    644     752     886     992     1,114  

 

 
 
As of December 31,
 
 
 
2012
 
2011
 
2010
 
2009
 
2008
 
 
  (Dollars in Millions)
 

Consolidated Balance Sheets Data:

                               

Total assets

  $ 20,555   $ 18,423   $ 17,909   $ 18,260   $ 16,539  

Obligations under capital leases

    528     545     580     586     584  

Long-term debt

    17,170     13,464     10,472     6,500     5,725  

Total stockholders' equity (deficit)

    (5,431 )   (3,107 )   (194 )   2,911     4,631  

See the Notes to the Consolidated Financial Statements and Management's Discussion and Analysis of Financial Condition and Results of Operations for additional information regarding significant transactions during each of the three years in the period ended December 31, 2012.

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ITEM 7.    MANAGEMENT'S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION AND RESULTS OF OPERATIONS

CAUTIONARY STATEMENT FOR PURPOSE OF THE "SAFE HARBOR" PROVISIONS OF THE PRIVATE SECURITIES LITIGATION REFORM ACT OF 1995

        This Annual Report on Form 10-K may contain certain statements that we believe are, or may be considered to be, "forward-looking statements" within the meaning of various provisions of the Securities Act of 1933 and of the Securities Exchange Act of 1934. These forward-looking statements generally can be identified by use of statements that include phrases such as we "believe," "expect," "estimate," "anticipate," "intend," "plan," "foresee," "project" or other similar references to future periods. Examples of forward-looking statements include, but are not limited to, statements we make related to our business strategy and regarding our outlook for 2013 financial results, liquidity and capital resources.

        Forward-looking statements are based on our current expectations and assumptions regarding our business, the economy and other future conditions. Because forward-looking statements relate to the future, they are subject to inherent uncertainties, risks and changes in circumstances that are difficult to predict. Our actual results may differ materially from those contemplated by the forward-looking statements. We caution you therefore against relying on any of these forward-looking statements. They are neither statements of historical fact nor guarantees or assurances of future performance. Important factors that could cause actual results to differ materially from those in the forward-looking statements include economic, business, competitive, national or global political, market and regulatory conditions and other risks, each of which is described in more detail in Item 1A—Risk Factors of this Annual Report.

        Any forward looking statement made by us in this Annual Report on Form 10-K speaks only as of the date on which it is made. Factors or events that could cause our actual results to differ may occur and it is not possible for us to predict them all. We undertake no obligation to publicly update any forward-looking statement, whether as a result of new information, future developments or otherwise, except as required by law.

CONTENTS

        The following is a discussion of our results of operations and financial condition. This discussion should be read in conjunction with the consolidated financial statements and related notes included elsewhere in this Annual Report. Information in this section is organized as follows:

    Summary Results of Operations and Financial Condition

    Significant Events Affecting the Comparability of the Results of Operations

    Key Terminology

    Executive Overview and Outlook

    Results of Operations

    Liquidity and Capital Resources

    Contractual Obligations

    Off-Balance Sheet Arrangements

    Contingencies

    Certain Relationships and Related-Party Transactions

    Critical Accounting Estimates

    Accounting Changes

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SUMMARY RESULTS OF OPERATIONS AND FINANCIAL CONDITION

 
 
Years Ended December 31,
 
 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions, Except Per
Share Amounts)

 

Consolidated Statements of Operations Data:

                   

Revenues

  $ 29,740   $ 27,226   $ 24,102  

Total operating costs and expenses

    24,655     22,597     20,206  
               

Operating profit

    5,085     4,629     3,896  

Interest income

    59     34     39  

Interest expense

    (842 )   (763 )   (557 )

Liberty transaction and related gain

            67  

Other, net

    140     84     69  
               

Income before income taxes

    4,442     3,984     3,514  

Income tax expense

    (1,465 )   (1,348 )   (1,202 )
               

Net income

    2,977     2,636     2,312  

Less: Net income attributable to noncontrolling interest

    (28 )   (27 )   (114 )
               

Net income attributable to DIRECTV

  $ 2,949   $ 2,609   $ 2,198  
               

Net income attributable to DIRECTV common stockholders

  $ 2,949   $ 2,609   $ 2,014  

Net income attributable to DIRECTV Class B common stockholders, for the period of January 1, 2010 through June 16, 2010, including $160 million exchange inducement value for the Malone Transaction

            184  
               

Net income attributable to DIRECTV

  $ 2,949   $ 2,609   $ 2,198  
               

Basic earnings attributable to DIRECTV common stockholders per common share

  $ 4.62   $ 3.49   $ 2.31  

Diluted earnings attributable to DIRECTV common stockholders per common share

  $ 4.58   $ 3.47   $ 2.30  

Basic and diluted earnings attributable to DIRECTV Class B common stockholders per common share, for the period of January 1, 2010 through June 16, 2010, including $160 million exchange inducement value for the Malone Transaction

  $   $   $ 8.44  

Weighted average number of common shares outstanding (in millions):

                   

Basic

    638     747     870  

Diluted

    644     752     876  

Weighted average number of Class B common shares outstanding, for the period of January 1, 2010 through June 16, 2010 (in millions) :

                   

Basic

            22  

Diluted

            22  

Weighted average number of total common shares outstanding (in millions):

                   

Basic

    638     747     880  

Diluted

    644     752     886  

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SUMMARY RESULTS OF OPERATIONS AND FINANCIAL CONDITION—(continued)

 
 
December 31,
 
 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Consolidated Balance Sheets Data:

             

Cash and cash equivalents

  $ 1,902   $ 873  

Total current assets

    5,554     4,241  

Total assets

    20,555     18,423  

Total current liabilities

    5,541     4,743  

Long-term debt

    17,170     13,464  

Redeemable noncontrolling interest

    400     265  

Total stockholders' deficit

    (5,431 )   (3,107 )

        Reference should be made to the notes to the Consolidated Financial Statements.

 
 
Years Ended December 31,
 
 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Other Data:

                   

Operating profit before depreciation and amortization (1)

                   

Operating profit

  $ 5,085   $ 4,629   $ 3,896  

Add: Depreciation and amortization expense

    2,437     2,349     2,482  
               

Operating profit before depreciation and amortization

  $ 7,522   $ 6,978   $ 6,378  
               

Operating profit before depreciation and amortization margin

    25.3 %   25.6 %   26.5 %

Cash flow information

                   

Net cash provided by operating activities

  $ 5,634   $ 5,185   $ 5,206  

Net cash used in investing activities

    (3,363 )   (3,022 )   (3,099 )

Net cash used in financing activities

    (1,242 )   (2,792 )   (3,210 )

Free cash flow (2)

                   

Net cash provided by operating activities

  $ 5,634   $ 5,185   $ 5,206  

Less: Cash paid for property and equipment

    (2,960 )   (2,924 )   (2,303 )

Less: Cash paid for satellites

    (389 )   (246 )   (113 )
               

Free cash flow

  $ 2,285   $ 2,015   $ 2,790  
               

(1)
Operating profit before depreciation and amortization, which is a financial measure that is not determined in accordance with accounting principles generally accepted in the United States of America, or GAAP, can be calculated by adding amounts under the caption "Depreciation and amortization expense" to "Operating profit." This measure should be used in conjunction with GAAP financial measures and is not presented as an alternative measure of operating results, as determined in accordance with GAAP. Our management and our Board of Directors use operating profit before depreciation and amortization to evaluate the operating performance of our company and our business segments and to allocate resources and capital to business segments. This metric is also used as a measure of performance for incentive compensation purposes and to measure income generated from operations that could be used to fund capital expenditures, service debt or pay taxes. Depreciation and amortization expense primarily represents an allocation to current expense of the cost of historical capital expenditures and for acquired intangible assets resulting from prior business acquisitions. To compensate for the exclusion of depreciation and amortization expense from operating profit, our management and our Board of Directors separately measure and budget for capital expenditures and business acquisitions.

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SUMMARY RESULTS OF OPERATIONS AND FINANCIAL CONDITION—(continued)

        We believe this measure is useful to investors, along with GAAP measures (such as revenues, operating profit and net income), to compare our operating performance to other communications, entertainment and media service providers. We believe that investors use current and projected operating profit before depreciation and amortization and similar measures to estimate our current or prospective enterprise value and make investment decisions. This metric provides investors with a means to compare operating results exclusive of depreciation and amortization expense. Our management believes this is useful given the significant variation in depreciation and amortization expense that can result from the timing of capital expenditures, the capitalization of intangible assets, potential variations in expected useful lives when compared to other companies and periodic changes to estimated useful lives.
    Operating profit before depreciation and amortization margin is calculated by dividing Operating profit before depreciation and amortization by Revenues.

(2)
Free cash flow, which is a financial measure that is not determined in accordance with GAAP, can be calculated by deducting amounts under the captions "Cash paid for property and equipment" and "Cash paid for satellites" from "Net cash provided by operating activities" from the Consolidated Statements of Cash Flows. This financial measure should be used in conjunction with other GAAP financial measures and is not presented as an alternative measure of cash flows from operating activities, as determined in accordance with GAAP. Our management and our Board of Directors use free cash flow to evaluate the cash generated by our current subscriber base, net of capital expenditures, for the purpose of allocating resources to activities such as adding new subscribers, retaining and upgrading existing subscribers, for additional capital expenditures and other capital investments or transactions and as a measure of performance for incentive compensation purposes. We believe this measure is useful to investors, along with other GAAP measures (such as cash flows from operating and investing activities), to compare our operating performance to other communications, entertainment and media companies. We believe that investors also use current and projected free cash flow to determine the ability of revenues from our current and projected subscriber base to fund required and discretionary spending and to help determine our financial value.

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SUMMARY RESULTS OF OPERATIONS AND FINANCIAL CONDITION—(continued)

Selected Segment Data

 
 
Revenues
 
Percent of
Total
Revenues
 
Operating
Profit (Loss)
 
Depreciation
and
Amortization
Expense
 
Operating
Profit (Loss)
Before
Depreciation
and
Amortization
 
Operating
profit
margin
 
Operating
Profit Before
Depreciation
and
Amortization
Margin
 
 
  (Dollars in Millions)
   
 

December 31, 2012

                                           

DIRECTV U.S. 

  $ 23,235     78.1 % $ 4,153   $ 1,501   $ 5,654     17.9 %   24.3 %

Sky Brasil

    3,501     11.8 %   555     533     1,088     15.9 %   31.1 %

PanAmericana

    2,743     9.2 %   400     374     774     14.6 %   28.2 %
                               

DIRECTV Latin America

    6,244     21.0 %   955     907     1,862     15.3 %   29.8 %

Sports Networks, Eliminations and Other

    261     0.9 %   (23 )   29     6     NM *   NM *
                               

Total

  $ 29,740     100.0 % $ 5,085   $ 2,437   $ 7,522     17.1 %   25.3 %
                               

December 31, 2011

                                           

DIRECTV U.S. 

  $ 21,872     80.3 % $ 3,702   $ 1,587   $ 5,289     16.9 %   24.2 %

Sky Brasil

    3,020     11.1 %   542     449     991     17.9 %   32.8 %

PanAmericana

    2,076     7.6 %   374     298     672     18.0 %   32.4 %
                               

DIRECTV Latin America

    5,096     18.7 %   916     747     1,663     18.0 %   32.6 %

Sports Networks, Eliminations and Other

    258     0.9 %   11     15     26     NM *   NM *
                               

Total

  $ 27,226     100.0 % $ 4,629   $ 2,349   $ 6,978     17.0 %   25.6 %
                               

December 31, 2010

                                           

DIRECTV U.S. 

  $ 20,268     84.1 % $ 3,290   $ 1,926   $ 5,216     16.2 %   25.7 %

Sky Brasil

    2,013     8.4 %   383     298     681     19.0 %   33.8 %

PanAmericana

    1,584     6.6 %   240     243     483     15.2 %   30.5 %
                               

DIRECTV Latin America

    3,597     14.9 %   623     541     1,164     17.3 %   32.4 %

Sports Networks, Eliminations and Other

    237     1.0 %   (17 )   15     (2 )   NM *   NM *
                               

Total

  $ 24,102     100.0 % $ 3,896   $ 2,482   $ 6,378     16.2 %   26.5 %
                               

*
Percentage not meaningful.

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SUMMARY RESULTS OF OPERATIONS AND FINANCIAL CONDITION—(concluded)

        The following represents additional selected information for our operating segments as of and for the year ended:

 
 
Segment Assets
 
Capital Expenditures
 
 
  (Dollars in Millions)
 

December 31, 2012

             

DIRECTV U.S. 

  $ 12,490   $ 1,741  

Sky Brasil

    2,951     812  

PanAmericana

    3,335     786  
           

DIRECTV Latin America

    6,286     1,598  

Sports Networks, Eliminations and Other

   
1,779
   
10
 
           

Total

  $ 20,555   $ 3,349  
           

December 31, 2011

             

DIRECTV U.S. 

  $ 11,796   $ 1,736  

Sky Brasil

    2,663     902  

PanAmericana

    2,601     526  
           

DIRECTV Latin America

    5,264     1,428  

Sports Networks, Eliminations and Other

   
1,363
   
6
 
           

Total

  $ 18,423   $ 3,170  
           

December 31, 2010

             

DIRECTV U.S. 

  $ 11,400   $ 1,557  

Sky Brasil

    2,566     468  

PanAmericana

    2,130     389  
           

DIRECTV Latin America

    4,696     857  

Sports Networks, Eliminations and Other

   
1,813
   
2
 
           

Total

  $ 17,909   $ 2,416  
           

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SIGNIFICANT EVENTS AFFECTING THE COMPARABILITY OF THE RESULTS OF OPERATIONS

Change in Accounting Estimate

    Depreciable Lives of Leased Set-Top Receivers

        We currently lease most set-top receivers provided to new and existing subscribers and therefore capitalize the cost of those set-top receivers. We depreciate capitalized set-top receivers over the estimated useful life of the equipment. As a result of the completion of an extensive evaluation of the estimated useful life of the set-top receivers, including consideration of historical write-offs, improved efficiencies in our refurbishment program, improved set-top receiver failure rates over time and management's judgment of the risk of technological obsolescence, we determined that the estimated useful life of HD set-top receivers used in our DIRECTV U.S. business has increased to four years, from three years, as previously estimated. We will continue to depreciate standard-definition set-top receivers at DIRECTV U.S. over a three-year estimated useful life. We are accounting for this change in the useful life of the HD set-top receivers at DIRECTV U.S. as a change in an accounting estimate beginning July 1, 2011.

        This change had the effect of reducing depreciation and amortization expense and increasing both net income attributable to DIRECTV and earnings per share in our consolidated results of operations as follows:

 
 
Years Ended December 31,
 
 
 
2012
 
2011
 
 
  (Dollars in Millions, Except Per Share Amounts)
 

Depreciation and amortization expense

  $ (176 ) $ (141 )

Net income attributable to DIRECTV

    109     86  

Basic earnings attributable to DIRECTV common stockholders per common share

  $ 0.17   $ 0.12  

Diluted earnings attributable to DIRECTV common stockholders per common share

  $ 0.17   $ 0.11  

Divestitures

        In December 2012, we sold an 18% interest in GSN to our equity partner for $234 million, reducing our ownership interest from 60% to 42%. We recognized a pre-tax gain of $111 million ($68 million after tax) on the sale in "Other, net" in the Consolidated Statements of Operations. For additional information regarding the GSN sale, refer to Note 8 of the Notes to the Consolidated Financial Statements in Item 8, Part II of this Annual Report.

        In April 2011, we sold an equity method investment for $55 million in cash. We recognized a pre-tax gain of $37 million ($23 million after tax) on the sale in "Other, net" in the Consolidated Statements of Operations.

        In March 2011, we sold a 5% ownership interest in GSN to our equity partner for $60 million in cash, reducing our ownership interest to 60%. We recognized a pre-tax gain of $25 million ($16 million after tax) on the sale in "Other, net" in the Consolidated Statements of Operations.

Malone Transaction

        In April 2010, we entered into an agreement with Dr. John C. Malone and his family, or the Malones, under which they exchanged 21.8 million shares of high-vote DIRECTV Class B common stock, which were all of the outstanding DIRECTV Class B shares, for 26.5 million shares of DIRECTV Class A common stock, resulting in the reduction of the Malone's voting interest in DIRECTV from approximately 24% to approximately 3% on June 16, 2010. We refer to this transaction as the Malone Transaction.

        We accounted for the exchange of DIRECTV Class B common stock into DIRECTV Class A common stock pursuant to accounting standards for induced conversions, whereby the $160 million in incremental DIRECTV Class A common stock issued to the former DIRECTV Class B stockholders has been deducted from earnings attributable to DIRECTV Class A stockholders for purposes of calculating earnings per share in the Consolidated Statements of Operations. As a result of the Malone Transaction, diluted earnings per DIRECTV Class A common stock in the Consolidated Statements of Operations was reduced by $0.18 for the year ended December 31, 2010. For additional information, refer to Note 16 of the Notes to the Consolidated Financial Statements in Item 8, Part II of this Annual Report.

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Acquisition

    Globo Transaction

        In connection with our acquisition of Sky Brasil in 2006, Globo was granted the right, until January 2014, to require us to purchase all or a portion (but not less than half) of its 25.9% interest in Sky Brasil. Upon the exercise of this right in the fourth quarter of 2010, we paid $605 million in cash, which was the fair value of the 19% interest purchased, and recorded a reduction to "Redeemable noncontrolling interest" in the Consolidated Balance Sheets. We and our subsidiaries now own approximately 93% of Sky Brasil and Globo retains the right to sell its remaining 7% interest to us at fair value until January 2014 as discussed in Note 21 of the Notes to the Consolidated Financial Statements in Item 8, Part II of this Annual Report.

Financing Transactions

    2012 Financing Transactions

        In the first quarter of 2012, DIRECTV U.S. borrowed and repaid $400 million under its $2.0 billion revolving credit facility, which was terminated on September 28, 2012, and replaced with a three and one-half year, $1.0 billion revolving credit facility and a five year, $1.5 billion revolving credit facility. In November 2012, DIRECTV U.S. established a commercial paper program backed by its revolving credit facilities, which provides for the issuance of short-term commercial paper in the United States up to a maximum aggregate principal of $2.5 billion. For the year ended December 31, 2012, borrowings under the commercial paper program, net of repayments, were $358 million.

        In 2012, DIRECTV U.S. issued $5.2 billion of senior notes resulting in $5,190 million of proceeds, net of discount. Also in 2012, DIRECTV U.S. redeemed its then outstanding $1,500 million of 7.625% senior notes, resulting in a pre-tax charge of $64 million ($40 million after tax) for the premiums paid and for the write-off of deferred debt issuance and other transaction costs. The charge was recorded in "Other, net" in our Consolidated Statements of Operations.

    2011 Financing Transactions

        In 2011, DIRECTV U.S. issued $4.0 billion of senior notes resulting in $3,990 million of proceeds, net of discount. Also in 2011, DIRECTV U.S. purchased and redeemed its then outstanding $1,002 million of 6.375% senior notes, resulting in a pre-tax charge of $25 million ($16 million after tax) primarily for the premiums paid. The charge was recorded in "Other, net" in our Consolidated Statements of Operations.

    2010 Financing Transactions

        In 2010, DIRECTV U.S. issued $6.0 billion of senior notes resulting in $5,978 million of proceeds, net of discount. Also in 2010, DIRECTV U.S. repaid the $2,205 million of remaining principal on the Term Loans of its senior secured credit facility, resulting in a pre-tax charge of $16 million ($10 million after tax) for the write-off of deferred debt issuance and other transaction costs. The charge was recorded in "Other, net" in our Consolidated Statements of Operations.

        Collar Loan.    As part of the Liberty Transaction in November 2009, we assumed a credit facility and related equity collars, which we refer to as the Collar Loan. During the first quarter of 2010, we paid $1,537 million to repay the remaining principal balance and accrued interest on the credit facility, and to settle the equity collars. As a result, we recorded a gain of $67 million in "Liberty transaction and related gain" in the Consolidated Statements of Operations in the first quarter of 2010 related to the Collar Loan.

Venezuela Devaluation and Foreign Currency Exchange Controls

        In January 2010, the Venezuelan government announced the creation of a dual exchange rate system, including an exchange rate of 4.3 bolivars per U.S. dollar for most of the activities of our Venezuelan operations compared to an exchange rate of 2.15 Venezuelan bolivars prior to the announcement. As a result of this devaluation, we recorded a $6 million charge to net income in the year ended December 31, 2010 related to the adjustment of net bolivar denominated monetary assets to the new official exchange rate.

        Companies operating in Venezuela are required to obtain Venezuelan government approval to exchange bolivars into U.S. dollars at the official exchange rate and we have not been able to consistently exchange Venezuelan bolivars into U.S. dollars at the official rate. Until the closing of the parallel market in May, 2010, we relied on a parallel exchange process to settle U.S. dollar obligations and to repatriate accumulated cash balances. The rates implied by transactions in the parallel market, were significantly higher than the official rate (6 to 7 bolivars per U.S. dollar). As a result, we recorded a $22 million charge in 2010 in "General and administrative expenses" in the Consolidated Statements of Operations in

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connection with the exchange of accumulated Venezuelan cash balances to U.S. dollars using the parallel exchange process.

        In February 2013, the Venezuelan government announced a devaluation of the bolivar, which will result in a pre-tax charge in "General and administrative expenses" in the Consolidated Statements of Operations of approximately $160 million in the first quarter of 2013. See "Liquidity and Capital Resources" below for additional information regarding the Venezuelan devaluation and foreign currency exchange controls.

Share Repurchase Program

        Since 2006 our Board of Directors has approved multiple authorizations for the repurchase of our common stock. As of December 31, 2012, we had approximately $1,719 million remaining under the authorization given by the Board of Directors in 2012. In February 2013, our Board of Directors terminated the remaining $857 million available under the 2012 authorization and authorized up to an additional $4 billion for repurchases of our common stock. The following table sets forth information regarding shares repurchased and retired for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
  (Amounts in Millions, Except Per Share Amounts)
 

Total cost of repurchased and retired shares

  $ 5,148   $ 5,455   $ 5,179  

Average price per share

  $ 48.24   $ 45.78   $ 38.20  

Number of shares repurchased and retired

    107     119     136  

KEY TERMINOLOGY

        Revenues.    We earn revenues mostly from monthly fees we charge subscribers for subscriptions to basic and premium channel programming, advanced receiver fees (which include HD, DVR and multi-room viewing), pay-per-view programming, and seasonal live sporting events. We also earn revenues from monthly fees we charge subscribers for multiple leased set-top receivers, monthly fees that we charge subscribers with multiple non-leased set-top receivers (which we refer to as mirroring fees), hardware revenues from subscribers who lease or purchase set-top receivers from us, warranty service fees and advertising services. Revenues are reported net of customer credits and discounted promotions.

        Broadcast Programming and Other.    These costs primarily include license fees for subscription service programming, pay-per-view programming, live sports and other events. Other costs include continuing service fees paid to third parties for active subscribers and warranty service costs.

        Subscriber Service Expenses.    Subscriber service expenses include the costs of customer call centers, billing, remittance processing and service calls.

        Broadcast Operations Expenses.    These expenses include broadcast center operating costs, signal transmission expenses (including costs of collecting signals for our local channel offerings), and costs of monitoring, maintaining and insuring our satellites. Also included are engineering expenses associated with deterring theft of our signal.

        Subscriber Acquisition Costs.    These costs include the cost of set-top receivers and other equipment, commissions we pay to national retailers, independent satellite television retailers, dealers and telcos, and the cost of installation, advertising, marketing and customer call center expenses associated with the acquisition of new subscribers. Set-top receivers leased to new subscribers are capitalized in "Property and equipment, net" in the Consolidated Balance Sheets and depreciated over their useful lives. In certain countries in Latin America, where our customer agreements provide for the lease of the entire DIRECTV or SKY System, we also capitalize the costs of the other customer premises equipment and related installation costs. The amount of set-top receivers capitalized each period for subscriber acquisitions is included in "Cash paid for property and equipment" in the Consolidated Statements of Cash Flows.

        Upgrade and Retention Costs.    Upgrade and retention costs are associated with upgrade efforts for existing subscribers that we believe will result in higher average monthly revenue per subscriber, or ARPU, and lower churn. Our upgrade efforts include subscriber equipment upgrade programs for DVR, HD and HD DVR receivers and local channels, our multiple set-top receiver offers and similar initiatives. Retention costs also include the costs of installing and providing hardware under our movers program for subscribers relocating to a new residence. Set-top receivers leased to existing subscribers under upgrade and retention programs are capitalized in "Property and equipment, net" in the Consolidated Balance Sheets and depreciated over their useful lives. The amount of set-top receivers capitalized each period for upgrade and retention programs is included in

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"Cash paid for property and equipment" in the Consolidated Statements of Cash Flows.

        General and Administrative Expenses.    General and administrative expenses include departmental costs for legal, administrative services, finance, marketing and information technology. These costs also include expenses for bad debt and other operating expenses, such as legal settlements, and gains or losses from the sale or disposal of fixed assets.

        Average Monthly Revenue Per Subscriber.    We calculate ARPU by dividing average monthly revenues for the period (total revenues during the period divided by the number of months in the period) by average subscribers for the period. We calculate average subscribers for the period by adding the number of subscribers as of the beginning of the period and for each quarter end in the current year or period and dividing by the sum of the number of quarters in the period plus one.

        Average Monthly Subscriber Churn.    Average monthly subscriber churn represents the number of subscribers whose service is disconnected, expressed as a percentage of the average total number of subscribers. We calculate average monthly subscriber churn by dividing the average monthly number of disconnected subscribers for the period (total subscribers disconnected, net of reconnects, during the period divided by the number of months in the period) by average subscribers for the period.

        Subscriber Count.    The total number of subscribers represents the total number of subscribers actively subscribing to our service, including subscribers who have suspended their account for a particular season of the year because they are temporarily away from their primary residence and subscribers who are in the process of relocating and commercial equivalent viewing units.

        SAC.    We calculate SAC, which represents total subscriber acquisition costs stated on a per subscriber basis, by dividing total subscriber acquisition costs for the period by the number of gross new subscribers acquired during the period. We calculate total subscriber acquisition costs for the period by adding together "Subscriber acquisition costs" expensed during the period and the amount of cash paid for equipment leased to new subscribers during the period.

EXECUTIVE OVERVIEW AND OUTLOOK

        The United States and other countries in which we operate are continuing to undergo a period of economic uncertainty. As discussed in "Competition" in Item 1, in addition to cable and satellite system operators, we are experiencing increasing competition from telcos and other emerging digital media distribution providers. Please refer to "Risk Factors" in Item 1A for a further discussion of risks that may affect forecasted results of our business generally.

        DIRECTV U.S.    DIRECTV U.S. faces key challenges related to weak macroeconomic conditions that continue to put pressure on the U.S. consumer, the rapid advance of technology that provides consumers with more options both in and out of the home and a maturing industry that is increasingly competitive. In addition, programming content providers are continuing to seek increased rates for their content. We are pursuing strategic priorities for the DIRECTV U.S. business that we believe will result in consistent revenue and operating profit before depreciation and amortization growth over the next three years.

        Our revenue growth at DIRECTV U.S. has been generated by increases in the total number of subscribers and ARPU growth. In 2013, we expect revenue to increase in the mid-single digit percentage range driven primarily by ARPU growth, which is expected to be generated mainly by price increases, higher penetration of advanced services, less discounting and continued revenue growth in DIRECTV Cinema, commercial and advertising sales.

        In 2013, we expect operating profit before depreciation and amortization to grow in the mid-single digit percentage range. We intend to manage the impact to our margins from higher programming costs by attaining productivity improvements from recent capital projects and by closely managing other costs across the organization.

        We expect capital expenditures in 2013 to increase to approximately $2 billion at DIRECTV U.S. primarily due to increased capital expenditures related to key initiatives that are expected to enhance our DIRECTV Everywhere experience and to drive greater customer satisfaction and loyalty, the construction of new satellites, as well as the build out of our new El Segundo campus.

        DIRECTV Latin America.    In Latin America, pay TV penetration and relatively favorable macroeconomic and demographic trends continue to provide a substantial opportunity for growth. In particular, we will continue to strengthen our brand leadership position in the higher-end markets with a focus on our superior

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HD and DVR products. In addition, we plan to further penetrate the rapidly growing middle market by continuing to offer attractive lower priced post-paid packages and pre-paid services.

        In 2013, we expect net subscriber additions of approximately two million. Prior to the Venezuelan currency devaluation in February 2013, we expected growth in revenues and operating profit before depreciation and amortization to be slightly below 20%. However, as a result of the currency devaluation in Venezuela, we now expect revenues to grow in the mid-teen percentage range and for operating profit before depreciation and amortization to be flat as compared to 2012. The flat operating profit before depreciation and amortization reflects the effect of the Venezuelan pre-tax devaluation charge of approximately $160 million ($150 million after tax), the reduced exchange rate in 2013 and the fact that operating profit before depreciation and amortization margins are higher in Venezuela than in the rest of the region. We expect capital expenditures to increase to $2 billion, which includes capital expenditures for subscriber growth, investments in upgrading DIRECTV Latin America's infrastructure, including satellites and related broadcast facilities, as well as strategic initiatives such as wireless broadband.

        DIRECTV Consolidated.    Excluding one-time items such as the Venezuela devaluation charge which is estimated to reduce earning per common share by $0.27 in the first quarter of 2013, we anticipate earnings per common share to grow to $5 per share or greater in 2013 resulting from higher operating profit coupled with a continued anticipated decline in weighted average common shares outstanding resulting from our share repurchase program, partially offset by increased interest and income tax expenses.

        At the consolidated DIRECTV level, we anticipate free cash flow, or cash provided by operating activities less capital expenditures, to decrease modestly compared to 2012 due primarily to the impact of the Venezuela devaluation, as well as higher cash paid for taxes and interest. We believe that cash paid for taxes will be higher in 2013 as compared to 2012, as a result of an increase in earnings before taxes coupled with an increase in our cash tax rate to the mid-to-high 30% range primarily due to an expected tax payment in 2013 upon the close of a tax audit, the reversal of depreciation benefits associated with prior year economic stimulus programs and absence of a state tax credit carryforward that we had in 2012.

RESULTS OF OPERATIONS

Year Ended December 31, 2012 Compared with the Year Ended December 31, 2011

DIRECTV U.S. Results of Operations

        The following table provides operating results and a summary of key subscriber data for the DIRECTV U.S. segment:

 
   
   
 
Change
 
 
 
2012
 
2011
 
$
 
%
 
 
  (Dollars in Millions, Except Per Subscriber Amounts)
 

Revenues

  $ 23,235   $ 21,872   $ 1,363     6.2 %

Operating costs and expenses

                         

Costs of revenues, exclusive of depreciation and
amortization expense

                         

Broadcast programming and other

    10,743     9,799     944     9.6 %

Subscriber service expenses

    1,464     1,435     29     2.0 %

Broadcast operations expenses

    306     300     6     2.0 %

Selling, general and administrative expenses, exclusive
of depreciation and amortization expense

                         

Subscriber acquisition costs

    2,673     2,794     (121 )   (4.3 )%

Upgrade and retention costs

    1,253     1,209     44     3.6 %

General and administrative expenses

    1,142     1,046     96     9.2 %

Depreciation and amortization expense

    1,501     1,587     (86 )   (5.4 )%
                     

Total operating costs and expenses

    19,082     18,170     912     5.0 %
                     

Operating profit

  $ 4,153   $ 3,702   $ 451     12.2 %
                     

Operating profit margin

    17.9 %   16.9 %        

Other data:

                         

Operating profit before depreciation and amortization

  $ 5,654   $ 5,289   $ 365     6.9 %

Operating profit before depreciation and amortization margin

    24.3 %   24.2 %        

Total number of subscribers (in thousands)

    20,084     19,885     199     1.0 %

ARPU

  $ 96.98   $ 93.27   $ 3.71     4.0 %

Average monthly subscriber churn %

    1.53 %   1.56 %       (1.9 )%

Gross subscriber additions (in thousands)

    3,874     4,316     (442 )   (10.2 )%

Subscriber disconnections (in thousands)

    3,675     3,654     21     0.6 %

Net subscriber additions (in thousands)

    199     662     (463 )   (69.9 )%

Average subscriber acquisition costs—per subscriber (SAC)

  $ 859   $ 813   $ 46     5.7 %

Capital expenditures:

                         

Property and equipment

  $ 541   $ 567   $ (26 )   (4.6 )%

Subscriber leased equipment—subscriber acquisitions

    656     713     (57 )   (8.0 )%

Subscriber leased equipment—upgrade and retention

    291     315     (24 )   (7.6 )%

Satellites

    253     141     112     79.4 %
                     

Total capital expenditures

  $ 1,741   $ 1,736   $ 5     0.3 %
                     

Depreciation expense—subscriber leased equipment

  $ 815   $ 903   $ (88 )   (9.7 )%

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        Subscribers.    In 2012, net subscriber additions decreased due to lower gross subscriber additions primarily resulting from an increased focus on attaining higher-quality subscribers and stricter credit policies, as well as lower gross additions from our telco sales channel. Average monthly churn decreased in 2012 primarily due to a greater number of subscribers on contract commitments and auto-bill pay.

        Revenues.    Our revenues increased as a result of higher ARPU and the larger subscriber base. The increase in ARPU resulted primarily from price increases on programming packages and set-top receiver lease fees, as well as higher advanced receiver service fees and higher commercial revenues, partially offset by increased promotional offers to new and existing subscribers.

        Operating profit before depreciation and amortization.    Operating profit before depreciation and amortization was higher in 2012 as compared to 2011 as higher revenues and lower subscriber acquisition costs were partially offset by higher broadcasting programming costs, increased general and administrative costs and higher upgrade and retention costs.

        Operating profit before depreciation and amortization margin increased in 2012 as compared to 2011 as the revenue growth, lower subscriber acquisition costs and efficiencies in subscriber service costs were partially offset by higher relative growth in broadcast programming and other costs.

        Broadcast programming and other costs increased primarily due to annual program supplier rate increases and the larger number of subscribers.

        Subscriber acquisition costs decreased primarily due to lower gross subscriber additions. SAC per subscriber, which includes the cost of capitalized set top receivers, increased primarily due to an increase in subscriber demand for advanced products and higher marketing costs per subscriber added.

        Upgrade and retention costs increased in 2012 due to our increased focus on upgrading and retaining high-quality subscribers.

        General and administrative expenses increased in 2012 primarily due to a benefit from a property tax adjustment recorded in 2011, as well as equipment impairment charges recorded in 2012, primarily related to equipment financing provided to a dealer that has entered into bankruptcy proceedings, as well as higher rent and labor expenses in 2012.

        Operating profit.    Operating profit and operating profit margin increased in 2012 as compared to 2011. The increase in operating profit was primarily due to the increase in operating profit before depreciation and amortization expense and lower depreciation and amortization expense in 2012 resulting from the change in HD set-top receiver estimated depreciable life from three to four years, as well as the completion of the amortization of a contract rights intangible asset. The increase in operating profit margin was primarily due to the decrease in depreciation and amortization expense.

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DIRECTV Latin America Results of Operations

        The following table provides operating results and a summary of key subscriber data for the consolidated DIRECTV Latin America operations:

 
   
   
 
Change
 
 
 
2012
 
2011
 
$
 
%
 
 
  (Dollars in Millions, Except Per Subscriber Amounts)
 

Revenues

  $ 6,244   $ 5,096   $ 1,148     22.5 %

Operating profit before depreciation and amortization

    1,862     1,663     199     12.0 %

Operating profit before depreciation and amortization margin

    29.8 %   32.6 %        

Operating profit

  $ 955   $ 916   $ 39     4.3 %

Operating profit margin

    15.3 %   18.0 %        

Other data:

                         

ARPU

  $ 57.25   $ 62.64   $ (5.39 )   (8.6 )%

Average monthly total subscriber churn %

    1.81 %   1.78 %       1.7 %

Average monthly post paid subscriber churn %

    1.50 %   1.42 %       5.6 %

Total number of subscribers (in thousands) (1)

    10,328     7,871     2,457     31.2 %

Gross subscriber additions (in thousands) (1) (2)

    4,417     3,510     907     25.8 %

Net subscriber additions (in thousands) (1) (2)

    2,439     2,063     376     18.2 %

Capital expenditures:

                         

Property and equipment

  $ 214   $ 93   $ 121     130.1 %

Subscriber leased equipment—subscriber acquisitions

    837     834     3     0.4 %

Subscriber leased equipment—upgrade and retention

    419     397     22     5.5 %

Satellites

    128     104     24     23.1 %
                     

Total capital expenditures

  $ 1,598   $ 1,428   $ 170     11.9 %
                     

(1)
DIRECTV Latin America subscriber data exclude subscribers of the Sky Mexico platform.

(2)
Excludes 18,000 subscribers acquired in a 2012 transaction in Brazil.

        Subscribers.    The increase in gross subscriber additions was primarily due to higher demand for our middle market products, primarily in Brazil, Argentina, Colombia and Venezuela. Net subscriber additions increased in 2012 due to the higher gross subscriber additions, partially offset by slightly higher average monthly total subscriber churn, resulting from an increase in average monthly post paid subscriber churn compared to 2011, primarily in Brazil related to penetration of the middle market.

        Revenues.    Revenues increased in 2012, primarily due to strong subscriber growth, partially offset by a decrease in ARPU. The decrease in ARPU was primarily due to unfavorable exchange rates in Brazil and Argentina, as well as the effect of increased penetration in the middle market, partially offset by price increases on programming packages and higher penetration of advanced products.

        Operating profit before depreciation and amortization.    Operating profit before depreciation and amortization increased in 2012 as compared to 2011, primarily due to the higher revenues, partially offset by higher broadcast programming costs related to the larger subscriber base. In PanAmericana, broadcast programming costs included higher costs associated with certain soccer events and the Olympics. Also in PanAmericana, subscriber service and general and administrative expenses increased as a result of inflationary pressures on labor, subscriber acquisition costs increased due to the higher number of gross subscriber additions and upgrade and retention costs increased due to costs associated with the replacement of first generation set-top receivers.

        Operating profit before depreciation and amortization margin decreased in 2012 as compared to 2011, as the revenue growth was more than offset by higher relative growth in subscriber service expenses associated with serving the middle market in Brazil as well as the incremental costs in PanAmericana, as discussed above.

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        Operating profit.    Operating profit increased in 2012 as compared to 2011, primarily due to higher operating profit before depreciation and amortization, discussed above, partially offset by higher depreciation and amortization expense resulting from an increase in basic and advanced product receivers capitalized due to the higher gross subscriber additions attained in 2012.

        Operating profit margin decreased in 2012 as compared to 2011 due to the lower operating profit before depreciation and amortization margin and higher depreciation and amortization expense.

DIRECTV Other Income, Income Taxes and Net Income Attributable to Noncontrolling Interest

        Interest income.    Interest income was $59 million in 2012 and $34 million in 2011.

        Interest expense.    The increase in interest expense to $842 million in 2012 from $763 million in 2011 was due to an increase in the average debt balances compared to 2011, partially offset by a decrease in weighted average interest rates. We capitalized interest costs of $24 million in 2012 and $13 million in 2011.

        Other, net.    The significant components of "Other, net" were as follows:

 
 
2012
 
2011
 
Change
 
 
  (Dollars in Millions)
 

Equity in earnings of unconsolidated subsidiaries

  $ 131   $ 109   $ 22  

Net foreign currency transaction loss

    (34 )   (50 )   16  

Fair value adjustment loss on non-employee stock options

    (4 )   (4 )    

Loss on early extinguishment of debt

    (64 )   (25 )   (39 )

Net gain from sale of investments

    122     63     59  

Other

    (11 )   (9 )   (2 )
               

Total

  $ 140   $ 84   $ 56  
               

        Income tax expense.    We recognized income tax expense of $1,465 million in 2012 and $1,348 million in 2011. The effective tax rate for 2012 was 33.0% compared to 33.8% for 2011. The lower effective tax rate was primarily attributable to a benefit recorded for the recognition of uncertain tax benefits due to the expiration of the statute of limitations in federal and foreign tax jurisdictions.

        Net income attributable to noncontrolling interest.    Net income attributable to noncontrolling interest was $28 million in 2012 and $27 million in 2011.

Earnings Per Share

        Earnings per share and weighted shares outstanding were as follows for the years ended December 31:

 
 
2012
 
2011
 
 
  (Shares in Millions)
 

Basic earnings attributable to DIRECTV common stockholders per common share

  $ 4.62   $ 3.49  

Diluted earnings attributable to DIRECTV common stockholders per common share

  $ 4.58   $ 3.47  

Weighted average number of common shares outstanding (in millions):

             

Basic

    638     747  

Diluted

    644     752  

        The increases in basic and diluted earnings per share were due a reduction in weighted average shares outstanding resulting from our share repurchase program and higher net income attributable to DIRECTV.

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Year Ended December 31, 2011 Compared with the Year Ended December 31, 2010

DIRECTV U.S. Results of Operations

        The following table provides operating results and a summary of key subscriber data for the DIRECTV U.S. segment:

 
   
   
 
Change
 
 
 
2011
 
2010
 
$
 
%
 
 
  (Dollars in Millions, Except Per Subscriber Amounts)
 

Revenues

  $ 21,872   $ 20,268   $ 1,604     7.9 %

Operating costs and expenses

                         

Costs of revenues, exclusive of depreciation and
amortization expense

                         

Broadcast programming and other

    9,799     8,699     1,100     12.6 %

Subscriber service expenses

    1,435     1,340     95     7.1 %

Broadcast operations expenses

    300     273     27     9.9 %

Selling, general and administrative expenses, exclusive of depreciation and amortization expense

                         

Subscriber acquisition costs

    2,794     2,631     163     6.2 %

Upgrade and retention costs

    1,209     1,106     103     9.3 %

General and administrative expenses

    1,046     1,003     43     4.3 %

Depreciation and amortization expense

    1,587     1,926     (339 )   (17.6 )%
                     

Total operating costs and expenses

    18,170     16,978     1,192     7.0 %
                     

Operating profit

  $ 3,702   $ 3,290   $ 412     12.5 %
                     

Operating profit margin

    16.9 %   16.2 %        

Other data:

                         

Operating profit before depreciation and amortization

  $ 5,289   $ 5,216   $ 73     1.4 %

Operating profit before depreciation and amortization
margin

    24.2 %   25.7 %        

Total number of subscribers (in thousands)

    19,885     19,223     662     3.4 %

ARPU

  $ 93.27   $ 89.71   $ 3.56     4.0 %

Average monthly subscriber churn %

    1.56 %   1.53 %       2.0 %

Gross subscriber additions (in thousands)

    4,316     4,124     192     4.7 %

Subscriber disconnections (in thousands)

    3,654     3,461     193     5.6 %

Net subscriber additions (in thousands)

    662     663     (1 )   (0.2 )%

Average subscriber acquisition costs—per subscriber
(SAC)

  $ 813   $ 796   $ 17     2.1 %

Capital expenditures:

                         

Property and equipment

  $ 567   $ 477   $ 90     18.9 %

Subscriber leased equipment—subscriber acquisitions

    713     651     62     9.5 %

Subscriber leased equipment—upgrade and retention

    315     316     (1 )   (0.3 )%

Satellites

    141     113     28     24.8 %
                     

Total capital expenditures

  $ 1,736   $ 1,557   $ 179     11.5 %
                     

Depreciation expense—subscriber leased equipment

  $ 903   $ 1,145   $ (242 )   (21.1 )%

        Subscribers.    In 2011, net subscriber additions were relatively unchanged as higher gross additions mainly resulting from improved customer offers were offset by an increase in the monthly churn rate, which resulted primarily from a more competitive environment.

        Revenues.    Our revenues increased as a result of higher ARPU and the larger subscriber base. The increase in ARPU resulted primarily from price increases on programming packages, higher set-top receiver lease fees, higher advanced service fees, higher premium channel buy rates and an increase in NFL SUNDAY TICKET revenues, partially offset by higher promotional offers to new and existing subscribers.

        Operating profit before depreciation and amortization.    Operating profit before depreciation and amortization was higher in 2011 as compared to 2010 as increased revenues were partially offset by higher broadcasting programming costs, increased subscriber acquisition costs and higher upgrade and retention costs. Operating profit before depreciation and amortization margin decreased in 2011 as compared to 2010 as the revenue growth was more than offset by higher relative growth in broadcast programming and other costs.

        Broadcast programming and other costs increased primarily due to annual program supplier rate increases, higher costs resulting from our new NFL SUNDAY TICKET contract, which went into effect with the 2011 season and the larger number of subscribers. Subscriber service expenses increased in 2011 compared to 2010 primarily due to service quality improvement initiatives and the higher number of subscribers.

        Subscriber acquisition costs and SAC per subscriber, which includes the cost of capitalized set top receivers, increased primarily due to higher subscriber demand for advanced products, as well as higher gross additions and increased dealer commissions, partially offset by lower marketing costs.

        Upgrade and retention costs increased in 2011 due to a higher installation costs associated with higher advanced equipment upgrades.

        General and administrative expenses increased in 2011 primarily due to increased labor and benefit costs related to higher incentive compensation and increased headcount, as well as higher bad debt expense associated with higher revenue, partially offset by a decrease in property tax expenses.

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        Operating profit.    Operating profit and operating profit margin increased in 2011 as compared to 2010 due to lower depreciation and amortization expense in 2011 resulting from the change in HD set-top receiver estimated depreciable life from three to four years, lower depreciation expense associated with a reduction in capitalized set-top receivers over the last several years and the completion of the amortization of a subscriber-related intangible asset, partially offset by lower operating profit before depreciation and amortization margin.

DIRECTV Latin America Results of Operations

        The following table provides operating results and a summary of key subscriber data for the consolidated DIRECTV Latin America operations:

 
   
   
 
Change
 
 
 
2011
 
2010
 
$
 
%
 
 
  (Dollars in Millions, Except Per Subscriber Amounts)
 

Revenues

  $ 5,096   $ 3,597   $ 1,499     41.7 %

Operating profit before depreciation and amortization

    1,663     1,164     499     42.9 %

Operating profit before depreciation and amortization margin

    32.6 %   32.4 %        

Operating profit

  $ 916   $ 623   $ 293     47.0 %

Operating profit margin

    18.0 %   17.3 %        

Other data:

                         

ARPU

  $ 62.64   $ 57.95   $ 4.69     8.1 %

Average monthly total subscriber churn %

    1.78 %   1.77 %       0.6 %

Average monthly post paid subscriber churn %

    1.42 %   1.47 %       (3.4 )%

Total number of subscribers (in thousands) (1)

    7,871     5,808     2,063     35.5 %

Gross subscriber additions (in thousands)

    3,510     2,318     1,192     51.4 %

Net subscriber additions (in thousands)

    2,063     1,220     843     69.1 %

Capital expenditures:

                         

Property and equipment

  $ 93   $ 60   $ 33     55.0 %

Subscriber leased equipment—subscriber acquisitions

    834     562     272     48.4 %

Subscriber leased equipment—upgrade and retention

    397     235     162     68.9 %

Satellites

    104         104      
                     

Total capital expenditures

  $ 1,428   $ 857   $ 571     66.6 %
                     

(1)
DIRECTV Latin America subscriber data exclude subscribers of the Sky Mexico platform.

        Subscribers.    The increase in gross subscriber additions was primarily due to higher demand for our middle market products, primarily in Brazil, as well as increased gross subscriber additions in Argentina. Net subscriber additions increased

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in 2011 due to the higher gross subscriber additions and lower post paid churn in Venezuela and Brazil compared to 2010.

        Revenues.    Revenues increased due to strong subscriber and ARPU growth across the region, particularly in Brazil. ARPU increased primarily due to price increases and higher penetration of advanced products across the region, as well as favorable exchange rates in Brazil.

        Operating profit before depreciation and amortization.    Operating profit before depreciation and amortization increased in 2011 as compared to 2010, primarily due to the increased gross profit generated from the higher revenues, partially offset by higher subscriber acquisition costs due to the higher number of gross subscriber additions, higher general and administrative costs as well as higher upgrade and retention costs resulting from the increased demand for advanced products.

        Operating profit.    Operating profit increased in 2011 as compared to 2010, primarily due to higher operating profit before depreciation and amortization, discussed above, partially offset by higher depreciation and amortization expense resulting from an increase in basic and advanced product receivers capitalized due to the higher gross subscriber additions attained over the last year.

DIRECTV Other Income, Income Taxes and Net Income Attributable to Noncontrolling Interest

        Interest income.    Interest income was $34 million in 2011 and $39 million in 2010.

        Interest expense.    The increase in interest expense to $763 million in 2011 from $557 million in 2010 was due to an increase in the average debt balances compared to 2010, partially offset by a decrease in weighted average interest rates. We capitalized interest costs of $13 million in 2011 and $6 million in 2010.

        Liberty transaction and related gain.    In 2010, we recorded a $67 million net gain from the settlement of the equity collars and debt assumed as part of the Liberty Transaction.

        Other, net.    The significant components of "Other, net" were as follows:

 
 
2011
 
2010
 
Change
 
 
  (Dollars in Millions)
 

Equity in earnings of unconsolidated subsidiaries

  $ 109   $ 90   $ 19  

Net foreign currency transaction gain (loss)

    (50 )   11     (61 )

Fair value adjustment loss on non-employee stock options

    (4 )   (11 )   7  

Loss on early extinguishment of debt

    (25 )   (16 )   (9 )

Net gain from sale of investments

    63     6     57  

Other

    (9 )   (11 )   2  
               

Total

  $ 84   $ 69   $ 15  
               

        Income tax expense.    We recognized income tax expense to $1,348 million in 2011 and $1,202 million in 2010. The effective tax rate for 2011 was 33.8% compared to 34.2% for 2010. The lower effective tax rate was primarily attributable to a benefit recorded for previously unrecognized foreign tax credits and a benefit recorded for domestic production activities deduction in 2011.

        Net income attributable to noncontrolling interest.    Net income attributable to noncontrolling interest decreased to $27 million in 2011 as compared to $114 million in 2010. This decrease was primarily a result of the Globo Transaction in the fourth quarter of 2010 which increased our ownership percentage in Sky Brasil and a net tax benefit attributable to the noncontrolling interest resulting from the release of a deferred income tax asset valuation allowance in 2010.

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Earnings Per Share

        Class A common stock earnings per share and weighted shares outstanding were as follows for the years ended December 31:

 
 
2011
 
2010
 
 
  (Shares in Millions)
 

Basic earnings attributable to DIRECTV Class A common stockholders per common share

  $ 3.49   $ 2.31  

Diluted earnings attributable to DIRECTV Class A common stockholders per common share

  $ 3.47   $ 2.30  

Weighted average number of Class A common shares outstanding (in millions):

             

Basic

    747     870  

Diluted

    752     876  

        The increases in basic and diluted earnings per share for common stock were due to higher net income attributable to DIRECTV, a reduction in weighted average shares outstanding resulting from our share repurchase program, and the $0.19 reduction to basic and $0.18 reduction to diluted earnings per common share resulting from the Malone Transaction in 2010.

LIQUIDITY AND CAPITAL RESOURCES

        Our principal sources of liquidity are our cash, cash equivalents and the cash flow that we generate from our operations. We expect that net cash provided by operating activities will grow and believe that our existing cash balances and cash provided by operations will be sufficient to fund our existing business plan. On September 28, 2012, DIRECTV U.S.' $2.0 billion revolving credit facility was terminated and replaced with a $1.0 billion revolving credit facility available until 2016 and $1.5 billion revolving credit facility available until 2017. As of December 31, 2012, there were no borrowings under the new revolving credit facilities. We may borrow additional funds under these facilities to fund share repurchases or to fund strategic investment opportunities should they arise. On November 27, 2012, DIRECTV U.S. established a commercial paper program backed by its revolving credit facilities, which provides for the issuance of short-term commercial paper in the United States up to a maximum aggregate principal of $2.5 billion. Aggregate amounts outstanding under the revolving credit facilities and the commercial paper program are limited to $2.5 billion.

        At December 31, 2012, our cash and cash equivalents totaled $1,902 million compared with $873 million at December 31, 2011.

        As a measure of liquidity, the current ratio (ratio of current assets to current liabilities) was 1.00 at December 31, 2012 and 0.89 at December 31, 2011. Working capital increased by $515 million to $13 million at December 31, 2012 from a deficit of $502 million at December 31, 2011. The increase during the year was primarily due to the increase in cash and cash equivalents, primarily due to an increase in proceeds from the issuance of long-term debt.

Summary Cash Flow Information

 
 
Years Ended December 31,
 
 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Net cash provided by operating activities

  $ 5,634   $ 5,185   $ 5,206  

Net cash used in investing activities

    (3,363 )   (3,022 )   (3,099 )

Net cash used in financing activities

    (1,242 )   (2,792 )   (3,210 )

Free cash flow:

                   

Net cash provided by operating activities

  $ 5,634   $ 5,185   $ 5,206  

Less: Cash paid for property, equipment and satellites

    (3,349 )   (3,170 )   (2,416 )
               

Free cash flow

  $ 2,285   $ 2,015   $ 2,790  
               

Cash Flows Provided By Operating Activities

        Net cash provided by operating activities increased in 2012 as compared to 2011 due to higher operating profit before depreciation and amortization and an increases in cash generated from working capital related to the timing of customer and vendor receipts at DIRECTV U.S., partially offset by increased cash paid for interest and taxes. Net cash provided by operating activities in 2011 and 2010 was relatively flat as higher operating profit before depreciation and amortization was more than offset by increased cash paid for interest and taxes and a decrease in cash provided by working capital, mostly due to an increase in amounts payable to our programmers. partially offset by an increase in accounts receivable and an increase in prepaid expenses.

        Cash paid for income taxes was $1,406 million in 2012, $1,042 million in 2011 and $705 million in 2010. The increase in cash paid for income taxes in

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2012 resulted mainly from increased income before income taxes and a decrease in the bonus depreciation rate from 100% in 2011 to 50% in 2012. The increase in cash paid for income taxes in 2011 resulted mainly from increased income before income taxes as well as the utilization of tax credit carryforwards in 2010. Cash paid for interest was $781 million in 2012, $687 million in 2011 and $460 million in 2010. The increase in cash paid for interest is due to the increase in our average debt outstanding.

Cash Flows Used In Investing Activities

        From 2010 to 2012, capital expenditures for subscriber leased set-top receivers at DIRECTV U.S. remained relatively flat as the decrease in gross subscriber additions has been offset by an increase in set-top receivers provided to subscribers under upgrade and retention initiatives.

        During 2010, 2011 and 2012, DIRECTV U.S. was in the process of constructing two satellites, D14 and D15, which we expect to place into service in 2014. Additionally, in 2012, we began construction on our new El Segundo campus.

        Capital expenditures for subscriber leased set-top receivers at DIRECTV Latin America increased during 2010, 2011 and 2012. Part of our business strategy in Latin America is to increase advanced product and multi-receiver installations; therefore, our capital expenditures in Latin America are expected to continue to increase.

        During 2011, DIRECTV Latin America entered into a contract to lease two satellites for PanAmericana, ISDLA 1 and 2, which are expected to be launched in 2014 and 2015. As a part of the lease agreement, we are required to make prepayments prior to the launch and commencement of the lease term. Payments related to the lease agreement totaled $128 million for 2012 and $104 million for 2011, and are included in "Cash paid for satellites" in the Consolidated Statements of Cash Flows.

        We paid $16 million in 2012 and $11 million in 2011 for investments, net of cash acquired, in various companies. Additionally, in 2010, we paid $617 million for investments in companies, net of cash acquired, primarily for the purchase of an approximate 19% interest in Sky Brasil held by Globo. This transaction is described in Note 4 of the Notes to the Consolidated Financial Statements in Part II, Item 8 of this Annual Report. Our cash spending on investment in companies is discretionary and we may fund strategic investment opportunities should they arise in the future. In 2011 we received cash of $116 million related to the sale of investments, as further discussed in Note 8 of the Notes to the Consolidated Financial Statements.

Cash Flows Used in Financing Activities

        Under stock repurchase plans approved by our Board of Directors, we completed the repurchase of our common stock as follows: $5,175 million in 2012, $5,496 million in 2011, $5,111 million during 2010. In the first quarter of 2013, we announced a new repurchase program authorization of an additional $4 billion. We may make purchases under this program in the open market, through negotiated transactions or otherwise. The timing, nature and amount of such transactions will depend on a variety of factors, including market conditions, and the program may be suspended, discontinued or accelerated at any time. The sources of funds for the purchases under the remaining authorization are our existing cash on hand, cash from operations and potential additional borrowings.

        During 2012, we had $5,190 million of net cash proceeds from the issuance of senior notes and $358 million of net cash proceeds from the issuance of short-term commercial paper. We also repaid $1,500 million of our long-term debt and borrowed and repaid $400 million under our revolving credit facility. During 2011, we had $3,990 million of net cash proceeds from the issuance of senior notes. We also repaid $1,000 million of our long-term debt during 2011. During 2010, we had $5,978 million of net cash proceeds from the issuance of senior notes. We also repaid $2,323 million of our long-term debt, and paid $1,537 million to settle the debt and related equity collars assumed as part of the Liberty Transaction.

        We anticipate additional borrowings in the future in order to achieve a ratio of outstanding long-term debt equal to approximately 2.5 times operating profit before depreciation and amortization of DIRECTV on a consolidated basis. We will continue to evaluate our optimal leverage on an ongoing basis. We may purchase our outstanding senior notes in the future from time to time in open market transactions or otherwise as part of liability management initiatives.

Free Cash Flow

        Free cash flow increased in 2012 as compared to 2011 due to the increase in net cash provided by operating activities described above, partially offset by an

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increase in capital expenditures. The increase in capital expenditures resulted primarily from an increase in subscriber leased equipment, satellite and other infrastructure primarily at DIRECTV Latin America.

Debt

        At December 31, 2012, we had $17,528 million in total outstanding borrowings, which consisted of senior notes and commercial paper issued by DIRECTV U.S. Our outstanding borrowings are more fully described in Note 10 of the Notes to the Consolidated Financial Statements in Item 8, Part II of this Annual Report.

        Senior Notes.    At December 31, 2012, DIRECTV U.S.' senior notes had a carrying value of $17,170 million and a weighted-average interest rate of 4.60%. Our senior notes payable mature as follows: $1,000 million in 2014, $1,200 million in 2015, $2,250 million in 2016, $1,250 million in 2017 and $11,519 million thereafter.

        Included in the amounts above are DIRECTV U.S.' £750 million of 4.375% senior notes due in 2029. In connection with the issuance of these senior notes, DIRECTV U.S. entered into cross-currency swaps to effectively convert its fixed-rate British pound sterling denominated debt, including annual interest payments and the payment of principal at maturity, to fixed-rate U.S. dollar denominated debt. These cross-currency swaps are designated and qualify as cash flow hedges. The terms of the cross-currency swap agreements correspond to the related hedged senior notes and the cross-currency swaps have maturities extending through September 2029.

        In January 2013, DIRECTV U.S. issued $750 million of 1.750% senior notes due in 2018 with proceeds, net of original issue discount, of $743 million.

        Commercial Paper.    On November 27, 2012, DIRECTV U.S. established a commercial paper program backed by its revolving credit facilities, which provides for the issuance of short-term commercial paper in the United States up to a maximum aggregate principal of $2.5 billion. As of December 31, 2012, we had $358 million of short-term commercial paper outstanding, with a weighted average maturity of 90 days, at a weighted average yield of 0.54%, which may be refinanced on a periodic basis as borrowings mature.

Revolving Credit Facilities

        On September 28, 2012, DIRECTV U.S.' five year, $2.0 billion revolving credit facility dated February 7, 2011 was terminated and replaced with a three and one-half year, $1.0 billion revolving credit facility and a five year, $1.5 billion revolving credit facility. We pay a commitment fee of 0.15% per year for the unused commitment under the revolving credit facilities. Borrowings currently bear interest at a rate equal to the London Interbank Offer Rate (LIBOR) plus 1.25%. Both the commitment fee and the annual interest rate may increase or decrease under certain conditions due to changes in DIRECTV U.S.' long-term, unsecured debt ratings. Under certain conditions, DIRECTV U.S. may increase the borrowing capacity of the revolving credit facilities by an aggregate amount of up to $500 million. Aggregate amounts outstanding under the revolving credit facilities and the commercial paper program are limited to $2.5 billion. As of December 31, 2012, there were no borrowings under the new revolving credit facilities.

        Borrowings under the revolving credit facilities are unsecured senior obligations of DIRECTV U.S. and will rank equally in right of payment with all of DIRECTV U.S.' existing and future senior debt and will rank senior in right of payment to all of DIRECTV U.S.' future subordinated debt, if any.

Covenants and Restrictions

        The revolving credit facilities require DIRECTV U.S. to maintain at the end of each fiscal quarter a specified ratio of indebtedness to earnings before interest, taxes and depreciation and amortization. The revolving credit facilities also include covenants that restrict DIRECTV U.S.' ability to, among other things, (i) incur additional subsidiary indebtedness, (ii) incur liens, (iii) enter into certain transactions with affiliates, (iv) merge or consolidate with another entity, (v) sell, assign, lease or otherwise dispose of all or substantially all of its assets, and (vi) change its lines of business. Additionally, the senior notes contain restrictive covenants that are similar. Should DIRECTV U.S. fail to comply with these covenants, all or a portion of its borrowings under the senior notes could become immediately payable and its revolving credit facilities could be terminated. At December 31, 2012, management believes DIRECTV U.S. was in compliance with all such covenants. The senior notes and revolving credit facilities also provide that the borrowings may be required to be prepaid if certain change-in-control events, coupled with a ratings decline, occur.

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        DIRECTV Guarantors.    On November 14, 2011, we entered into a series of Supplemental Indentures whereby DIRECTV agreed to fully guarantee all of the senior notes then outstanding, jointly and severally with substantially all of DIRECTV Holdings LLC's domestic subsidiaries. The Supplemental Indentures provide that DIRECTV unconditionally guarantees that the principal and interest on the respective senior notes will be paid in full when due and that the obligations of the Co-Issuers to the holders of the outstanding senior notes will be performed. All of the senior notes issued since November 14, 2011, the revolving credit facilities and the commercial paper program are also similarly fully guaranteed by DIRECTV.

        As a result of the guarantees, holders of the senior notes, the revolving credit debt and the commercial paper have the benefit of DIRECTV's interests in the assets and related earnings of our operations that are not held through DIRECTV Holdings LLC and its subsidiaries. Those operations are primarily our DTH digital television services throughout Latin America which are held by DIRECTV Latin America Holdings, Inc. and its subsidiaries, and our regional sports networks which are held by DIRECTV Sports Networks LLC and its subsidiaries. However, the subsidiaries that own and operate the DIRECTV Latin America business and the regional sports networks have not guaranteed the senior notes, the revolving credit facilities and the commercial paper.

        The guarantees are unsecured senior obligations of DIRECTV and rank equally in right of payment with all of DIRECTV's existing and future senior debt and rank senior in right of payment to all of DIRECTV's future subordinated debt, if any. The guarantees are effectively subordinated to all existing and future secured obligations, if any, of DIRECTV to the extent of the value of the assets securing the obligations. DIRECTV will not be subject to the covenants contained in each indenture of the senior notes and our guarantees will terminate and be released on the terms set forth in each of the indentures.

Contingencies

        Venezuela Devaluation and Foreign Currency Exchange Controls.    Companies operating in Venezuela are required to obtain government approval to exchange Venezuelan bolivars into U.S. dollars at the official exchange rate. Our ability to pay U.S. dollar denominated obligations and repatriate cash generated in Venezuela in excess of local operating requirements is limited, resulting in an increase in the cash balance at our Venezuelan subsidiary. At such time that exchange controls are eased, accumulated cash balances may ultimately be repatriated at less than their currently reported value. As of December 31, 2012, our Venezuelan subsidiary had Venezuelan bolivar denominated net monetary assets of $466 million, including cash of $563 million, based on the official 4.3 bolivars per U.S. dollar exchange rate at that time.

        In February 2013, the Venezuelan government announced a devaluation of the bolivar from the official exchange rate of 4.3 bolivars per U.S. dollar to an official rate of 6.3 bolivars per U.S. dollar. As a result of the devaluation, we will record a pre-tax charge in "General and administrative expenses" in the Consolidated Statements of Operations of approximately $160 million in the first quarter of 2013, related to the remeasurement of the bolivar denominated net monetary assets of our Venezuelan subsidiary as of the date of the devaluation. This devaluation did not impact our results of operations, financial position or cash flows for the year ended December 31, 2012, but may affect the growth of our Venezuelan business. There will also be ongoing impacts to our results of operations, primarily related to the translation of local financial statements at the new exchange rate. In the event of an additional devaluation of the bolivar, we will recognize a charge to earnings based on the amount of bolivar denominated net monetary assets held at the time of such devaluation.

        Income taxes.    During 2012, the statute of limitations expired in federal and foreign tax jurisdictions resulting in the recognition of uncertain tax benefits. As a result we recorded a benefit of $168 million in "Income tax expense" in the Consolidated Statements of Operations during the year ended December 31, 2012. During 2010, we entered into an agreement with a former owner to settle certain tax contingencies. As a result of this settlement we recorded a benefit of $39 million in "Income tax expense" in the Consolidated Statements of Operations during the year ended December 31, 2010. We engage in continuous discussions and negotiations with federal, state, and foreign taxing authorities and reevaluate our uncertain tax positions, and, while it is often difficult to predict the final outcome or the timing of resolution of any particular tax matter or tax position, we believe that it is reasonably possible that our unrecognized tax benefits could decrease by up to approximately $40 million during the next twelve months.

        Globo.    As discussed in Note 21 of the Notes to the Consolidated Financial Statements in Part II, Item 8 of this Annual Report, Globo has the right to exchange its remaining Sky Brasil shares for cash or our common shares. If Globo

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exercises this right, we have the option to elect to pay the consideration in cash, shares of our common stock, or a combination of both.

        Other.    Several factors may affect our ability to fund our operations and commitments that we discuss in "Contractual Obligations", "Off-Balance Sheet Arrangements" and "Contingencies" below. In addition, our future cash flows may be reduced if we experience, among other things, significantly higher subscriber additions than planned, increased subscriber churn or upgrade and retention costs, higher than planned capital expenditures for satellites and broadcast equipment, or satellite anomalies or signal theft. Additionally, DIRECTV U.S.' ability to borrow under its revolving credit facility is contingent upon DIRECTV U.S. meeting a financial and other covenants associated with its facility as more fully described above.

CONTRACTUAL OBLIGATIONS

        The following table sets forth our contractual obligations as of December 31, 2012, including the future periods in which payments are expected. Additional details regarding these obligations are provided in the Notes to the Consolidated Financial Statements in Part II, Item 8 of this Annual Report, as referenced in the table. The contractual obligations below do not include payments that could be made related to our net unrecognized tax benefits liability, which amounted to $259 million as of December 31, 2012. The timing and amount of any future payments is not reasonably estimable, as such payments are dependent on the completion and resolution of examinations with tax authorities.

 
 
Payments Due By Period
 
Contractual Obligations  
Total
 
Less than
1 year
 
1-3 years
 
3-5 years
 
More than
5 years
 
 
  (Dollars in Millions)
 

Long-term debt obligations (Note 10) (a)

  $ 27,895   $ 796   $ 3,723   $ 4,780   $ 18,596  

Purchase obligations (Note 21) (b)

    7,079     2,186     3,092     808     993  

Operating lease obligations (Note 21) (c)

    978     94     174     174     536  

Capital lease obligations (Notes 13 and 21) (d)

    1,494     100     234     264     896  
                       

Total

  $ 37,446   $ 3,176   $ 7,223   $ 6,026   $ 21,021  
                       

(a)
Long-term debt obligations include interest calculated based on the rates in effect at December 31, 2012, however, the obligations do not reflect potential prepayments required under indentures.

(b)
Purchase obligations consist primarily of broadcast programming commitments, regional professional team rights agreements, service contract commitments and satellite construction and launch contracts. Broadcast programming commitments include guaranteed minimum contractual commitments that are typically based on a flat fee or a minimum number of required subscribers subscribing to the related programming. Actual payments may exceed the minimum payment requirements if the actual number of subscribers subscribing to the related programming exceeds the minimum amounts. Service contract commitments include minimum commitments for the purchase of services that have been outsourced to third parties, such as billing services, telemetry, tracking and control services and broadcast center services. In most cases, actual payments, which are typically based on volume, usually exceed these minimum amounts.

(c)
Certain of the operating leases contain variable escalation clauses and renewal or purchase options, which we do not consider in the amounts disclosed.

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(d)
Capital lease obligations includes obligations under the contract for the lease of the ISDLA-1 and ISDLA-2 satellites currently under construction for DIRECTV Latin America, which we expect to account for as a capital lease at the time the satellites are placed into service. For further discussion, please refer to Note 21 of the Notes to the Consolidated Financial Statements in Part II, Item 8 of this Annual Report.

OFF-BALANCE SHEET ARRANGEMENTS

        As of December 31, 2012, we were contingently liable under standby letters of credit and bonds in the aggregate amount of $167 million primarily related to a judicial deposit in Brazil for the ECAD matter discussed in Part I, Item 3 of this Annual Report, and insurance deductibles.

CONTINGENCIES

        For a discussion of "Contingencies", see Note 21 of the Notes to the Consolidated Financial Statements in Part II, Item 8 of this Annual Report.

CERTAIN RELATIONSHIPS AND RELATED-PARTY TRANSACTIONS

        For a discussion of "Certain Relationships and Related-Party Transactions," see Note 19 of the Notes to the Consolidated Financial Statements in Part II, Item 8 of this Annual Report.

CRITICAL ACCOUNTING ESTIMATES

        The preparation of the consolidated financial statements in conformity with accounting principles generally accepted in the United States requires management to make estimates, judgments and assumptions that affect amounts reported. Management bases its estimates, judgments and assumptions on historical experience and on various other factors that are believed to be reasonable under the circumstances. Due to the inherent uncertainty involved in making estimates, actual results reported for future periods may be affected by changes in those estimates. The following represents what we believe are the critical accounting policies that may involve a higher degree of estimation, judgment and complexity. Management has discussed the development and selection of these critical accounting estimates with the Audit Committee of our Board of Directors, and the Audit Committee has reviewed our disclosures relating to them, which are presented below. For a summary of our significant accounting policies, including those discussed below, see Note 2 of the Notes to the Consolidated Financial Statements in Part II, Item 8 of this Annual Report.

        Income Taxes.    We must make certain estimates and judgments in determining provisions for income taxes. These estimates and judgments occur in the calculation of tax credits, tax benefits and deductions, and in the calculation of certain tax assets and liabilities, which arise from differences in the timing of recognition of revenue and expense for tax and financial statement purposes.

        We assess the recoverability of deferred tax assets at each reporting date and where applicable, record a valuation allowance to reduce the total deferred tax asset to an amount that will, more-likely-than-not, be realized in the future. Our assessment includes an analysis of whether deferred tax assets will be realized in the ordinary course of operations based on the available positive and negative evidence, including the scheduling of deferred tax liabilities and forecasted income from operating activities. The underlying assumptions we use in forecasting future taxable income require significant judgment. In the event that actual income from operating activities differs from forecasted amounts, or if we change our estimates of forecasted income from operating activities, we could record additional charges or reduce allowances in order to adjust the carrying value of deferred tax assets to their realizable amount. Such adjustments could be material to our consolidated financial statements.

        In addition, the recognition of a tax benefit for tax positions involves dealing with uncertainties in the application of complex tax regulations. Judgment is required in assessing the future tax consequences of events that have been recognized in our financial statements or tax returns. We provide for taxes for uncertain tax positions where assessments have not been received. We believe such tax reserves are adequate in relation to the potential for additional assessments. Once established, we adjust these amounts only when more information is available or when an event occurs necessitating a change to the reserves. Future events such as changes in the facts or law, judicial decisions regarding the application of existing law or a favorable audit outcome will result in changes to the amounts provided.

        Contingent Matters.    Determining when, or if, an accrual should be recorded for a contingent matter, including but not limited to legal and tax issues, and the amount of such accrual, if any, requires a significant amount of management judgment and estimation. We develop our judgments and estimates in consultation with outside counsel based on an analysis of potential outcomes. Due to the uncertainty of determining the likelihood of a future event occurring and the

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potential financial statement impact of such an event, it is possible that upon further development or resolution of a contingent matter, we could record a charge in a future period that would be material to our consolidated financial statements.

        Depreciable Lives of Leased Set-Top Receivers.    We currently lease most set-top receivers provided to new and existing subscribers and therefore capitalize the cost of those set-top receivers. We depreciate set-top receivers at DIRECTV U.S. over a three to four year estimated useful life, which is based on, among other things, management's judgment of the risk of technological obsolescence. Changes in the estimated useful lives of set-top receivers capitalized could result in significant changes to the amounts recorded as depreciation expense. If we extended the depreciable life of the set-top receivers at DIRECTV U.S. by one year, it would result in an approximately $240 million reduction in annual depreciation expense.

        Valuation of Long-Lived Assets.    We evaluate the carrying value of long-lived assets to be held and used, other than goodwill and intangible assets with indefinite lives, when events and circumstances warrant such a review. We consider the carrying value of a long-lived asset impaired when the anticipated undiscounted future cash flow from such asset is separately identifiable and is less than its carrying value. In that event, we recognize a loss based on the amount by which the carrying value exceeds the fair value of the long-lived asset. We determine fair value primarily using the estimated future cash flows associated with the asset under review, discounted at a rate commensurate with the risk involved, and other valuation techniques. We determine losses on long-lived assets to be disposed of in a similar manner, except that we reduce the fair value for the cost of disposal. Changes in estimates of future cash flows could result in a write-down of the asset in a future period.

        Valuation of Goodwill and Intangible Assets with Indefinite Lives.    We evaluate the carrying value of goodwill and intangible assets with indefinite lives annually in the fourth quarter or more frequently when events and circumstances change that would more likely than not result in an impairment loss. We completed our annual impairment testing during the fourth quarter of 2012, and determined that there was no impairment of goodwill or intangible assets with indefinite lives. As of December 31, 2012, the fair value of each reporting unit and our intangible assets with indefinite lives significantly exceed their carrying values. See Note 7 of the Notes to the Consolidated Financial Statements in Part II, Item 8 of this Annual Report.

        The goodwill evaluation requires the estimation of the fair value of reporting units where we record goodwill. We determine fair values primarily using estimated cash flows discounted at a rate commensurate with the risk involved, when appropriate. Estimation of future cash flows requires significant judgment about future operating results, and can vary significantly from one evaluation to the next. Risk adjusted discount rates are not fixed and are subject to change over time. As a result, changes in estimated future cash flows and/or changes in discount rates could result in a write-down of goodwill or intangible assets with indefinite lives in a future period which could be material to our consolidated financial statements.

ACCOUNTING CHANGES

        For a discussion of accounting changes see Note 3 of the Notes to the Consolidated Financial Statements in Part II, Item 8 of this Annual Report.

ITEM 7A.    QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK

        The following discussion and the estimated amounts generated from the sensitivity analyses referred to below include forward-looking statements of market risk which assume for analytical purposes that certain adverse market conditions may occur. Actual future market conditions may differ materially from such assumptions and the amounts noted below are the result of analyses used for the purpose of assessing possible risks and the mitigation thereof. Accordingly, you should not consider the forward-looking statements as our projections of future events or losses.

General

        Our cash flows and earnings are subject to fluctuations resulting from changes in foreign currency exchange rates, interest rates and changes in the market value of our equity investments. We manage our exposure to these market risks through internally established policies and procedures and, when deemed appropriate, through the use of derivative financial instruments. We enter into derivative instruments only to the extent considered necessary to meet our risk management objectives, and do not enter into derivative contracts for speculative purposes.

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Foreign Currency Risk

    Transaction Exposure

        We generally conduct our business in U.S. dollars with some business conducted in a variety of foreign currencies and therefore we are exposed to fluctuations in foreign currency exchange rates. Our objective in managing our exposure to foreign currency changes is to reduce earnings and cash flow volatility associated with foreign exchange rate fluctuations. Accordingly, we may enter into foreign exchange contracts to mitigate risks associated with foreign currency denominated assets, liabilities, commitments and anticipated foreign currency transactions. The gains and losses on derivative foreign exchange contracts offset changes in value of the related exposures.

        As of December 31, 2012, we had no significant foreign currency exchange contracts outstanding, excluding the cross-currency swaps described in Note 11 of the Notes to the Consolidated Financial Statements in Part II, Item 8 of this Annual Report. The impact of a hypothetical 10% adverse change in exchange rates on our net monetary assets would be a loss of $146 million, net of taxes, at December 31, 2012, a portion of which could be recorded in "Foreign currency translation adjustments" in our Consolidated Statements of Comprehensive Income.

    Economic Exposure

        We are exposed to the market risks associated with fluctuations in foreign exchange rates as they relate to our foreign currency denominated debt obligations. Cross-currency swaps are used to effectively convert fixed rate foreign currency denominated debt to fixed rate U.S. dollar denominated debt, hedging the risk that the cash flows related to annual interest payments and the payment of principal at maturity may be adversely affected by fluctuations in currency exchange rates. The gains and losses on the cross-currency swaps offset changes in the U.S. dollar equivalent value of the related exposures. As of December 31, 2012, the fair value of our cross-currency swaps on our £750 million principal amount of 4.375% senior notes due in 2029 was a liability of $17 million, which is recorded in "Other liabilities and deferred credits" in our Consolidated Balance Sheets. For additional information, refer to Note 11 of the Notes to the Consolidated Financial Statements in Part II, Item 8 of this Annual Report.

Counterparty Credit Risk

        We manage the credit risks associated with our derivative financial instruments through diversification and the evaluation and monitoring of the creditworthiness of the counterparties. Although we may be exposed to losses in the event of nonperformance by the counterparties, we do not expect such losses, if any, to be significant. We have agreements with certain counterparties that include collateral provisions. These provisions require a party with an aggregate unrealized loss position in excess of certain thresholds to post cash collateral for the amount in excess of the threshold. The threshold levels in our collateral agreements are based on our and the counterparties' credit ratings. As of December 31, 2012 neither we nor any of the counterparties were required to post collateral under the terms of the agreements.

Interest Rate Risk

        From time to time, we may be subject to fluctuating interest rates for variable rate borrowings, which may adversely impact our consolidated results of operations and cash flows. We had outstanding debt of $17,528 million at December 31, 2012, which consisted principally of DIRECTV U.S.' fixed rate borrowings.

58



DIRECTV

ITEM 8.    FINANCIAL STATEMENTS AND SUPPLEMENTARY DATA


REPORT OF INDEPENDENT REGISTERED
PUBLIC ACCOUNTING FIRM

To the Board of Directors and Stockholders of DIRECTV
El Segundo, California

        We have audited the accompanying consolidated balance sheets of DIRECTV and subsidiaries ("the Company") as of December 31, 2012 and 2011, and the related consolidated statements of operations, comprehensive income, changes in stockholders' equity (deficit) and redeemable noncontrolling interest, and cash flows for each of the three years in the period ended December 31, 2012. Our audits also included the financial statement schedule listed in the Index at Item 15. These financial statements and financial statement schedule are the responsibility of the Company's management. Our responsibility is to express an opinion on the financial statements and financial statement schedule based on our audits.

        We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

        In our opinion, such consolidated financial statements present fairly, in all material respects, the financial position of DIRECTV and subsidiaries at December 31, 2012 and 2011, and the results of its operations and its cash flows for each of the three years in the period ended December 31, 2012, in conformity with accounting principles generally accepted in the United States of America. Also, in our opinion, such financial statement schedule, when considered in relation to the basic consolidated financial statements taken as a whole, presents fairly, in all material respects, the information set forth therein.

        We have also audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States), the Company's internal control over financial reporting as of December 31, 2012, based on the criteria established in Internal Control—Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission and our report dated February 20, 2013 expressed an unqualified opinion on the Company's internal control over financial reporting.

/s/ DELOITTE & TOUCHE LLP          

Los Angeles, California
February 20, 2013

59



DIRECTV

CONSOLIDATED STATEMENTS OF OPERATIONS

 
 
Years Ended December 31,
 
 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions, Except Per
Share Amounts)

 

Revenues

  $ 29,740   $ 27,226   $ 24,102  

Operating costs and expenses

                   

Costs of revenues, exclusive of depreciation and amortization expense

                   

Broadcast programming and other

    13,028     11,655     10,074  

Subscriber service expenses

    2,137     1,911     1,681  

Broadcast operations expenses

    414     389     350  

Selling, general and administrative expenses, exclusive of depreciation and amortization expense

                   

Subscriber acquisition costs

    3,397     3,390     3,005  

Upgrade and retention costs

    1,427     1,327     1,169  

General and administrative expenses

    1,815     1,576     1,445  

Depreciation and amortization expense

    2,437     2,349     2,482  
               

Total operating costs and expenses

    24,655     22,597     20,206  
               

Operating profit

    5,085     4,629     3,896  

Interest income

    59     34     39  

Interest expense

    (842 )   (763 )   (557 )

Liberty transaction and related gain

            67  

Other, net

    140     84     69  
               

Income before income taxes

    4,442     3,984     3,514  

Income tax expense

    (1,465 )   (1,348 )   (1,202 )
               

Net income

    2,977     2,636     2,312  

Less: Net income attributable to noncontrolling interest

    (28 )   (27 )   (114 )
               

Net income attributable to DIRECTV

  $ 2,949   $ 2,609   $ 2,198  
               

60



DIRECTV

CONSOLIDATED STATEMENTS OF OPERATIONS—(continued)

 
 
Years Ended December 31,
 
 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions, Except Per
Share Amounts)

 

Net income attributable to DIRECTV common stockholders

  $ 2,949   $ 2,609   $ 2,014  

Net income attributable to DIRECTV Class B common stockholders, for the period of January 1, 2010 through June 16, 2010, including $160 million exchange inducement value for the Malone Transaction (Note 15)

            184  
               

Net income attributable to DIRECTV

  $ 2,949   $ 2,609   $ 2,198  
               

Basic earnings attributable to DIRECTV common stockholders per common share

  $ 4.62   $ 3.49   $ 2.31  

Diluted earnings attributable to DIRECTV common stockholders per common share

  $ 4.58   $ 3.47   $ 2.30  

Basic and diluted earnings attributable to DIRECTV Class B common stockholders per common share, for the period of January 1, 2010 through June 16, 2010, including $160 million exchange inducement value for the Malone Transaction (Note 15)

 
$

 
$

 
$

8.44
 

Weighted average number of common shares outstanding (in millions):

                   

Basic

    638     747     870  

Diluted

    644     752     876  

Weighted average number of Class B common shares outstanding, for the period of January 1, 2010 through June 16, 2010 (in millions):

                   

Basic

            22  

Diluted

            22  

Weighted average number of total common shares outstanding (in millions):

                   

Basic

    638     747     880  

Diluted

    644     752     886  

The accompanying notes are an integral part of these Consolidated Financial Statements.

61



DIRECTV

CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME

 
 
Years Ended December 31,
 
 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Net income

  $ 2,977   $ 2,636   $ 2,312  

Other comprehensive income (loss), net of taxes:

                   

Defined benefit plans:

                   

Losses related to changes in plan experience and actuarial assumptions arising during the period

   
(45

)
 
(39

)
 
 

Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost

   
12
   
9
   
8
 

Amortization of amounts resulting from changes in plan provisions recognized as periodic benefit cost

        1      

Cash flow hedges:

                   

Unrealized losses arising during the period

    (10 )        

Reclassification adjustments included in net income

    (7 )        

Foreign currency translation adjustments

    (32 )   (94 )   20  

Available for sale securities:

                   

Unrealized holding gains (losses) on securities

    (4 )   (6 )   4  

Reclassification adjustment for net gains recognized during period

            (3 )
               

Other comprehensive income (loss)

    (86 )   (129 )   29  
               

Comprehensive income

    2,891     2,507     2,341  

Less: Comprehensive income attributable to noncontrolling interest

    (13 )   (17 )   (121 )
               

Comprehensive income attributable to DIRECTV

  $ 2,878   $ 2,490   $ 2,220  
               

The accompanying notes are an integral part of these Consolidated Financial Statements.

62



DIRECTV

CONSOLIDATED BALANCE SHEETS

 
 
December 31,
 
 
 
2012
 
2011
 
 
  (Dollars in Millions,
Except Share Data)

 

ASSETS

             

Current assets

             

Cash and cash equivalents

  $ 1,902   $ 873  

Accounts receivable, net

    2,696     2,474  

Inventories

    412     280  

Deferred income taxes

    73     62  

Prepaid expenses and other

    471     552  
           

Total current assets

    5,554     4,241  

Satellites, net

    2,357     2,215  

Property and equipment, net

    6,038     5,223  

Goodwill

    4,063     4,097  

Intangible assets, net

    832     909  

Investments and other assets

    1,711     1,738  
           

Total assets

  $ 20,555   $ 18,423  
           

LIABILITIES AND STOCKHOLDERS' DEFICIT

             

Current liabilities

             

Accounts payable and accrued liabilities

  $ 4,618   $ 4,210  

Unearned subscriber revenues and deferred credits

    565     533  

Short-term borrowings

    358      
           

Total current liabilities

    5,541     4,743  

Long-term debt

    17,170     13,464  

Deferred income taxes

    1,672     1,771  

Other liabilities and deferred credits

    1,203     1,287  

Commitments and contingencies

             

Redeemable noncontrolling interest

    400     265  

Stockholders' deficit

             

Common stock and additional paid-in capital—$0.01 par value, 3,950,000,000 and 3,947,000,000 shares authorized, 586,839,817 and 691,306,695 shares issued and outstanding of DIRECTV common stock at December 31, 2012 and December 31, 2011, respectively

   
4,021
   
4,799
 

Accumulated deficit

    (9,210 )   (7,750 )

Accumulated other comprehensive loss

    (242 )   (156 )
           

Total stockholders' deficit

    (5,431 )   (3,107 )
           

Total liabilities and stockholders' deficit

  $ 20,555   $ 18,423  
           

The accompanying notes are an integral part of these Consolidated Financial Statements.

63



DIRECTV

CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS' EQUITY (DEFICIT) AND REDEEMABLE NONCONTROLLING INTEREST

 
 
DIRECTV
Common Shares
 
DIRECTV
Class B
Common Shares
 
Common Stock
and Additional
Paid-In Capital
 
Accumulated
Deficit
 
Accumulated
Other
Comprehensive
Loss
 
Total
Stockholders'
Equity (Deficit)
 
Redeemable
Noncontrolling
Interest
 
Net
Income
 
 
  (Dollars in Millions, Except Share Data)
 

Balance as of January 1, 2010

    911,377,919     21,809,863   $ 6,689   $ (3,722 ) $ (56 ) $ 2,911   $ 400        

Net Income

                      2,198           2,198     114   $ 2,312  

Stock repurchased and retired

    (135,528,774 )         (973 )   (4,206 )         (5,179 )            

Stock options exercised and restricted stock units vested and distributed

    6,050,275           (30 )               (30 )            

Malone Transaction

    26,547,624     (21,809,863 )                                    

Share-based compensation expense

                82                 82              

Tax benefit from share-based compensation

                38                 38              

Dividends paid by subsidiary to redeemable noncontrolling interest

                                        (15 )      

Acquisition of noncontrolling interest, including related deferred income taxes

                79                 79     (605 )      

Adjustment to the fair value of redeemable noncontrolling interest

                (323 )               (323 )   323        

Other

                1                 1              

Other comprehensive income

                            29     29     7        
                                     

Balance as of December 31, 2010

    808,447,044         5,563     (5,730 )   (27 )   (194 )   224        

Net Income

                      2,609           2,609     27   $ 2,636  

Stock repurchased and retired

    (119,132,986 )         (825 )   (4,630 )         (5,455 )            

Stock options exercised and restricted stock units vested and distributed

    1,992,637           (48 )               (48 )            

Share-based compensation expense

                103                 103              

Tax benefit from share-based compensation

                30                 30              

Adjustment to the fair value of redeemable noncontrolling interest

                (24 )               (24 )   24        

Other

                      1           1              

Other comprehensive loss

                            (129 )   (129 )   (10 )      
                                     

Balance as of December 31, 2011

    691,306,695         4,799     (7,750 )   (156 )   (3,107 )   265        

Net Income

                      2,949           2,949     28   $ 2,977  

Stock repurchased and retired

    (106,691,615 )         (739 )   (4,409 )         (5,148 )            

Stock options exercised and restricted stock units vested and distributed

    2,224,737           (54 )               (54 )            

Share-based compensation expense

                109                 109              

Tax benefit from share-based compensation

                30                 30              

Adjustment to the fair value of redeemable noncontrolling interest

                (122 )               (122 )   122        

Other

                (2 )               (2 )            

Other comprehensive loss

                            (86 )   (86 )   (15 )      
                                     

Balance as of December 31, 2012

    586,839,817       $ 4,021   $ (9,210 ) $ (242 ) $ (5,431 ) $ 400        
                                     

The accompanying notes are an integral part of these Consolidated Financial Statements.

64



DIRECTV

CONSOLIDATED STATEMENTS OF CASH FLOWS

 
 
Years Ended December 31,
 
 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Cash Flows From Operating Activities

                   

Net income

  $ 2,977   $ 2,636   $ 2,312  

Adjustments to reconcile net income to net cash provided by operating activities:

                   

Depreciation and amortization

    2,437     2,349     2,482  

Amortization of deferred revenues and deferred credits

    (75 )   (39 )   (36 )

Share-based compensation expense

    109     103     82  

Equity in earnings from unconsolidated affiliates

    (131 )   (109 )   (90 )

Net foreign currency transaction (gain) loss

    34     50     (11 )

Dividends received

    79     104     78  

Gain on sale of investments

    (122 )   (63 )   (6 )

Liberty transaction and related gain

            (67 )

Deferred income taxes

    (102 )   353     386  

Excess tax benefit from share-based compensation

    (30 )   (25 )   (11 )

Other

    85     53     66  

Change in operating assets and liabilities:

                   

Accounts receivable

    (50 )   (524 )   (391 )

Inventories

    (206 )   (33 )   (35 )

Prepaid expenses and other

    58     (139 )   (4 )

Accounts payable and accrued liabilities

    370     391     437  

Unearned subscriber revenues and deferred credits

    28     47     52  

Other, net

    173     31     (38 )
               

Net cash provided by operating activities

    5,634     5,185     5,206  

Cash Flows From Investing Activities

                   

Cash paid for property and equipment

    (2,960 )   (2,924 )   (2,303 )

Cash paid for satellites

    (389 )   (246 )   (113 )

Investment in companies, net of cash acquired

    (16 )   (11 )   (617 )

Proceeds from sale of investments

    24     116     9  

Other, net

    (22 )   43     (75 )
               

Net cash used in investing activities

    (3,363 )   (3,022 )   (3,099 )

The accompanying notes are an integral part of these Consolidated Financial Statements.

65



DIRECTV

CONSOLIDATED STATEMENTS OF CASH FLOWS—(continued)

 
 
Years Ended December 31,
 
 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Cash Flows From Financing Activities

                   

Issuance of commercial paper (maturity 90 days or less), net

    156          

Proceeds from short-term borrowings

    202         38  

Repayment of short-term borrowings

        (39 )    

Proceeds from borrowings under revolving credit facility

    400          

Repayment of borrowings under revolving credit facility

    (400 )        

Proceeds from issuance of long-term debt

    5,190     3,990     5,978  

Debt issuance costs

    (36 )   (30 )   (44 )

Repayments of long-term debt

    (1,500 )   (1,000 )   (2,323 )

Repayment of collar loan and equity collars

            (1,537 )

Repayment of other long-term obligations

    (51 )   (184 )   (127 )

Common shares repurchased and retired

    (5,175 )   (5,496 )   (5,111 )

Stock options exercised

    3         38  

Taxes paid in lieu of shares issued for share-based compensation

    (61 )   (58 )   (118 )

Excess tax benefit from share-based compensation

    30     25     11  

Dividends paid to redeemable noncontrolling interest

            (15 )
               

Net cash used in financing activities

    (1,242 )   (2,792 )   (3,210 )
               

Net increase (decrease) in cash and cash equivalents

    1,029     (629 )   (1,103 )

Cash and cash equivalents at beginning of the year

    873     1,502     2,605  
               

Cash and cash equivalents at end of the year

  $ 1,902   $ 873   $ 1,502  
               

Supplemental Cash Flow Information

                   

Cash paid for interest

  $ 781   $ 687   $ 460  

Cash paid for income taxes

    1,406     1,042     705  

The accompanying notes are an integral part of these Consolidated Financial Statements.

66



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS

Note 1: Description of Business

        DIRECTV, which we sometimes refer to as the company, we, or us, is a leading provider of digital television entertainment in the United States and Latin America. We operate two direct-to-home, or DTH, business units: DIRECTV U.S. and DIRECTV Latin America, which are differentiated by their geographic locations and are engaged in acquiring, promoting, selling and distributing digital entertainment programming primarily via satellite to residential and commercial subscribers. In addition, we own and operate three regional sports networks and own a 42% interest in Game Show Network LLC, or GSN, a television network dedicated to game-related programming and Internet interactive game playing. We account for our investment in GSN using the equity method of accounting.

    DIRECTV U.S.   DIRECTV Holdings LLC and its subsidiaries, which we refer to as DIRECTV U.S., is the largest provider of DTH digital television services and the second largest provider in the multi-channel video programming distribution industry in the United States.

    DIRECTV Latin America.  DIRECTV Latin America Holdings Inc. and its subsidiaries, or DIRECTV Latin America, is a leading provider of DTH digital television services throughout Latin America. DIRECTV Latin America is comprised of: PanAmericana, which provides services in Argentina, Chile, Colombia, Ecuador, Puerto Rico, Venezuela and certain other countries in the region, and Sky Brasil Servicos Ltda., which we refer to as Sky Brasil, which is a 93% owned subsidiary. DIRECTV Latin America also includes our 41% equity method investment in Innova, S. de R.L. de C.V., or Sky Mexico, which we include in the PanAmericana segment.

    DIRECTV Sports Networks.  DIRECTV Sports Networks LLC and its subsidiaries, or DSN, is comprised primarily of three regional sports networks based in Seattle, Washington, Denver, Colorado and Pittsburgh, Pennsylvania, each of which operates under the brand name ROOT SPORTS®. The operating results of DSN are reported as part of the "Sports Networks, Eliminations and Other" reporting segment.

        During the first quarter of 2012, we revised our reportable segments. As further discussed in Note 20, our DIRECTV Latin America business unit, which was previously reported as a single segment, is now being reported as two segments, Sky Brasil and PanAmericana. We have restated certain prior period amounts to conform to the current year presentation of reporting segments.

Note 2: Basis of Presentation and Summary of Significant Accounting Policies

Principles of Consolidation

        We present our accompanying financial statements on a consolidated basis and include our accounts and those of our domestic and foreign subsidiaries that we control through equity ownership or for which we are deemed to be the primary beneficiary, after elimination of intercompany accounts and transactions.

Use of Estimates in the Preparation of the Consolidated Financial Statements

        We prepare our consolidated financial statements in conformity with accounting principles generally accepted in the United States of America, which requires us to make estimates and assumptions that affect amounts reported herein. We base our estimates and assumptions on historical experience and on various other factors that we believe to be reasonable under the circumstances. Due to the inherent uncertainty involved in making estimates, our actual results reported in future periods may be affected by changes in those estimates.

Revenue Recognition

        We enter into multiple-deliverable revenue arrangements with our subscribers under which we provide DIRECTV receiving equipment, services and programming during their contract period, of up to two years. We allocate consideration to each deliverable in the arrangement based on its relative selling price. We determine the selling price of the DIRECTV receiving equipment using our best estimate. We determine the selling price for services based on prices charged by third parties. We determine the selling price of the programming using our standard programming rates. The DIRECTV receiving equipment, services and programming are each considered separate units of accounting.

        We recognize subscription and pay-per-view revenues when programming is broadcast to subscribers. We recognize subscriber fees for multiple set-top receivers and warranty services as revenue, as earned. We recognize advertising revenues when

67



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

the related services are performed. We defer programming payments received from subscribers in advance of the broadcast as "Unearned subscriber revenues and deferred credits" in the Consolidated Balance Sheets until earned. We recognize revenues to be received under contractual commitments on a straight line basis over the minimum contractual period. We report revenues net of customer credits and discounted promotions.

Broadcast Programming and Other

        We recognize the costs of television programming distribution rights when we distribute the related programming. We recognize the costs of television programming rights to distribute live sporting events for a season or tournament to expense using the straight-line method over the course of the season or tournament.

        We defer advance payments in the form of cash and equity instruments from programming content providers for carriage of their signal and recognize them as a reduction of "Broadcast programming and other" in the Consolidated Statements of Operations on a straight-line basis over the related contract term. We record equity instruments at fair value based on quoted market prices or values determined by management.

Subscriber Acquisition Costs

        Subscriber acquisition costs consist of costs we incur to acquire new subscribers. We include the cost of set-top receivers and other equipment, commissions we pay to national retailers, independent satellite television retailers, dealers and regional telephone companies, which we refer to as telcos, and the cost of installation, advertising, marketing and customer call center expenses associated with the acquisition of new subscribers in subscriber acquisition costs. We expense these costs as incurred, or when subscribers activate the DIRECTV® service, as appropriate, except for the cost of set-top receivers leased to new subscribers, which we capitalize in "Property and equipment, net" in the Consolidated Balance Sheets and depreciate over their estimated useful lives. In certain countries in Latin America, where our customer agreements provide for the lease of the entire DIRECTV or SKY System, we also capitalize the costs of the other customer premises equipment and related installation costs in "Property and equipment, net" in the Consolidated Balance Sheets. Although paid in advance, the retailer or dealer earns substantially all commissions paid for customer acquisitions over 12 months from the date of subscriber activation. Should the subscriber cancel our service during such 12 month service period, we are reimbursed for the unearned portion of the commission by the retailer or dealer and record a decrease to subscriber acquisition costs. We include the amount of our set-top receivers capitalized each period for subscriber acquisition activities in the Consolidated Statements of Cash Flows under the caption "Cash paid for property and equipment." See Note 6 for additional information.

Upgrade and Retention Costs

        Upgrade and retention costs consist primarily of costs we incur for upgrade efforts for existing subscribers. We include the costs of subscriber equipment upgrade programs for digital video recorder, or DVR, high-definition, or HD, and HD DVR receivers and local channels, our multiple set-top receiver offers and other similar initiatives. Retention costs also include the costs of installing and providing hardware under our movers program for subscribers relocating to a new residence. We expense these costs as incurred, except for the cost of set-top receivers leased to existing subscribers, which we capitalize in "Property and equipment, net" in the Consolidated Balance Sheets. We include the amount of our set-top receivers capitalized each period for upgrade and retention activities in the Consolidated Statements of Cash Flows under the caption "Cash paid for property and equipment." See Note 6 for additional information.

Cash and Cash Equivalents

        Cash and cash equivalents consist of cash on deposit and highly liquid investments we purchase with original maturities of three months or less.

Inventories

        We state inventories at the lower of average cost or market. Inventories consist of finished goods for DIRECTV System equipment and DIRECTV System access cards.

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DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Property and Equipment, Satellites and Depreciation

        We carry property and equipment, and satellites, at cost, net of accumulated depreciation. The amounts we capitalize for satellites currently being constructed and those that have been successfully launched include the costs of construction, launch, launch insurance, incentive obligations and capitalized interest. We generally compute depreciation using the straight-line method over the estimated useful lives of the assets. We amortize leasehold improvements over the lesser of the life of the asset or term of the lease.

Capitalized Software Costs

        We capitalize certain software costs incurred, either from internal or external sources, as part of "Property and equipment, net" in the Consolidated Balance Sheets and depreciate these costs on a straight-line basis over the useful life of the software. We recognize planning, training, support and maintenance costs incurred either prior to or following the implementation phase as expense in the Consolidated Statements of Operations in the period in which they occur. We had unamortized capitalized software costs of $492 million as of December 31, 2012 and $551 million as of December 31, 2011. We recorded depreciation of these costs of $292 million in 2012, $234 million in 2011 and $218 million in 2010 in "Depreciation and amortization expense" in the Consolidated Statements of Operations.

Goodwill and Intangible Assets

        Goodwill and intangible assets with indefinite lives are carried at historical cost and are subject to write-down, as needed, based upon an impairment analysis that we must perform at least annually, or sooner if an event occurs or circumstances change that would more likely than not result in an impairment loss. We perform our annual impairment analysis in the fourth quarter of each year. We use estimates of fair value to determine the amount of impairment, if any, of goodwill and intangibles assets with indefinite lives. The goodwill evaluation requires the estimation of the fair value of reporting units where we record goodwill. We determine fair values primarily using estimated cash flows discounted at a rate commensurate with the risk involved, when appropriate. If an impairment loss results from the annual impairment test, we would record the loss as a pre-tax charge to operating income.

        We amortize other intangible assets using the straight-line method over their estimated useful lives, which range from 5 to 20 years.

Valuation of Long-Lived Assets

        We evaluate the carrying value of long-lived assets to be held and used, other than goodwill and intangible assets with indefinite lives, when events and circumstances warrant such a review. We consider the carrying value of a long-lived asset impaired when the anticipated undiscounted future cash flow from such asset is separately identifiable and is less than its carrying value. In that event, we would recognize a loss based on the amount by which the carrying value exceeds the fair value of the long-lived asset. We determine fair value primarily using estimated future cash flows associated with the asset under review, discounted at a rate commensurate with the risk involved, or other valuation techniques. We determine losses on long-lived assets to be disposed of in a similar manner, except that we reduce the fair value for the cost of disposal.

Foreign Currency

        The U.S. dollar is the functional currency for most of our foreign operations. We recognize gains and losses resulting from remeasurement of these operations' foreign currency denominated assets, liabilities and transactions into the U.S. dollar in the Consolidated Statements of Operations.

        We also have foreign operations where the local currency is their functional currency. Accordingly, these foreign entities translate assets and liabilities from their local currencies to U.S. dollars using year-end exchange rates while income and expense accounts are translated at the average rates in effect during the year. We record the resulting translation adjustment as part of "Accumulated other comprehensive loss," a separate component of stockholders' deficit in the Consolidated Balance Sheets.

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DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Investments

        We maintain investments in equity securities of unaffiliated companies. We carry non-marketable equity securities at cost. We consider marketable equity securities available-for-sale and they are carried at current fair value based on quoted market prices with unrealized gains or losses (excluding other-than-temporary losses), net of taxes, reported as part of "Accumulated other comprehensive loss" in the Consolidated Balance Sheets. We regularly review our investments to determine whether a decline in fair value below the cost basis is "other-than-temporary." We consider, among other factors: the magnitude and duration of the decline; the financial health and business outlook of the investee, including industry and sector performance, changes in technology, and operational and financing cash flow factors; and our intent and ability to hold the investment. If we judge the decline in fair value to be other-than-temporary, we write-down the cost basis of the security to fair value and recognize the amount in the Consolidated Statements of Operations as part of "Other, net" and record it as a reclassification adjustment from "Accumulated other comprehensive loss" in the Consolidated Balance Sheets.

        We account for investments in which we own at least 20% of the voting securities or have significant influence under the equity method of accounting. We record equity method investments at cost and adjust for the appropriate share of the net earnings or losses of the investee. We record investee losses up to the amount of the investment plus advances and loans made to the investee, and financial guarantees made on behalf of the investee.

Derivative Financial Instruments

        We have designated our cross-currency swaps as cash flow hedges, and accordingly, we record the effective portion of the unrealized gains and losses on the cross-currency swaps in "Accumulated other comprehensive loss" in the Consolidated Balance Sheets and reclassify those amounts to earnings in the same periods during which the hedged debt affects earnings. We record the ineffective portion of the unrealized gains and losses on these cross-currency swaps, if any, immediately in earnings.

Debt Issuance Costs

        We defer costs we incur to issue debt and amortize these costs to interest expense using the straight-line method over the term of the respective obligation.

Share-Based Payment

        We grant restricted stock units and common stock options to certain employees and shares of stock to our directors as part of their annual compensation for Board services.

        We record compensation expense equal to the fair value of stock-based awards at the grant date on a straight-line basis over the requisite service period of up to three years, reduced for estimated forfeitures and adjusted for anticipated payout percentages related to the achievement of performance targets.

Sales Taxes

        Sales taxes collected and remitted to state and local authorities are recorded on a net basis.

Income Taxes

        We determine deferred tax assets and liabilities based on the difference between the financial statement and tax basis of assets and liabilities, using enacted tax rates in effect for the year in which we expect the differences to reverse. We must make certain estimates and judgments in determining income tax provisions, assessing the likelihood of recovering our deferred tax assets, and evaluating tax positions.

        We recognize a benefit in "Income tax expense" in the Consolidated Statements of Operations for uncertain tax positions that are more-likely-than-not to be sustained upon examination, measured at the largest amount that has a greater than 50% likelihood of being realized upon settlement. Unrecognized tax benefits represent tax benefits taken or expected to be taken in income tax returns, for which the benefit has not yet been recognized in "Income tax expense" in the Consolidated Statements of Operations due to the uncertainty of whether such benefits will be ultimately realized. We recognize interest and penalties accrued related to unrecognized tax benefits in "Income tax expense" in the Consolidated

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DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Statements of Operations. Unrecognized tax benefits are recorded in "Income tax expense" in the Consolidated Statements of Operations at such time that the benefit is effectively settled.

Advertising Costs

        We expense advertising costs primarily in "Subscriber acquisition costs" in the Consolidated Statements of Operations as incurred. Advertising costs for print and media related to national advertising campaigns, net of payments received from programming content providers for marketing support, were $514 million in 2012, $464 million in 2011 and $396 million in 2010.

Market Concentrations and Credit Risk

        We sell programming services and extend credit, in amounts generally not exceeding $200 each, to a large number of individual residential subscribers throughout the United States and most of Latin America. As applicable, we maintain allowances for anticipated losses.

Fair Value Measurement

        We determine the fair value measurements of assets and liabilities based on the three level valuation hierarchy established for classification of fair value measurements. The valuation hierarchy is based on the transparency of inputs to the valuation of an asset or liability as of the measurement date. Inputs refer broadly to the assumptions that market participants would use in pricing an asset or liability and may be observable or unobservable. The three level hierarchy of inputs is as follows:

    Level 1: Valuation is based on quoted market prices in active markets for identical assets or liabilities.

    Level 2: Valuation is based upon quoted prices for similar assets and liabilities in active markets, or other inputs that are observable, for substantially the full term of the asset or liability.

    Level 3: Valuation is based upon other unobservable inputs that are not corroborated by market data.

        The carrying value of cash and cash equivalents, accounts receivable, investments and other assets, accounts payable, short-term borrowings and amounts included in accrued liabilities and other meeting the definition of a financial instrument approximated their fair values at December 31, 2012 and 2011.

Note 3: Change in Accounting Estimate

        Depreciable Lives of Leased Set-Top Receivers.    We currently lease most set-top receivers provided to new and existing subscribers and therefore capitalize the cost of those set-top receivers. We depreciate capitalized set-top receivers over the estimated useful life of the equipment. As a result of the completion of an extensive evaluation of the estimated useful life of the set-top receivers in the third quarter of 2011, including consideration of historical write-offs, improved efficiencies in our refurbishment program, improved set-top receiver failure rates over time and management's judgment of the risk of technological obsolescence, we determined that the estimated useful life of HD set-top receivers used in our DIRECTV U.S. business has increased to four years, from three years as previously estimated. We continue to depreciate standard-definition, or SD, set-top receivers at DIRECTV U.S. over a three-year estimated useful life. We accounted for this change in the useful life of the HD set-top receivers at DIRECTV U.S. as a change in an accounting estimate beginning July 1, 2011. This change had the effect of reducing depreciation and amortization expense and increasing both net income attributable to DIRECTV and earnings per share in our consolidated results of operations as follows:

 
 
Years Ended
December 31,
 
 
 
2012
 
2011
 
 
  (Dollars in Millions,
Except Per Share Amounts)

 

Depreciation and amortization expense

  $ (176 ) $ (141 )

Net income attributable to DIRECTV

    109     86  

Basic earnings attributable to DIRECTV common stockholders per common share

  $ 0.17   $ 0.12  

Diluted earnings attributable to DIRECTV common stockholders per common share

  $ 0.17   $ 0.11  

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DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Note 4: Acquisition

Globo Transaction

        In connection with our acquisition of Sky Brasil in 2006, our partner who holds the remaining 7% interest, Globo Comunicações e Participações S.A., or Globo, was granted the right, until January 2014, to require us to purchase all or a portion (but not less than half) of its 25.9% interest in Sky Brasil. Upon the exercise of this right in the fourth quarter of 2010, we paid $605 million in cash, which was the fair value of the approximate 19% interest purchased, and recorded a reduction to "Redeemable noncontrolling interest" in the Consolidated Balance Sheets. In addition, we recorded $79 million of net deferred tax assets related to the acquisition of this interest as an offset to "Common stock and additional paid-in capital" in the Consolidated Balance Sheets. We and our subsidiaries now own 93% of Sky Brasil and Globo owns the remaining 7%.

        In accordance with our agreement, Globo will have the right to exchange all (but not less than all) of its remaining equity interest in Sky Brasil until January 2014.

Note 5: Accounts Receivable, Net

        The following table sets forth the amounts recorded for "Accounts receivable, net" in our Consolidated Balance Sheets as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Subscriber

  $ 1,804   $ 1,639  

Telco

    459     512  

Trade and other

    514     402  
           

Total

    2,777     2,553  

Less: Allowance for doubtful accounts

    (81 )   (79 )
           

Accounts receivable, net

  $ 2,696   $ 2,474  
           

Note 6: Satellites, Net and Property and Equipment, Net

        The following table sets forth the amounts recorded for "Satellites, net" and "Property and equipment, net" in our Consolidated Balance Sheets as of December 31:

 
 
Estimated
Useful Lives
(years)
 
2012
 
2011
 
 
   
  (Dollars in Millions)
 

Satellites

    10-16   $ 3,188   $ 3,206  

Satellites under construction

        693     302  
                 

Total

          3,881     3,508  

Less: Accumulated depreciation

          (1,524 )   (1,293 )
                 

Satellites, net

        $ 2,357   $ 2,215  
                 

Land and improvements

    9-30   $ 44   $ 44  

Buildings and leasehold improvements

    2-40     441     406  

Machinery and equipment

    2-23     1,988     1,947  

Capitalized software

    3     2,392     2,198  

Subscriber leased set-top equipment

    3-7     9,053     8,105  

Construction in-progress

        750     418  
                 

Total

          14,668     13,118  

Less: Accumulated depreciation

          (8,630 )   (7,895 )
                 

Property and equipment, net

        $ 6,038   $ 5,223  
                 

        We capitalized interest costs of $24 million in 2012, $13 million in 2011 and $6 million in 2010 as part of the cost of our property and satellites under construction. Depreciation expense, including amortization of property and equipment and satellites held under capital leases, was $2,342 million in 2012, $2,213 million in 2011 and $2,292 million in 2010.

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DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

        The following table sets forth property and equipment leased to our subscribers as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Subscriber leased set-top equipment

  $ 9,053   $ 8,105  

Less: Accumulated depreciation of subscriber leased equipment

    (5,040 )   (4,618 )
           

Subscriber leased set-top equipment, net

  $ 4,013   $ 3,487  
           

        As discussed above in Note 3, effective July 1, 2011, we began depreciating capitalized HD set-top receivers at DIRECTV U.S. over a four-year estimated useful life. Previously, we depreciated HD set-top receivers at DIRECTV U.S. over a three-year estimated useful life. We continue to depreciate SD set-top receivers at DIRECTV U.S. over a three-year useful life. At DIRECTV Latin America, we depreciate capitalized subscriber leased equipment, which includes the cost of the set-top receiver, installation and the dish. HD set-top-receivers have a three-year estimated useful life and SD set-top receivers have a seven-year estimated useful life. The useful life used to depreciate capitalized set-top receivers is based on, among other things, management's judgment of the risk of technological obsolescence. Changes in the estimated useful lives of set-top receivers capitalized could result in significant changes to the amounts recorded as depreciation expense. We regularly evaluate the estimate useful life of our capitalized set-top receivers.

Note 7: Goodwill and Intangible Assets, Net

        The following table sets forth the changes in the carrying amounts of "Goodwill" in the Consolidated Balance Sheets by segment for the years ended December 31, 2012 and 2011:

 
   
 
DIRECTV Latin America
 
Sports
Networks,
Eliminations
and Other
   
 
 
 
DIRECTV
U.S.
 
Sky Brasil
 
PanAmericana
 
Total
 
 
  (Dollars in Millions)
 

Balance as of January 1, 2011

  $ 3,176   $ 466   $ 211   $ 295   $ 4,148  

Foreign currency translation adjustment

        (52 )           (52 )

Acquisition accounting adjustments

    1                 1  
                       

Balance as of December 31, 2011

    3,177     414     211     295     4,097  

Foreign currency translation adjustment

        (34 )           (34 )
                       

Balance as of December 31, 2012

  $ 3,177   $ 380   $ 211   $ 295   $ 4,063  
                       

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DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

        The following table sets forth the components for "Intangible assets, net" in the Consolidated Balance Sheets as of:

 
   
 
December 31, 2012
 
December 31, 2011
 
 
 
Estimated
Useful
Lives
(years)
 
Gross
Amount
 
Accumulated
Amortization
 
Net
Amount
 
Gross
Amount
 
Accumulated
Amortization
 
Net
Amount
 
 
   
  (Dollars in Millions)
 

Orbital slots

    Indefinite   $ 432   $   $ 432   $ 432   $   $ 432  

Satellite rights

    15     101     19     82     110     12     98  

Subscriber related

    5-10     383     371     12     402     353     49  

Dealer network

    15     130     117     13     130     108     22  

Trade name and other

    5-20     174     46     128     159     37     122  

Distribution agreements

    6-20     208     43     165     208     22     186  
                                 

Total intangible assets

        $ 1,428   $ 596   $ 832   $ 1,441   $ 532   $ 909  
                                 

        Amortization expense of intangible assets was $95 million in 2012, $136 million in 2011 and $190 million in 2010.

        Estimated amortization expense for intangible assets in each of the next five years and thereafter is as follows: $58 million in 2013, $50 million in 2014, $45 million in 2015, $24 million in 2016, $24 million in 2017 and $199 million thereafter.

        We performed our annual impairment tests for goodwill and orbital slots in the fourth quarters of 2012, 2011 and 2010. The estimated fair values for each reporting unit and the orbital slots exceeded our carrying values, and accordingly, no impairment losses were recorded during 2012, 2011 or 2010. Additionally, there are no accumulated impairment losses as of December 31, 2012 and 2011.

Satellite Rights

        Sky Brasil has an agreement for the right to use a satellite should its existing leased satellite suffer a significant failure and replacement capacity is needed. During the first quarter of 2010, the satellite was launched and successfully placed into its assigned orbit, and we recorded the total obligation for the right to use the satellite of $116 million in "Intangible assets, net" in the Consolidated Balance Sheets. We made a $29 million payment during 2010 and we made the remaining $87 million payment during 2011. The intangible asset is being amortized on a straight line basis over the 15-year term of the agreement.

Note 8: Investments

Equity Method Investments

        Sky Mexico.    DIRECTV accounts for the excess of the carrying value for its investment in Sky Mexico over DIRECTV's share of Sky Mexico's equity in memo accounts allocated to goodwill and definite lived intangibles attributable to affiliate and advertising relationships. We recognized $4 million in 2012, $25 million in 2011 and $25 million in 2010 of amortization on definite lived intangibles in equity earnings of Sky Mexico related to these assets.

        Game Show Network.    Due to certain governance arrangements which limit DIRECTV's ability to control GSN, we account for GSN as an equity method investment. In March 2011, we sold a 5% ownership interest in GSN to our equity partner for $60 million in cash, reducing our ownership interest to 60%. We recognized a pre-tax gain of $25 million ($16 million after tax) on the sale in "Other, net" in the Consolidated Statements of Operations, which represents the difference between the selling price and the carrying amount of the portion of our equity method investment sold.

        In December 2012, we sold an 18% interest in GSN for $234 million to our equity partner, which reduced our ownership interest from 60% to 42%. We recognized a pre-tax gain of $111 million ($68 million after tax) on the sale in "Other, net" in the Consolidated Statement of Operations, which represents the difference between the selling price and the carrying amount of the portion of our equity method investment sold. Under the terms of the purchase and sale agreement, our equity partner has the option to pay the $234 million selling price either in full in April 2013, or in two equal installments of $117 million each: one in April 2013 and the second in April 2014. All unpaid amounts will accrue interest payable to us at a rate of 10% per year. This sale was considered a non-cash investing activity for purposes of the Consolidated Statements of Cash Flows for the year ended December 31, 2012.

        DIRECTV accounts for the excess of the carrying value for its investment in GSN over DIRECTV's share of GSN's equity in memo accounts allocated to

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DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

goodwill and definite lived intangibles attributable to affiliate and advertising relationships. We recognized $10 million in 2012, $10 million in 2011 and $12 million in 2010 of amortization on definite lived intangibles in equity earnings of GSN related to these assets.

        Other.    In April 2011, we sold an equity method investment for $55 million in cash. As a result of this sale, we recognized a pre-tax gain of $37 million ($23 million after tax) on the sale in "Other, net" in the Consolidated Statements of Operations, which represents the difference between the selling price and the carrying amount of the equity method investment sold.

        The following table sets forth the carrying value of our investments which we account for under the equity method of accounting as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Sky Mexico

  $ 510   $ 490  

GSN

    291     420  

Other equity method investments

    149     131  
           

Total investments accounted for under the equity method of accounting

  $ 950   $ 1,041  
           

        The following table sets forth equity in earnings and losses of our investments accounted for under the equity method of accounting for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Sky Mexico

  $ 62   $ 52   $ 33  

GSN

    42     29     33  

Other

    27     28     24  
               

Total net equity earnings for investments accounted for under the equity method of accounting

  $ 131   $ 109   $ 90  
               

        We received cash dividends of $79 million in 2012, $104 million in 2011 and $78 million in 2010 from companies that we account for under the equity method. Undistributed earnings from equity method investments were $302 million as of December 31, 2012 and $256 million as of December 31, 2011.

Equity Securities

        We had investments in non-marketable equity securities of $68 million as of December 31, 2012 and $56 million as of December 31, 2011, which were stated at cost. We also had investments in marketable equity securities of $11 million as of December 31, 2012 and $17 million as of December 31, 2011, which were carried at fair market value.

Note 9: Accounts Payable and Accrued Liabilities

        The following table sets forth the significant components of "Accounts payable and accrued liabilities" in our Consolidated Balance Sheets as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Programming costs

  $ 2,194   $ 2,006  

Accounts payable

    1,208     1,195  

Payroll and employee benefits

    347     307  

Other

    869     702  
           

Total accounts payable and accrued liabilities

  $ 4,618   $ 4,210  
           

        As of December 31, 2012, there were $104 million of amounts payable to vendors for property and equipment and $5 million of amounts payable for satellites in "Accounts payable and accrued liabilities" in the Consolidated Balance Sheets, which is considered a non-cash investing activity for purposes of the Consolidated Statements of Cash Flows for the year ended December 31, 2012. As of December 31, 2011 there were $68 million of amounts payable to vendors for property and equipment and $3 million of amounts payable for satellites in "Accounts payable and accrued liabilities" in the Consolidated Balance Sheets, which is considered a non-cash investing activity for purposes of the Consolidated Statements of Cash Flows for the year ended December 31, 2011.

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DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Note 10: Debt

        The following table sets forth our outstanding debt as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Long-term debt

             

Senior notes

  $ 17,170   $ 13,464  

Short-term borrowings

             

Commercial paper

    358      
           

Total debt

  $ 17,528   $ 13,464  
           

2012 Financing Transactions

        In the first quarter of 2012, DIRECTV U.S. borrowed and repaid $400 million under its $2 billion revolving credit facility, which was terminated on September 28, 2012, and replaced with a three and one-half year, $1 billion revolving credit facility and a five year, $1.5 billion revolving credit facility.

        On March 8, 2012, DIRECTV U.S. issued the following senior notes in private placement transactions:

 
 
Principal
 
Proceeds, net
of discount
 
 
  (Dollars in Millions)
 

2.400% senior notes due in 2017

  $ 1,250   $ 1,249  

3.800% senior notes due in 2022

    1,500     1,499  

5.150% senior notes due in 2042

    1,250     1,248  
           

  $ 4,000   $ 3,996  
           

        We incurred $25 million of debt issuance costs in connection with this transaction.

        On May 15, 2012, DIRECTV U.S. redeemed, pursuant to the terms of its indenture, all of its then outstanding $1,500 million of 7.625% senior notes due in 2016, at a price of 103.813%, plus accrued and unpaid interest, for a total of $1,614 million. We recorded a pre-tax charge of $64 million ($40 million after tax) during the second quarter of 2012, of which $57 million resulted from the premium paid for the redemption and $7 million resulted from the write-off of deferred debt issuance and other transaction costs. The charge was recorded in "Other, net" in our Consolidated Statements of Operations.

        On September 11, 2012, DIRECTV U.S. issued, pursuant to a registration statement, £750 million ($1,208 million) in aggregate principal of 4.375% senior notes due in 2029 resulting in proceeds, net of an original issue discount, of £742 million ($1,194 million). The U.S. dollar amounts reflect the conversion of the £750 million aggregate principal and the £742 million proceeds, net of discount, to U.S. dollars based on the exchange rate of £1.00/ $1.61 at September 11, 2012. In connection with the issuance of these senior notes, DIRECTV U.S. entered into cross-currency swaps to effectively convert its fixed-rate British pound sterling denominated debt, including annual interest payments and the payment of principal at maturity, to fixed-rate U.S. dollar denominated debt, as further discussed in Note 11. We incurred $9 million of debt issuance costs in connection with this transaction.

        On November 27, 2012, DIRECTV U.S. established a $2.5 billion commercial paper program backed by its revolving credit facilities, as discussed in further detail below. For the year ended December 31, 2012, borrowings under the commercial paper program, net of repayments, were $358 million.

2011 Financing Transactions

        On March 10, 2011, DIRECTV U.S. issued the following senior notes:

 
 
Principal
 
Proceeds, net
of discount
 
 
  (Dollars in Millions)
 

3.500% senior notes due in 2016

  $ 1,500   $ 1,497  

5.000% senior notes due in 2021

    1,500     1,493  

6.375% senior notes due in 2041

    1,000     1,000  
           

  $ 4,000   $ 3,990  
           

        We incurred $24 million of debt issuance costs in connection with this transaction.

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DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

        On March 17, 2011, DIRECTV U.S. purchased, pursuant to a tender offer, $341 million of its then outstanding $1,002 million of 6.375% senior notes due in 2015 at a price of 103.313%, plus accrued and unpaid interest, for a total of $358 million. On June 15, 2011, DIRECTV U.S. redeemed, pursuant to the terms of its indenture, the remaining $659 million of its outstanding 6.375% senior notes due 2015, at a price of 102.125%, plus accrued and unpaid interest, for a total of $694 million. The redemption of the 6.375% senior notes resulted in a 2011 pre-tax charge of $25 million, $16 million after tax, primarily for the premiums paid. The charge was recorded in "Other, net" in our Consolidated Statements of Operations.

2010 Financing Transactions

        On March 11, 2010, DIRECTV U.S. issued the following senior notes:

 
 
Principal
 
Proceeds, net
of discount
 
 
  (Dollars in Millions)
 

3.550% senior notes due in 2015

  $ 1,200   $ 1,199  

5.200% senior notes due in 2020

    1,300     1,298  

6.350% senior notes due in 2040

    500     499  
           

  $ 3,000   $ 2,996  
           

        We incurred $17 million of debt issuance costs in connection with these transactions.

        On March 16, 2010, DIRECTV U.S. repaid the $985 million of remaining principal on Term Loan C of its senior secured credit facility. The repayment of Term Loan C resulted in a 2010 pre-tax charge of $9 million ($6 million after tax), of which $6 million resulted from the write-off of unamortized discount and $3 million resulted from the write-off of deferred debt issuance and other transaction costs. The charge was recorded in "Other, net" in our Consolidated Statements of Operations.

        On August 17, 2010, pursuant to a registration statement, DIRECTV U.S. issued the following senior notes:

 
 
Principal
 
Proceeds, net
of discount
 
 
  (Dollars in Millions)
 

3.125% senior notes due in 2016

  $ 750   $ 750  

4.600% senior notes due in 2021

    1,000     999  

6.000% senior notes due in 2040

    1,250     1,233  
           

  $ 3,000   $ 2,982  
           

        We incurred $19 million of debt issuance costs in connection with these transactions.

        On August 20, 2010, DIRECTV U.S. repaid the $1,220 million of remaining principal on Term Loans A and B of its senior secured credit facility. The repayment of Term Loans A and B resulted in a 2010 pre-tax charge of $7 million ($4 million after tax) resulting from the write-off of deferred debt issuance and other transaction costs. The charge was recorded in "Other, net" in our Consolidated Statements of Operations.

77



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Senior Notes

        The following table sets forth our outstanding senior notes balance as of December 31:

 
 
Principal amount
 
Carrying value, net of
unamortized original
issue discounts or
including premiums
 
 
 
2012
 
2012
 
2011
 
 
  (Dollars in Millions)
 

4.750% senior notes due in 2014

  $ 1,000   $ 999   $ 999  

3.550% senior notes due in 2015

    1,200     1,200     1,199  

3.125% senior notes due in 2016

    750     750     750  

3.500% senior notes due in 2016

    1,500     1,498     1,498  

7.625% senior notes due in 2016

            1,500  

2.400% senior notes due in 2017

    1,250     1,249      

5.875% senior notes due in 2019

    1,000     995     994  

5.200% senior notes due in 2020

    1,300     1,298     1,298  

4.600% senior notes due in 2021

    1,000     999     999  

5.000% senior notes due in 2021

    1,500     1,495     1,494  

3.800% senior notes due in 2022

    1,500     1,499      

4.375% senior notes due in 2029 (1)

    1,219     1,206      

6.350% senior notes due in 2040

    500     500     499  

6.000% senior notes due in 2040

    1,250     1,234     1,234  

6.375% senior notes due in 2041

    1,000     1,000     1,000  

5.150% senior notes due in 2042

    1,250     1,248      
               

Total senior notes

  $ 17,219   $ 17,170   $ 13,464  
               

(1)
The amounts for the 4.375% senior notes due in 2029 reflect the remeasurement of £750 million aggregate principal and £742 million carrying value to U.S. dollars based on the exchange rate of £1.00/$1.63 at December 31, 2012.

        The fair value of our senior notes was approximately $18,598 million at December 31, 2012 and $14,512 million at December 31, 2011. We calculated the fair values based on quoted market prices of our senior notes, which is a Level 1 input under the accounting guidance for fair value measurements of assets and liabilities.

        All of our senior notes were issued by DIRECTV Holdings LLC and DIRECTV Financing Co., Inc., or the Co-Issuers, and have been registered under the Securities Act of 1933, as amended.

        Our senior notes payable mature as follows: $1,000 million in 2014, $1,200 million in 2015, $2,250 million in 2016, $1,250 million in 2017 and $11,519 million thereafter. The amount of interest accrued related to our outstanding debt was $246 million at December 31, 2012 and $201 million at December 31, 2011.

Collar Loan

        On November 19, 2009, The DIRECTV Group, Inc., now a wholly owned subsidiary of DIRECTV, and Liberty Media Corporation completed a series of transactions, which we refer to collectively as the Liberty Transaction. As part of the Liberty Transaction, we assumed a credit facility and related equity collars, which we refer to as the Collar Loan. During the first quarter of 2010, we paid $1,537 million to repay the remaining principal balance and accrued interest on the credit facility, and to settle the equity collars. As a result, we recorded a gain of $67 million in "Liberty transaction and related gain" in the Consolidated Statements of Operations in the first quarter of 2010 related to the Collar Loan.

Commercial Paper

        On November 27, 2012, DIRECTV U.S. established a commercial paper program backed by its revolving credit facilities, which provides for the issuance of short-term commercial paper in the United States up to a maximum aggregate principal of $2.5 billion. As of December 31, 2012, we had $358 million of short-term commercial paper outstanding, with a weighted average maturity of 90 days, at a weighted average yield of 0.54%, which may be refinanced on a periodic basis as borrowings mature. Aggregate amounts outstanding under the revolving credit facilities and commercial paper program are limited to $2.5 billion.

78



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Revolving Credit Facilities

        On September 28, 2012, DIRECTV U.S.' five year, $2.0 billion revolving credit facility dated February 7, 2011 was terminated and replaced with a three and one-half year, $1.0 billion revolving credit facility and a five year, $1.5 billion revolving credit facility. We pay a commitment fee of 0.15% per year for the unused commitment under the revolving credit facilities. Borrowings currently bear interest at a rate equal to the London Interbank Offer Rate (LIBOR) plus 1.25%. Both the commitment fee and the annual interest rate may increase or decrease under certain conditions due to changes in DIRECTV U.S.' long-term, unsecured debt ratings. Under certain conditions, DIRECTV U.S. may increase the borrowing capacity of the revolving credit facilities by an aggregate amount of up to $500 million. Aggregate amounts outstanding under the revolving credit facilities and the commercial paper program are limited to $2.5 billion. As of December 31, 2012, there were no borrowings under the new revolving credit facilities.

        Borrowings under the revolving credit facilities are unsecured senior obligations of DIRECTV U.S. and will rank equally in right of payment with all of DIRECTV U.S.' existing and future senior debt and will rank senior in right of payment to all of DIRECTV U.S.' future subordinated debt, if any.

Covenants and Restrictions

        The revolving credit facilities require DIRECTV U.S. to maintain at the end of each fiscal quarter a specified ratio of indebtedness to earnings before interest, taxes and depreciation and amortization. The revolving credit facilities also include covenants that restrict DIRECTV U.S.' ability to, among other things, (i) incur additional subsidiary indebtedness, (ii) incur liens, (iii) enter into certain transactions with affiliates, (iv) merge or consolidate with another entity, (v) sell, assign, lease or otherwise dispose of all or substantially all of its assets, and (vi) change its lines of business. Additionally, the senior notes contain restrictive covenants that are similar. Should DIRECTV U.S. fail to comply with these covenants, all or a portion of its borrowings under the senior notes could become immediately payable and its revolving credit facilities could be terminated. At December 31, 2012, management believes DIRECTV U.S. was in compliance with all such covenants. The senior notes and revolving credit facilities also provide that the borrowings may be required to be prepaid if certain change-in-control events, coupled with a ratings decline, occur.

        DIRECTV Guarantors.    On November 14, 2011, we entered into a series of Supplemental Indentures whereby DIRECTV agreed to fully guarantee all of the senior notes then outstanding, jointly and severally with substantially all of DIRECTV Holdings LLC's domestic subsidiaries. The Supplemental Indentures provide that DIRECTV unconditionally guarantees that the principal and interest on the respective senior notes will be paid in full when due and that the obligations of the Co-Issuers to the holders of the outstanding senior notes will be performed. All of the senior notes issued since November 14, 2011, the revolving credit facilities and the commercial paper program are also similarly fully guaranteed by DIRECTV.

        As a result of the guarantees, holders of the senior notes, the revolving credit debt and the commercial paper have the benefit of DIRECTV's interests in the assets and related earnings of our operations that are not held through DIRECTV Holdings LLC and its subsidiaries. Those operations are primarily our DTH digital television services throughout Latin America which are held by DIRECTV Latin America Holdings, Inc. and its subsidiaries, and our regional sports networks which are held by DIRECTV Sports Networks LLC and its subsidiaries. However, the subsidiaries that own and operate the DIRECTV Latin America business and the regional sports networks have not guaranteed the senior notes, the revolving credit facilities and the commercial paper.

        The guarantees are unsecured senior obligations of DIRECTV and rank equally in right of payment with all of DIRECTV's existing and future senior debt and rank senior in right of payment to all of DIRECTV's future subordinated debt, if any. The guarantees are effectively subordinated to all existing and future secured obligations, if any, of DIRECTV to the extent of the value of the assets securing the obligations. DIRECTV will not be subject to the covenants contained in each indenture of the senior notes and our guarantees will terminate and be released on the terms set forth in each of the indentures.

Restricted Cash

        Restricted cash of $6 million as of December 31, 2012 and $30 million as of December 31, 2011 was included as part of "Prepaid expenses and other" in our

79



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Consolidated Balance Sheets. These amounts secure our letter of credit obligations and restrictions on the cash will be removed as the letters of credit expire.

Note 11: Derivative Financial Instruments

Cross-Currency Swaps

        In connection with the issuance of the £750 million of 4.375% senior notes due in 2029 discussed in Note 10, DIRECTV U.S. entered into cross-currency swap agreements to manage the related foreign exchange risk by effectively converting all of the fixed-rate British pound sterling denominated debt, including annual interest payments and the payment of principal at maturity, to fixed-rate U.S. dollar denominated debt. These cross-currency swaps are designated and qualify as cash flow hedges. The terms of the cross-currency swap agreements correspond to the related hedged senior notes and the cross-currency swaps have maturities extending through September 2029.

        We record unrealized gains on cross-currency swaps at fair value as assets and unrealized losses on cross-currency swaps at fair value as liabilities. As of December 31, 2012, we recorded the fair value of unrealized losses on cross-currency swaps in the amount of $17 million in "Other liabilities and deferred credits" in the Consolidated Balance Sheets. We calculated the fair value of the cross-currency swap contracts using an income-approach model (discounted cash flow analysis), the use of which is considered a Level 2 valuation technique, using observable inputs, such as foreign currency exchange rates, swap rates, cross-currency basis swap spreads and incorporating counterparty credit risk. These cross-currency swaps have been designated as cash flow hedges, and accordingly, the effective portion of the unrealized gains and losses on the cross-currency swaps is reported in "Accumulated other comprehensive loss" in the Consolidated Balance Sheets and reclassified to earnings in the same periods during which the hedged debt affects earnings. The ineffective portion of the unrealized gains and losses on these cross-currency swaps, if any, is recorded immediately in earnings. During the year ended December 31, 2012, DIRECTV U.S. reclassified $11 million ($7 million after tax) from "Accumulated other comprehensive loss" in the Consolidated Balance Sheets, into "Other, net" in the Consolidated Statements of Operations, to offset $11 million of remeasurement loss on the British pound sterling denominated debt. We evaluate the effectiveness of our cross-currency swaps on a quarterly basis. We measured no ineffectiveness for the year ended December 31, 2012.

        Collateral Arrangements.    We have agreements with our cross-currency swap counterparties that include collateral provisions which require a party with an unrealized loss position in excess of certain thresholds to post cash collateral for the amount in excess of the threshold. The threshold levels in our collateral agreements are based on each party's credit ratings. As of December 31, 2012, neither we nor any of our counterparties were required to post collateral under the terms of the cross-currency swap agreements. We do not offset the fair value of collateral, whether the right to reclaim cash collateral (a receivable) or the obligation to return cash collateral (a payable), against the fair value of the derivative instruments.

Note 12: Income Taxes

        We base our income tax expense or benefit on reported "Income before income taxes." Deferred income tax assets and liabilities reflect the impact of temporary differences between the amounts of assets and liabilities recognized for financial reporting purposes and such amounts recognized for tax purposes, as measured by applying currently enacted tax laws.

80



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

        "Income tax expense" in the Consolidated Statements of Operations consisted of the following for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Current tax expense:

                   

U.S. federal

  $ 980   $ 631   $ 391  

Foreign

    309     253     227  

State and local

    113     107     20  
               

Total

    1,402     991     638  
               

Deferred tax expense (benefit):

                   

U.S. federal

    (25 )   284     596  

Foreign

    63     59     (118 )

State and local

    25     14     86  
               

Total

    63     357     564  
               

Total income tax expense

  $ 1,465   $ 1,348   $ 1,202  
               

        "Income before income taxes" in the Consolidated Statements of Operations included the following components for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

U.S. income

  $ 3,442   $ 3,044   $ 2,809  

Foreign income

    1,000     940     705  
               

Total

  $ 4,442   $ 3,984   $ 3,514  
               

        Our income tax expense was different than the amount computed using the U.S. federal statutory income tax rate for the reasons set forth in the following table for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Expected expense at U.S. federal statutory income tax rate

  $ 1,555   $ 1,394   $ 1,230  

U.S. state and local income tax expense, net of federal benefit

    87     75     106  

Liberty Transaction charges not recoverable

    1     1     4  

Change in unrecognized tax benefits

    (154 )   40     (40 )

Noncontrolling interests in partnership earnings and taxes

        2     (44 )

Foreign taxes, net of federal tax benefits

    (3 )   (82 )   9  

Change in valuation allowance

    3     (40 )   (32 )

Multistate tax planning

            (20 )

Tax credits

    (30 )   (47 )   (7 )

Other

    6     5     (4 )
               

Total income tax expense

  $ 1,465   $ 1,348   $ 1,202  
               

81



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

        Temporary differences and carryforwards that gave rise to deferred tax assets and liabilities at December 31 were as follows:

 
 
2012
 
2011
 
 
 
Deferred
Tax
Assets
 
Deferred
Tax
Liabilities
 
Deferred
Tax
Assets
 
Deferred
Tax
Liabilities
 
 
  (Dollars in Millions)
 

Accruals and advances

  $ 466   $ 273   $ 418   $ 268  

Prepaid expenses

        32         34  

State taxes

    74         73      

Depreciation, amortization and asset impairment charges

        1,406         1,155  

Net operating loss and tax credit carryforwards

    626         610      

Programming contract liabilities

    46         48      

Unrealized foreign exchange gains or losses

        79         105  

Tax basis differences in investments and affiliates

    261     824     91     804  

Other

            6     5  
                   

Subtotal

    1,473     2,614     1,246     2,371  

Valuation allowance

    (432 )       (466 )    
                   

Total deferred taxes

  $ 1,041   $ 2,614   $ 780   $ 2,371  
                   

        Included in "Investments and other assets" in the Consolidated Balance Sheets are $116 million at December 31, 2012 and $210 million at December 31, 2011 of noncurrent deferred tax assets. Also included in "Accounts payable and accrued liabilities" in the Consolidated Balance Sheets are $90 million at December 31, 2012 and $92 million at December 31, 2011 of current deferred tax liabilities.

        We assessed the deferred tax assets for the respective periods for recoverability and, where applicable, we recorded a valuation allowance to reduce the total deferred tax assets to an amount that will, more likely than not, be realized in the future.

        The valuation allowance balances of $432 million at December 31, 2012 and $466 million at December 31, 2011, are primarily attributable to unused foreign operating losses and unused capital losses, both of which are available for carry forward. For the year ended December 31, 2012, the decrease in the valuation allowance was primarily attributable to a reduction in the deferred tax asset on capital loss carryforwards.

        Although realization is not assured, we have concluded that it is more likely than not that our unreserved deferred tax assets will be realized in the ordinary course of operations based on available positive and negative evidence, including scheduling of deferred tax liabilities and projected income from operating activities. The underlying assumptions we use in forecasting future taxable income require significant judgment and take into account our recent performance.

        As of December 31, 2012, we have $17 million of federal net operating loss carryforward which expires between 2027 and 2028. The utilization of the federal net operating loss carryforward is subject to an annual limitation under Section 382 of the Internal Revenue Code, however we believe that we will have sufficient taxable income during the limitation period to utilize all of the carryforward. We also have foreign tax credit carryovers of $133 million which expire between 2020 and 2022, state net operating loss carryforwards of $30 million which expire between 2029 and 2030, and approximately $2 billion of foreign net operating losses that are primarily attributable to operations in Brazil with varying expiration dates.

        As a result of the currency exchange process in Venezuela since 2010, exclusive of the payment of some intercompany obligations, we have been unable to repatriate excess cash balances. As of December 31, 2012, the cumulative amount of earnings upon which U.S. income taxes have not been provided is approximately $536 million. Should these earnings be distributed in the form of dividends, the distributions would be subject to U.S. federal income tax at the statutory rate of 35 percent, less foreign tax credits available to offset such distributions. Because the time or manner of repatriation is uncertain, we cannot determine the impact of local taxes, withholding taxes and foreign tax credits associated with the future repatriation of such earnings and therefore cannot quantify the potential tax liability.

82



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

        No income tax provision has been made for the portion of undistributed earnings of foreign subsidiaries, excluding Venezuela, deemed permanently reinvested that amounted to approximately $11 million in 2012. It is not practicable to determine the amount of the unrecognized deferred tax liability related to the investments in these foreign subsidiaries.

        A reconciliation of the beginning and ending balances of the total amounts of gross unrecognized tax benefits is as follows:

 
 
Gross Unrecognized
Tax Benefits
 
 
  (Dollars in Millions)
 

Balance as of January 1, 2010

  $ 527  

Increases in tax positions for prior years

    7  

Decreases in tax positions for prior years

    (207 )

Increases in tax positions for the current year

    35  
       

Balance as of December 31, 2010

    362  

Increases in tax positions for prior years

    17  

Decreases in tax positions for prior years

    (4 )

Increases in tax positions for the current year

    15  
       

Balance as of December 31, 2011

    390  

Decreases in tax positions for prior years

    (6 )

Increases in tax positions for the current year

    35  

Expiration of the statute of limitations

    (141 )
       

Balance as of December 31, 2012

  $ 278  
       

        As of December 31, 2012, our unrecognized tax benefits totaled $278 million, including $227 million of tax positions the recognition of which would affect the annual effective income tax rate. The decrease in the unrecognized tax benefits is primarily attributable to the expiration of the statute of limitations in federal and foreign tax jurisdictions.

        We recorded interest and penalties accrued related to unrecognized tax benefits of $12 million in 2012, $16 million in 2011 and $21 million in 2010 in "Income tax expense" in the Consolidated Statements of Operations. We have accrued, as part of our liability for unrecognized tax benefits, interest and penalties of $32 million as of December 31, 2012, and $67 million as of December 31, 2011.

        We file numerous consolidated and separate income tax returns in the U.S. federal jurisdiction and in many state and foreign jurisdictions. For U.S. federal tax purposes, the tax years 2010 and 2011 remain open for examination. The California tax years 2001 through 2011 remain open to examination and the income tax returns in the other state and foreign tax jurisdictions in which we have operations are generally subject to examination for a period of three to five years after filing of the respective return.

        We engage in continuous discussions and negotiations with federal, state, and foreign taxing authorities and reevaluate our uncertain tax positions, and, while it is often difficult to predict the final outcome or the timing of resolution of any particular tax matter or tax position, we believe that it is reasonably possible that our unrecognized tax benefits could decrease by up to approximately $40 million during the next twelve months.

Note 13: Capital Lease Obligations

        We include the current and noncurrent portions of the present value of the net minimum lease payments under capital leases for satellites and vehicles in "Accounts payable and accrued liabilities" and "Other liabilities and deferred credits" in the Consolidated Balance Sheets. The following table sets forth the present value of the net minimum lease payments under capital leases for satellites

83



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

and vehicles as of December 31, 2012, along with total minimum lease payments for the each of the years ending December 31:

 
 
Minimum Lease Payments
 
 
  (Dollars in Millions)
 

2013

  $ 100  

2014

    96  

2015

    90  

2016

    84  

2017

    79  

Thereafter

    289  
       

Total minimum lease payments

    738  

Less: Amount representing interest

    (210 )
       

Present value of net minimum lease payments

  $ 528  
       

        Excluded from the table above are future payments under the contract for the lease of the ISDLA-1 and ISDLA-2 satellites currently under construction for DIRECTV Latin America, which we expect to account for as a capital lease at the time the satellites are placed into service. See Note 21 for further discussion.

        We include assets held under capitalized leases in "Satellites, net" and "Property and Equipment, net" in our Consolidated Balance Sheets. The following table sets forth assets held under capital leases as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Satellites under capital leases

  $ 509   $ 527  

Less: Accumulated amortization

    (190 )   (140 )
           

Satellites, net under capital leases

  $ 319   $ 387  
           

Property and equipment under capital leases

  $ 129   $ 104  

Less: Accumulated amortization

    (47 )   (38 )
           

Property and equipment, net under capital leases

  $ 82   $ 66  
           

        We paid interest for capital leases of $47 million in 2012, $51 million in 2011 and $55 million in 2010.

Note 14: Pension and Other Postretirement Benefit Plans

        Most of our employees are eligible to participate in our funded non-contributory defined benefit pension plan, which provides defined benefits based on either years of service and final average salary, or eligible compensation while employed by us. Additionally, we maintain a funded contributory defined benefit plan for employees who elected to participate prior to 1991, and an unfunded, nonqualified pension plan for certain eligible employees. For participants in the contributory pension plan, we also maintain a postretirement benefit plan for those retirees eligible to participate in health care and life insurance benefits generally until they reach age 65. Participants may become eligible for these health care and life insurance benefits if they retire from our company between the ages of 55 and 65. The health care plan is contributory with participants' contributions subject to adjustment annually; the life insurance plan is non-contributory.

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DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

        The components of the pension benefit obligation and the other postretirement benefit obligation, including amounts recognized in the Consolidated Balance Sheets, are shown below for the years ended December 31:

 
 
Pension
Benefits
 
Other
Postretirement
Benefits
 
 
 
2012
 
2011
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Change in Net Benefit Obligation

                         

Net benefit obligation at beginning of year

  $ 583   $ 521   $ 23   $ 21  

Service cost

    32     25     1     1  

Interest cost

    30     29     1     1  

Plan participants' contributions

    1     1          

Actuarial (gain) loss

    91     43     (3 )   1  

Benefits paid

    (37 )   (36 )   (1 )   (1 )

Settlements

    (36 )            
                   

Net benefit obligation at end of year

    664     583     21     23  
                   

Change in Plan Assets

                         

Fair value of plan assets at beginning of year

    448     429          

Actual return on plan assets

    49     14          

Employer contributions

    70     40     1     1  

Plan participants' contributions

    1     1          

Benefits paid

    (37 )   (36 )   (1 )   (1 )

Settlements

    (36 )            

Fair value of plan assets at end of year

    495     448          
                   

Funded status at end of year

  $ (169 ) $ (135 ) $ (21 ) $ (23 )
                   

Amounts recognized in the consolidated balance sheets consist of:

                         

Accounts payable and accrued liabilities

  $ (6 ) $ (6 ) $ (2 ) $ (2 )

Other liabilities and deferred credits

    (163 )   (129 )   (19 )   (21 )

Deferred tax assets

    115     94         1  

Accumulated other comprehensive loss

    184     149         2  

Amounts recognized in the accumulated other comprehensive loss consist of:

                         

Unamortized net amount resulting from changes in defined benefit plan experience and actuarial assumptions, net of taxes

    182     147         2  

Unamortized amount resulting from changes in defined benefit plan provisions, net of taxes

    2     2          
                   

Total

  $ 184   $ 149   $   $ 2  
                   

        We estimate that the following amounts will be amortized from "Accumulated other comprehensive loss" in the Consolidated Balance Sheets into net periodic benefit cost during the year ending December 31, 2013:

 
 
Pension
Benefits
 
 
  (Dollars in Millions)
 

Expense resulting from changes in plan experience and actuarial assumptions

  $ 27  

Expense resulting from changes in plan provisions

    1  

        The accumulated benefit obligation for all pension plans was $583 million at December 31, 2012 and $531 million as of December 31, 2011.

        Information for pension plans with an accumulated benefit obligation in excess of plan assets as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Accumulated benefit obligation

  $ 93   $ 531  

Fair value of plan assets

        448  

        Information for pension plans with a projected benefit obligation in excess of plan assets as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Projected benefit obligation

  $ 664   $ 583  

Fair value of plan assets

    495     448  

85



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

        Components of net periodic benefit cost for the years ended December 31:

 
 
Pension
Benefits
 
Other
Postretirement
Benefits
 
 
 
2012
 
2011
 
2010
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Components of net periodic benefit cost

                                     

Benefits earned during the year

  $ 32   $ 25   $ 19   $ 1   $ 1   $ 1  

Interest accrued on benefits earned in prior years

    30     29     28     1     1     1  

Expected return on plan assets

    (34 )   (34 )   (32 )            

Amortization components

                                     

Amount resulting from changes in plan provisions          

    1     1     1             (1 )

Net amount resulting from changes in plan experience and actuarial assumptions

    19     14     14              
                           

Net periodic benefit cost

  $ 48   $ 35   $ 30   $ 2   $ 2   $ 1  
                           

Assumptions

        Weighted-average assumptions used to determine benefit obligations at December 31:

 
 
Pension Benefits
 
Other Postretirement Benefits
 
 
 
2012
 
2011
 
2012
 
2011
 

Discount rate—Qualified Plans

    3.92 %   4.99 %   3.47 %   4.48 %

Discount rate—Non-Qualified Plans

    3.91 %   4.92 %        

Rate of compensation increase

    4.00 %   4.00 %   4.00 %   4.00 %

        Weighted-average assumptions used to determine net periodic benefit cost for the years ended December 31:

 
 
Pension
Benefits
 
Other
Postretirement
Benefits
 
 
 
2012
 
2011
 
2010
 
2012
 
2011
 
2010
 

Discount rate—Qualified Plan

    4.99 %   5.59 %   5.64 %   4.48 %   4.99 %   5.21 %

Discount rate—Non-Qualified Plans

    4.92 %   5.54 %   5.63 %            

Expected long-term return on plan assets

    7.75 %   8.00 %   8.25 %            

Rate of compensation increase

    4.00 %   4.00 %   4.00 %   4.00 %   4.00 %   4.00 %

        We base our expected long-term return on plan assets assumption on a periodic review and modeling of the plans' asset allocation and liability structure over a long-term horizon. Expectations of returns for each asset class are the most important of the assumptions used in the review and modeling and are based on the forward looking expectations for asset class returns, historical data and economic/financial market theory.

        The following table provides assumed health care costs trend rates:

 
 
2012
 
2011
 
2010
 

Health care cost trend rate

    8.00 %   8.00 %   8.00 %

Rate to which the cost trend rate is assumed to decline (ultimate trend rate)

    5.00 %   5.00 %   5.00 %

Year that trend rate reaches the ultimate trend rate

    2017     2017     2017  

Plan Assets

        Our investment policy includes various guidelines and procedures designed to ensure we invest assets in a manner necessary to meet expected future benefits earned by participants. The investment guidelines consider a broad range of economic conditions. Central to the policy are target allocation ranges by major asset categories. The policy range for plan assets are 20% to 60% equity securities, 30% to 50% debt securities, 0% to 40% alternatives and other types of investments.

86



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

        The objectives of the target allocations are to maintain investment portfolios that diversify risk through prudent asset allocation parameters, achieve asset returns that meet or exceed the plans' actuarial assumptions, and achieve asset returns that are competitive with like institutions employing similar investment strategies.

        The investment policy is periodically reviewed by us and a designated third-party fiduciary for investment matters. We establish and administer the policy in a manner so as to comply at all times with applicable government regulations.

        The fair value measurements of the plan assets as of December 31, 2012 were as follows:

 
 
Fair Value Measurements as of December 31, 2012
 
 
 
Total
 
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
 
Significant
Observable
Inputs
(Level 2)
 
Significant
Unobservable
Inputs
(Level 3)
 
Percentage of
Plan Assets
as of
December 31,
2012
 
 
  (Dollars in millions)
 

Asset Category

                               

Common collective trusts

                               

Cash and cash equivalents

  $ 4   $   $ 4   $     1 %

Equity securities:

                               

U.S. large-cap

    87         87         18 %

U.S. mid-cap growth

    19         19         4 %

International large-cap value

    94         94         19 %

Emerging markets growth

    6         6         1 %

Domestic real estate

    26         26         5 %

Fixed income

    182         182         37 %

Partnership and joint venture interests

    31             31     6 %

Insurance contracts at contract value

    2         2          

Hedge funds

    44             44     9 %
                       

Total

  $ 495   $   $ 420   $ 75     100 %
                       

        The fair value measurements of the plan assets as of December 31, 2011 were as follows:

 
 
Fair Value Measurements as of December 31, 2011
 
 
 
Total
 
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
 
Significant
Observable
Inputs
(Level 2)
 
Significant
Unobservable
Inputs
(Level 3)
 
Percentage of
Plan Assets
as of
December 31,
2011
 
 
  (Dollars in millions)
 

Asset Category

                               

Common collective trusts

                               

Cash and cash equivalents

  $ 3   $   $ 3   $     1 %

Equity securities:

                               

U.S. large-cap

    75         75         17 %

U.S. mid-cap growth

    17         17         3 %

International large-cap value

    92         92         21 %

Domestic real estate

    23         23         5 %

Fixed income

    165         165         37 %

Partnership and joint venture interests

    30             30     7 %

Insurance contracts at contract value

    2         2          

Hedge funds

    41             41     9 %
                       

Total

  $ 448   $   $ 377   $ 71     100 %
                       

        There were no shares of our common stock included in plan assets as of December 31, 2012 and 2011.

87



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

        The fair value measurement of plan assets using significant unobservable inputs (Level 3) changed during 2011 and 2012 due to the following:

 
 
Partnerships
and Joint
Venture
Interests
 
Hedge Funds
 
Total
 
 
  (Dollars in Millions)
 

Balance as of January 1, 2011

  $ 28   $   $ 28  

Realized losses

    (1 )       (1 )

Unrealized gains

    5     (3 )   2  

Purchases and sales

    (2 )   44     42  
               

Balance as of December 31, 2011

    30     41     71  

Unrealized gains

    1     3     4  
               

Balance as of December 31, 2012

  $ 31   $ 44   $ 75  
               

Cash Flows

    Contributions

        We expect to contribute approximately $15 million to our qualified pension plans and make payments of $6 million to our nonqualified pension plan participants in 2013.

    Estimated Future Benefit Payments

        We expect the following benefit payments, which reflect expected future service, as appropriate, to be paid by the plans during the years ending December 31:

 
 
Estimated Future Benefit
Payments
 
 
 
Pension
Benefits
 
Other
Postretirement
Benefits
 
 
  (Dollars in Millions)
 

2013

  $ 41   $ 2  

2014

    41     2  

2015

    42     2  

2016

    42     2  

2017

    41     2  

2018-2022

    218     10  

        We maintain 401(k) plans for qualified employees. We match a portion of our employee contributions and our match amounted to $30 million in 2012, $28 million in 2011 and $23 million in 2010.

        We have disclosed certain amounts associated with estimated future postretirement benefits other than pensions and characterized such amounts as "other postretirement benefit obligation." Notwithstanding the recording of such amounts and the use of these terms, we do not admit or otherwise acknowledge that such amounts or existing postretirement benefit plans of our company (other than pensions) represent legally enforceable liabilities of us.

Note 15: Stockholders' Deficit

Capital Stock and Additional Paid-In Capital

        Following completion of the Liberty Transaction in November 2009, DIRECTV had two classes of common stock outstanding: Class A common stock, par value $0.01 per share, and Class B common stock, par value $0.01 per share. There have been no Class B shares outstanding since the completion of the Malone Transaction on June 16, 2010, as discussed below. The DIRECTV Class A common stock was entitled to one vote per share and traded on the NASDAQ

88



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

under the ticker "DTV" until it was reclassified as common stock pursuant to the amendment in August 2012. The DIRECTV Class B common stock was entitled to fifteen votes per common share and was not listed on any stock exchange or automated dealer quotation system.

        On August 27, 2012, our certificate of incorporation was amended to reclassify all issued and outstanding shares of Class A common stock and Class B common stock into a single class of common stock. Pursuant to this amendment, our certificate of incorporation provides for the following capital stock: common stock, par value $0.01 per share, 3,950,000,000 shares authorized, and preferred stock, par value $0.01 per share, 50,000,000 shares authorized. The DIRECTV common stock is entitled to one vote per share and trades on the NASDAQ, under the ticker "DTV". As of December 31, 2012, there were no outstanding shares of preferred stock.

Malone Transaction

        In April 2010, we entered into an agreement with Dr. John C. Malone and his family, or the Malones, under which they exchanged 21.8 million shares of high-vote Class B common stock, which was all of the outstanding Class B shares, for 26.5 million shares of Class A common stock, resulting in the reduction of the Malones' voting interest in DIRECTV from approximately 24% to approximately 3% on June 16, 2010. The number of Class A shares issued was determined as follows: one share of Class A common stock for each share of Class B common stock held, plus an additional number of Class A shares with a fair value of $160 million based on the then current market price of the Class A common stock at the time of the agreement on April 6, 2010. See Note 16 for additional information regarding the Malone Transaction.

Share Repurchase Program

        Since 2006 our Board of Directors has approved multiple authorizations for the repurchase of our common stock. As of December 31, 2012, we had approximately $1,719 million remaining under the authorization given by the Board of Directors in 2012. In February 2013 our Board of Directors terminated the remaining balance available under the 2012 authorization and authorized up to an additional $4 billion for repurchases of our common stock. The authorizations allow us to repurchase our common stock from time to time through open market purchases and negotiated transactions, or otherwise. The timing, nature and amount of such transactions will depend on a variety of factors, including market conditions, and the program may be suspended, discontinued or accelerated at any time. The sources of funds for the purchases under the remaining authorizations are our existing cash on hand, cash from operations and potential additional borrowings. Purchases are made in the open market, through block trades and other negotiated transactions. Repurchased shares are retired, but remain authorized for registration and issuance in the future.

        The following table sets forth information regarding shares repurchased and retired for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
  (Amounts in Millions,
Except Per Share Amounts)

 

Total cost of repurchased and retired shares

  $ 5,148   $ 5,455   $ 5,179  

Average price per share

  $ 48.24   $ 45.78   $ 38.20  

Number of shares repurchased and retired

    107     119     136  

        Of the $5,455 million in repurchases during the year ended December 31, 2011, $27 million were paid for in January 2012. Amounts repurchased but settled subsequent to the end of such periods are considered non-cash financing activities and are excluded from the Consolidated Statements of Cash Flows.

89



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Other Comprehensive Income (Loss)

        The following table sets forth the components of "Other comprehensive income (loss)" in the Consolidated Statements of Comprehensive Income for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
 
Pre-tax
Amount
 
Tax
(Benefit)
Expense
 
Net
Amount
 
Pre-tax
Amount
 
Tax
(Benefit)
Expense
 
Net
Amount
 
Pre-tax
Amount
 
Tax
(Benefit)
Expense
 
Net
Amount
 
 
  (Dollars in Millions)
 

Defined benefit plans:

                                                       

Losses related to changes in plan experience and actuarial assumptions arising during the period

  $ (73 ) $ (28 ) $ (45 ) $ (64 ) $ (25 ) $ (39 ) $   $   $  

Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost

    19     7     12     15     6     9     13     5     8  

Amortization of amounts resulting from changes in plan provisions recognized as periodic benefit cost

                2     1     1              

Cash flow hedges:

                                                       

Unrealized losses arising during the period

    (16 )   (6 )   (10 )                        

Reclassification adjustments included in net income

    (11 )   (4 )   (7 )                        

Foreign currency translation adjustments

    (53 )   (21 )   (32 )   (153 )   (59 )   (94 )   32     12     20  

Available for sale securities:

                                                       

Unrealized holding gains (losses) on securities

    (7 )   (3 )   (4 )   (10 )   (4 )   (6 )   6     2     4  

Reclassification adjustment for net gains recognized during period

                            (5 )   (2 )   (3 )
                                       

Other comprehensive income (loss)

  $ (141 ) $ (55 ) $ (86 ) $ (210 ) $ (81 ) $ (129 ) $ 46   $ 17   $ 29  
                                       

90



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Accumulated Other Comprehensive Loss

        The following represents the changes in the components of "Accumulated other comprehensive loss" in the Consolidated Balance Sheets for each of the years presented:

 
 
Defined
Benefit Plans
 
Cross-
Currency
Swaps
 
Foreign
Currency
Items
 
Unrealized
Gains
(Losses) on
Securities
 
Accumulated
Other
Comprehensive
Loss
 
 
  (Dollars in Millions)
 

Balance as of January 1, 2010

  $ (130 ) $   $ 66   $ 8   $ (56 )

Other comprehensive income

    8         20     1     29  
                       

Balance as of December 31, 2010

    (122 )       86     9     (27 )

Other comprehensive loss

    (29 )       (94 )   (6 )   (129 )
                       

Balance as of December 31, 2011

    (151 )       (8 )   3     (156 )

Other comprehensive loss

    (33 )   (17 )   (32 )   (4 )   (86 )
                       

Balance as of December 31, 2012

  $ (184 ) $ (17 ) $ (40 ) $ (1 ) $ (242 )
                       

Note 16: Earnings Per Common Share

        We compute basic earnings per common share, or EPS, by dividing net income by the weighted average number of common shares outstanding for the period.

        Diluted EPS considers the effect of common equivalent shares, which consist entirely of common stock options and unvested restricted stock units issued to employees. During the year ended December 31, 2012, we excluded 1.0 million common stock options from the computation of diluted EPS because the inclusion of the potential common shares would have had an antidilutive effect. We did not exclude any common stock options from the computation of diluted EPS during 2011 or 2010.

Malone Transaction

        From January 1, 2010 to June 16, 2010, we allocated "Net income attributable to DIRECTV" in the Consolidated Statements of Operations to the Class A and Class B common stockholders based on the weighted average shares outstanding for each class through the close of the Malone Transaction on June 16, 2010. At the close of the transaction, we exchanged 21.8 million shares of Class B common stock, which represented all of the issued and outstanding Class B common stock, for 26.5 million shares of Class A common stock. We accounted for this exchange of DIRECTV Class B common stock into DIRECTV Class A common stock pursuant to accounting standards for induced conversions, whereby the $160 million in incremental DIRECTV Class A common stock issued to the former DIRECTV Class B stockholders has been deducted from earnings attributable to DIRECTV Class A stockholders for purposes of calculating earnings per share in the Consolidated Statements of Operations. We included the $160 million in income attributable to Class B common stockholders. This adjustment had the effect of reducing diluted earnings per DIRECTV Class A common share by $0.18 for the year ended December 31, 2010. After the close of the Malone Transaction we allocate all net income attributable to DIRECTV to the Class A stockholders. For the years ended December 31, 2012, 2011 and 2010, there were no dilutive securities outstanding for the Class B common stock. See Note 15 for additional information regarding the Malone Transaction.

91



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

        The reconciliation of the amounts used in the basic and diluted EPS computation was as follows:

 
 
Income
 
Shares
 
Per Share
Amounts
 
 
  (Dollars and Shares in Millions,
Except Per Share Amounts)

 

Year Ended December 31, 2012:

                   

Basic EPS

                   

Net income attributable to DIRECTV common stockholders

  $ 2,949     638   $ 4.62  

Effect of Dilutive Securities

                   

Dilutive effect of stock options and restricted stock units

        6     (0.04 )
               

Diluted EPS

                   

Adjusted net income attributable to DIRECTV common stockholders

  $ 2,949     644   $ 4.58  
               

Year Ended December 31, 2011:

                   

Basic EPS

                   

Net income attributable to DIRECTV common stockholders

  $ 2,609     747   $ 3.49  

Effect of Dilutive Securities

                   

Dilutive effect of stock options and restricted stock units

        5     (0.02 )
               

Diluted EPS

                   

Adjusted net income attributable to DIRECTV common stockholders

  $ 2,609     752   $ 3.47  
               

Year Ended December 31, 2010:

                   

Class A common stock:

                   

Basic EPS

                   

Net income attributable to DIRECTV Class A common stockholders

  $ 2,014     870   $ 2.31  

Effect of Dilutive Securities

                   

Dilutive effect of stock options and restricted stock units

        6     (0.01 )
               

Diluted EPS

                   

Adjusted net income attributable to DIRECTV Class A common stockholders

  $ 2,014     876   $ 2.30  
               

Class B common stock:

                   

Basic and diluted EPS

                   

Net income attributable to DIRECTV Class B common stockholders, including $160 million exchange inducement value for the Malone Transaction

  $ 184     22   $ 8.44  
               

Note 17: Share-Based Compensation

        Under the DIRECTV 2010 Stock Plan, or the DIRECTV Plan, as approved by DIRECTV stockholders on June 3, 2010, shares, rights or options to acquire up to 20 million shares of common stock plus the number of shares that were authorized but not granted under former plans and shares granted under those plans which, after June 3, 2010, are forfeited, expire or are canceled without the delivery of shares of common stock or otherwise result in the return of such shares to us, were authorized for grant through June 2, 2020, subject to the approval of the Compensation Committee of our Board of Directors. Under the DIRECTV Plan, we issue new shares of our common stock when restricted stock units are distributed and when stock options are exercised.

        The following table presents amounts recorded related to share-based compensation:

 
 
For the Years Ended
December 31,
 
 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Share-based compensation expense recognized

  $ 109   $ 103   $ 82  

Tax benefits associated with share-based compensation expense

    41     40     31  

Actual tax benefits realized for the deduction of share-based compensation expense

    60     54     60  

        As of December 31, 2012, there was $107 million of total unrecognized compensation expense related to unvested restricted stock units and stock options that we expect to recognize as follows: $66 million in 2013, $37 million in 2014 and $4 million in 2015.

Restricted Stock Units

        The Compensation Committee has granted restricted stock units under our stock plan to certain of our employees and executives. Annual awards are mostly performance based, generally vest over three years and provide for final payments in shares of our common stock. Final payment can be increased or decreased from the target award amounts based on our performance over a three-year performance period in comparison with pre-established targets. We determine the fair value of restricted stock units based on the closing stock price of our common shares on the date of grant.

92



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

        Changes in the status of outstanding restricted stock units were as follows:

 
 
Stock Units
 
Weighted-Average
Grant-Date
Fair Value
 

Nonvested at January 1, 2012

    7,595,892   $ 31.35  

Granted

    2,847,076     41.72  

Vested and distributed

    (3,122,772 )   21.78  

Forfeited

    (247,450 )   40.38  
             

Nonvested at December 31, 2012

    7,072,746   $ 39.50  
             

Vested and expected to vest at December 31, 2012

    6,819,177   $ 39.26  
             

        The weighted-average grant-date fair value of restricted stock units granted during the year ended December 31, 2011 was $41.14. The weighted-average grant-date fair value of restricted stock units granted during the year ended December 31, 2010 was $30.83.

        The total fair value of restricted stock units vested and distributed was $139 million during the year ended December 31, 2012, $125 million during the year ended December 31, 2011 and $81 million during the year ended December 31, 2010.

Stock Options

        The Compensation Committee has also granted stock options to acquire our common stock under our stock plan to certain of our executives. The exercise price of options granted is equal to the per share closing price of the common stock on the date the options were granted. These nonqualified options generally vest over one to three years, expire ten years from date of grant and are subject to earlier termination under certain conditions.

        Changes in the status of outstanding options were as follows:

 
 
Shares
Under
Option
 
Weighted-
Average
Exercise
Price
 
Weighted-
Average
Remaining
Contractual
Term
 
Aggregate
Intrinsic
Value
 
 
   
   
  (in years)
  (in millions)
 

Outstanding at January 1, 2012

    3,364,510   $ 23.21              

Granted

    995,964     48.18              

Exercised

    (1,260,629 )   30.62              

Forfeited or expired

    (4,000 )   16.23              
                         

Outstanding at December 31, 2012

    3,095,845   $ 28.24     4.6   $ 68  
                         

Vested and expected to vest at December 31, 2012

    3,095,845   $ 28.24     4.6   $ 68  
                         

Exercisable at December 31, 2012

    2,196,293   $ 19.93     2.5   $ 66  
                         

        The total intrinsic value of options exercised was $26 million during the year ended December 31, 2012, $24 million during the year ended December 31, 2011 and $221 million during the year ended December 31, 2010, based on the intrinsic value of individual awards on the date of exercise.

        The following table presents the estimated weighted-average grant-date fair value for the stock options granted during the years ended December 31, 2012 and December 31, 2010 under the DIRECTV Plan using the Black-Scholes valuation model along with the weighted-average assumptions used in the fair value calculations. Expected stock volatility is based primarily on the historical volatility of our common stock. The risk-free rate for periods within the contractual life of

93



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

the option is based on the U.S. Treasury yield curve in effect at the time of grant. The expected option life is based on historical exercise behavior and other factors.

 
 
2012
 
2010
 

Estimated grant-date fair value

  $15.83   $ 12.36  

Expected stock volatility

  29.0 %   26.9 %

Risk-free interest rate

  1.08% - 1.41 %   3.35 %

Expected option life (in years)

  7.0     7.0  

        There were no stock options granted under the DIRECTV Plan during the year ended December 31, 2011.

        As part of the Liberty Transaction on November 19, 2009, we assumed 16.7 million stock options and stock appreciation rights, and issued 1.1 million shares of common stock to holders of restricted stock units. The holders of the majority of the equity instruments assumed as a result of the Liberty Transaction did not become DIRECTV employees or directors. Accordingly, we recognize those equity instruments as a liability that is subject to fair value measurement at each reporting date pursuant to accounting rules for non-employee awards. We include that liability within "Other liabilities and deferred credits" in our Consolidated Balance Sheets. Of the 16.7 million equity instruments assumed, 8.8 million were held by persons other than employees or directors. As of December 31, 2012, 0.4 million non-employee awards remained outstanding with a fair value of approximately $12 million. As of December 31, 2011, there were 0.6 million non-employee awards outstanding with a fair value of approximately $15 million. We recorded net losses of $4 million during the year ended December 31, 2012, $4 million during the year ended December 31, 2011 and $11 million during the year ended December 31, 2010 to "Other, net" in the Consolidated Statements of Operations for gains and losses recognized for exercised options and the adjustment of the liability to fair value.

        The following table presents the estimated weighted-average fair value as of December 31, 2012, 2011 and 2010 for the equity instruments issued to persons other than employees and directors carried as a liability using the Black-Scholes valuation model along with the weighted-average assumptions used in the fair value calculations. Expected stock volatility is based primarily on the historical volatility of our common stock. The risk-free rates for periods within the contractual lives of the options are based on the U.S. Treasury yield curve in effect at the measurement date. The expected option life is based on the contractual life of the awards.

 
 
December 31,
2012
 
December 31,
2011
 
December 31,
2010
 

Estimated fair value

  $34.59   $26.63   $22.52  

Expected stock volatility

  22.8 % 27.5 % 26.5 %

Range of risk-free interest rates

  0.02 - 0.36 % 0.06 - 0.83 % 0.07 - 2.01 %

Range of expected option lives (in years)

  0.2 - 4.4   0.5 - 5.4   0.1 - 6.4  

        The intrinsic value of awards assumed as part of the Liberty Transaction carried as a liability that were exercised was $3 million during the year ended December 31, 2012, $8 million during the year ended December 31, 2011 and $145 million during the year ended December 31, 2010, based on the intrinsic value of individual awards on the date of exercise.

        Beginning in 2009, we implemented a net exercise plan pursuant to which we only issue new shares in connection with employee option exercises equal to the intrinsic value of the exercised award on the exercise date reduced by the sum of (i) the amount of statutory employee withholding taxes and (ii) the option exercise price, divided by the current market price of the our common stock. As a result, we no longer receive cash in connection with the exercise of most stock options, but rather issue significantly fewer shares. We do receive cash for the exercise of certain non-employee stock options. We received cash for the settlement of stock options of $3 million during the year ended December 31, 2012 and $38 million during the year ended December 31, 2010, and did not receive any cash for the settlement of stock options during the year ended December 31, 2011. In addition, the company is required to pay the employee withholding taxes to taxing authorities, the cash payments for which are reported in "Taxes paid in lieu of shares issued for share-based compensation" in the Consolidated Statements of Cash Flows.

94



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Note 18: Other Income and Expenses

        The following table sets forth the components of "Other, net" in our Consolidated Statements of Operations for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Equity in earnings from unconsolidated affiliates

  $ 131   $ 109   $ 90  

Net foreign currency transaction gain (loss)

    (34 )   (50 )   11  

Fair value adjustment loss on non-employee stock awards

    (4 )   (4 )   (11 )

Loss on early extinguishment of debt

    (64 )   (25 )   (16 )

Gain on sale of investments

    122     63     6  

Other

    (11 )   (9 )   (11 )
               

Total other, net

  $ 140   $ 84   $ 69  
               

        See Note 8 regarding equity method investments and net gains and losses recorded on the sale of investments.

Note 19: Related-Party Transactions

        In the ordinary course of our operations, we enter into transactions with related parties as discussed below.

        Related parties include Globo, which provides programming and advertising to Sky Brasil, and companies in which we hold equity method investments, including Sky Mexico and GSN.

        The majority of payments under contractual arrangements with related parties are pursuant to multi-year programming contracts. Payments under these contracts are typically subject to annual rate increases and are based on the number of subscribers receiving the related programming.

Liberty Media, Liberty Global and Discovery Communications

        As discussed above in Note 15, on June 16, 2010, we completed the Malone Transaction, which resulted in the reduction of the Malones' voting interest in DIRECTV from approximately 24% to approximately 3% and Dr. Malone's resignation from our Board of Directors.

        Prior to the completion of the Malone Transaction, Dr. Malone was Chairman of the Board of Directors of DIRECTV and of Liberty Media. Dr. Malone also had an approximate 35% voting interest in Liberty Media, an approximate 31% voting interest in Discovery Communications, Inc., or Discovery Communications, an approximate 40% voting interest in Liberty Global Inc., or Liberty Global, and serves as Chairman of Liberty Global, and certain of Liberty Media's management and directors also serve as directors of Discovery Communications or Liberty Global. As a result of this common ownership and management, transactions with Liberty Media, Discovery Communications and Liberty Global and their subsidiaries or equity method investees were considered to be related party transactions through the completion of the Malone Transaction. Our transactions with Liberty Media, Discovery Communications and Liberty Global consisted primarily of purchases of programming created, owned or distributed by Liberty Media and Discovery Communications and its subsidiaries and investees.

        The following table sets forth sales and purchase transactions with related parties for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Sales:

                   

Liberty Media and affiliates

  $   $   $ 26  

Discovery Communications, Liberty Global and affiliates

            5  

Globo and other

    5     6     13  
               

Total

  $ 5   $ 6   $ 44  
               

Purchases:

                   

Liberty Media and affiliates

  $   $   $ 143  

Discovery Communications, Liberty Global and affiliates

            128  

Globo and other

    874     854     622  
               

Total

  $ 874   $ 854   $ 893  
               

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DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

        The following table sets forth the amount of accounts receivable from and accounts payable to related parties as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Accounts receivable

  $ 26   $ 1  

Accounts payable

    90     96  

        The accounts receivable balance and accounts payable balances as of December 31, 2012 and December 31, 2011 are primarily related to Globo and companies in which we hold equity method investments.

Note 20: Segment Reporting

        Our reportable segments, which are differentiated by their products and services as well as geographic location, are DIRECTV U.S., Sky Brasil and PanAmericana, which are engaged in acquiring, promoting, selling and distributing digital entertainment programming primarily via satellite to residential and commercial subscribers, and the Sports Networks, Eliminations and Other segment, which includes our three regional sports networks that provide programming devoted to local professional sports teams and college sporting events and locally produce their own programming. Sports Networks, Eliminations and Other also includes the corporate office, eliminations and other entities.

        The following table sets forth selected information for the results of operations for each of our reporting segments:

 
 
External
Revenues
 
Intersegment
Revenues
 
Total
Revenues
 
Operating
Profit (Loss)
 
Depreciation
and
Amortization
Expense
 
Operating Profit
(Loss) Before
Depreciation and
Amortization (1)
 
 
  (Dollars in Millions)
 

Year Ended December 31, 2012:

                                     

DIRECTV U.S. 

  $ 23,227   $ 8   $ 23,235   $ 4,153   $ 1,501   $ 5,654  

Sky Brasil

   
3,501
   
   
3,501
   
555
   
533
   
1,088
 

PanAmericana

    2,743         2,743     400     374     774  
                           

DIRECTV Latin America

    6,244         6,244     955     907     1,862  

Sports Networks, Eliminations and Other

   
269
   
(8

)
 
261
   
(23

)
 
29
   
6
 
                           

Total

  $ 29,740   $   $ 29,740   $ 5,085   $ 2,437   $ 7,522  
                           

Year Ended December 31, 2011:

                                     

DIRECTV U.S. 

  $ 21,864   $ 8   $ 21,872   $ 3,702   $ 1,587   $ 5,289  

Sky Brasil

   
3,020
   
   
3,020
   
542
   
449
   
991
 

PanAmericana

    2,076         2,076     374     298     672  
                           

DIRECTV Latin America

    5,096         5,096     916     747     1,663  

Sports Networks, Eliminations and Other

   
266
   
(8

)
 
258
   
11
   
15
   
26
 
                           

Total

  $ 27,226   $   $ 27,226   $ 4,629   $ 2,349   $ 6,978  
                           

Year Ended December 31, 2010:

                                     

DIRECTV U.S. 

  $ 20,261   $ 7   $ 20,268   $ 3,290   $ 1,926   $ 5,216  

Sky Brasil

   
2,013
   
   
2,013
   
383
   
298
   
681
 

PanAmericana

    1,584         1,584     240     243     483  
                           

DIRECTV Latin America

    3,597         3,597     623     541     1,164  

Sports Networks, Eliminations and Other

   
244
   
(7

)
 
237
   
(17

)
 
15
   
(2

)
                           

Total

  $ 24,102   $   $ 24,102   $ 3,896   $ 2,482   $ 6,378  
                           

(1)
Operating profit (loss) before depreciation and amortization, which is a financial measure that is not determined in accordance with GAAP can be calculated by adding amounts under the caption "Depreciation and amortization expense" to "Operating profit (loss)." This measure should be used in conjunction with GAAP

96



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

    financial measures and is not presented as an alternative measure of operating results, as determined in accordance with GAAP. Our management and Board of Directors use operating profit (loss) before depreciation and amortization to evaluate the operating performance of our company and our business segments and to allocate resources and capital to business segments. This metric is also used as a measure of performance for incentive compensation purposes and to measure income generated from operations that could be used to fund capital expenditures, service debt or pay taxes. Depreciation and amortization expense primarily represents an allocation to current expense of the cost of historical capital expenditures and for intangible assets resulting from prior business acquisitions. To compensate for the exclusion of depreciation and amortization expense from operating profit, our management and our Board of Directors separately measure and budget for capital expenditures and business acquisitions.
    We believe this measure is useful to investors, along with GAAP measures (such as revenues, operating profit and net income), to compare our operating performance to other communications, entertainment and media service providers. We believe that investors use current and projected operating profit (loss) before depreciation and amortization and similar measures to estimate our current or prospective enterprise value and make investment decisions. This metric provides investors with a means to compare operating results exclusive of depreciation and amortization. Our management believes this is useful given the significant variation in depreciation and amortization expense that can result from the timing of capital expenditures, the capitalization of intangible assets, potential variations in expected useful lives when compared to other companies and periodic changes to estimated useful lives.

            The following represents a reconciliation of operating profit before depreciation and amortization to reported net income on the Consolidated Statements of Operations:

 
 
Years Ended December 31,
 
 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Operating profit before depreciation and amortization

  $ 7,522   $ 6,978   $ 6,378  

Depreciation and amortization expense

    (2,437 )   (2,349 )   (2,482 )
               

Operating profit

    5,085     4,629     3,896  

Interest income

    59     34     39  

Interest expense

    (842 )   (763 )   (557 )

Liberty transaction and related gain

            67  

Other, net

    140     84     69  
               

Income before income taxes

    4,442     3,984     3,514  

Income tax expense

    (1,465 )   (1,348 )   (1,202 )
               

Net income

    2,977     2,636     2,312  
               

Less: Net income attributable to noncontrolling interest

    (28 )   (27 )   (114 )
               

Net income attributable to DIRECTV

  $ 2,949   $ 2,609   $ 2,198  
               

97



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

            The following table sets forth capital expenditures and segment assets for each of our reporting segments:

 
 
Years Ended and As of December 31,
 
 
 
2012
 
2011
 
2010
 
 
 
Capital
Expenditures
 
Segment
Assets
 
Capital
Expenditures
 
Segment
Assets
 
Capital
Expenditures
 
Segment
Assets
 
 
  (Dollars in Millions)
 

DIRECTV U.S. 

  $ 1,741   $ 12,490   $ 1,736   $ 11,796   $ 1,557   $ 11,400  

Sky Brasil

   
812
   
2,951
   
902
   
2,663
   
468
   
2,566
 

PanAmericana

    786     3,335     526     2,601     389     2,130  
                           

DIRECTV Latin America

    1,598     6,286     1,428     5,264     857     4,696  

Sports Networks, Eliminations and Other

   
10
   
1,779
   
6
   
1,363
   
2
   
1,813
 
                           

Total

  $ 3,349   $ 20,555   $ 3,170   $ 18,423   $ 2,416   $ 17,909  
                           

            The following table sets forth revenues earned from subscribers located in different geographic areas. Property is grouped by its physical location.

 
 
Years Ended and As of December 31,
 
 
 
2012
 
2011
 
2010
 
 
 
Revenues
 
Net Property
& Satellites
 
Revenues
 
Net Property
& Satellites
 
Revenues
 
Net Property
& Satellites
 
 
  (Dollars in Millions)
 

United States

  $ 23,678   $ 5,694   $ 22,310   $ 5,267   $ 20,684   $ 4,987  

Latin America and the Caribbean

                                     

Brazil

    3,501     1,626     3,020     1,423     2,013     1,060  

Other

    2,561     1,075     1,896     748     1,405     632  
                           

Total Latin America and the Caribbean

    6,062     2,701     4,916     2,171     3,418     1,692  
                           

Total

  $ 29,740   $ 8,395   $ 27,226   $ 7,438   $ 24,102   $ 6,679  
                           

    Note 21: Commitments and Contingencies

    Commitments

            At December 31, 2012, minimum future commitments under noncancelable operating leases having lease terms in excess of one year were primarily for real property and aggregated $978 million, payable as follows: $94 million in 2013, $88 million in 2014, $86 million in 2015, $88 million in 2016, $86 million in 2017 and $536 million thereafter. Certain of these leases contain escalation clauses and renewal or purchase options, which we have not considered in the amounts disclosed. Rental expenses under operating leases were $118 million in 2012, $99 million in 2011 and $78 million in 2010.

            At December 31, 2012, our minimum payments under agreements to purchase broadcast programming, regional professional team rights and the purchase of services that we have outsourced to third parties, such as billing services, and satellite telemetry, tracking and control, satellite launch contracts and broadcast center services aggregated $7,079 million, payable as follows: $2,186 million in 2013, $1,947 million in 2014, $1,145 million in 2015, $433 million in 2016, $375 million in 2017 and $993 million thereafter.

    Satellite Commitments

            DIRECTV U.S. has entered into contracts for the construction and launch of two new satellites: D14, which we expect to launch in the first quarter of 2014 and D15, which we expect to launch in the fourth quarter of 2014. D14 and D15 are expected to provide additional HD, replacement, and backup capacity for DIRECTV U.S. Additionally, DIRECTV Latin America has entered into a contract for the lease of two additional satellites for PanAmericana: ISDLA-1, which we expect to launch in the fourth quarter of 2014 and ISDLA-2, which we expect to launch in the fourth quarter of 2015. ISDLA-1 will become the primary satellite for PanAmericana with a substantial increase in channel capacity from the current satellite, and ISDLA-2 is expected to serve as an in-orbit spare for ISDLA-1. As a part of the lease agreement for ISDLA-1 and ISDLA-2, which we expect to account for as a capital lease, we are required to make prepayments prior to the launch of the satellites and commencement of the lease. Prepayments related to this agreement totaled $128 million for the year ended December 31, 2012 and $104 million for the year ended December 31, 2011, and are included as "Cash paid for satellites" in the Consolidated Statements of Cash Flows.

98



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

        Total future cash payments under these agreements aggregate to $1,281 million, payable as follows: $286 million in 2013, $171 million in 2014, $116 million in 2015, $50 million in 2016, $50 million in 2017 and $608 million thereafter.

Contingencies

Redeemable Noncontrolling Interest

        In connection with our acquisition of Sky Brasil in 2006, Globo was granted the right, until January 2014, to require us to purchase all, but not less than all, of its shares in Sky Brasil. Upon exercising this right, the fair value of Sky Brasil shares will be determined by mutual agreement or by an outside valuation expert, and we have the option to elect to pay for the Sky Brasil shares in cash, shares of our common stock or a combination of both. We estimated that Globo's remaining 7% equity interest in Sky Brasil had a fair value of approximately $400 million as of December 31, 2012 and $265 million as of December 31, 2011. Adjustments to the carrying amount of the redeemable noncontrolling interest are recorded to additional paid-in-capital. We determined the fair values using significant unobservable inputs, which are Level 3 inputs under accounting guidance for measuring fair value.

Venezuela Devaluation and Foreign Currency Exchange Controls

        Companies operating in Venezuela are required to obtain Venezuelan government approval to exchange Venezuelan bolivars into U.S. dollars at the official exchange rate. Our ability to pay U.S. dollar denominated obligations and repatriate cash generated in Venezuela in excess of local operating requirements is limited, resulting in an increase in the cash balance at our Venezuelan subsidiary. At such time that exchange controls are eased, accumulated cash balances may ultimately be repatriated at less than their currently reported value. As of December 31, 2012, our Venezuelan subsidiary had Venezuelan bolivar denominated net monetary assets of $446 million, including cash of $563 million, based on the official 4.3 bolivars per U.S. dollar exchange rate at that time.

        In February 2013, the Venezuelan government announced a devaluation of the bolivar from the official exchange rate of 4.3 bolivars per U.S. dollar to an official rate of 6.3 bolivars per U.S. dollar. As a result of the devaluation, we will record a pre-tax charge in "General and administrative expenses" in the Consolidated Statements of Operations of approximately $160 million in the first quarter of 2013, related to the remeasurement of the bolivar denominated net monetary assets of our Venezuelan subsidiary as of the date of the devaluation. This devaluation did not impact our results of operations, financial position or cash flows for the year ended December 31, 2012, but may affect the growth of our Venezuelan business. There will also be ongoing impacts to our results of operations, primarily related to the translation of local financial statements at the new exchange rate. In the event of an additional devaluation of the bolivar, we will recognize a charge to earnings based on the amount of bolivar denominated net monetary assets held at the time of such devaluation.

Litigation

        Litigation is subject to uncertainties and the outcome of individual litigated matters is not predictable with assurance. Various legal actions, claims and proceedings are pending against us arising in the ordinary course of business. We have established loss provisions for matters in which losses are probable and can be reasonably estimated. Some of the matters may involve compensatory, punitive, or treble damage claims, or demands that, if granted, could require us to pay damages or make other expenditures in amounts that could not be estimated at December 31, 2012. After discussion with counsel representing us in those actions, it is the opinion of management that such litigation is not expected to have a material effect on our consolidated financial statements. We expense legal costs as incurred.

        Pegasus Development Corporation and Personalized Media Communications L.L.C.    In December, 2000, Pegasus Development Corporation and Personalized Media Communications L.L.C. filed suit in the United States District Court for the District of Delaware against DIRECTV, Inc., Hughes Electronics Corporation, Thomson Consumer Electronics, Inc., and Philips Electronics North America Corporation. The suit alleged infringement of certain claims of seven United States patents and sought an injunction and a monetary award including damages for infringement, interest, costs, and attorneys' fees. Trial is presently scheduled for November 2013. The suit now involves claims of four of the seven patents

99



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

originally asserted, all of which have expired, and the validity and infringement of which are disputed by DIRECTV.

        Other Intellectual Property Litigation.    We are a defendant in several unrelated lawsuits claiming infringement of various patents relating to various aspects of our businesses. In certain of these cases other industry participants are also defendants, and also in certain of these cases we expect that at least some potential liability would be the responsibility of our equipment vendors pursuant to applicable contractual indemnification provisions. To the extent that the allegations in these lawsuits can be analyzed by us at this stage of their proceedings, we believe the claims are without merit and intend to defend the actions vigorously. We have determined that the likelihood of a material liability in such matters is remote or have made appropriate accruals. The final disposition of these claims is not expected to have a material effect on our consolidated financial position or results of operations. However, if an adverse ruling is made in a lawsuit involving key intellectual property, such ruling could result in a loss that would be material to our consolidated results of operations of any one period. No assurance can be given that any adverse outcome would not be material to our consolidated financial position.

        Early Cancellation Fees.    In 2008, a number of plaintiffs filed putative class action lawsuits in state and federal courts challenging the early cancellation fees we assess our customers when they do not fulfill their programming commitments. Several of these lawsuits are pending, some in California state court purporting to represent statewide classes, and some in federal courts purporting to represent nationwide classes. The lawsuits seek both monetary and injunctive relief. While the theories of liability vary, the lawsuits generally challenge these fees under state consumer protection laws as both unfair and inadequately disclosed to customers. Our motions to compel arbitration have been granted in all of the federal cases, except as to claims seeking injunctive relief under California statutes. The denial of our motion as to those claims is currently on appeal. We believe that our early cancellation fees are adequately disclosed, and represent reasonable estimates of the costs we incur when customers cancel service before fulfilling their programming commitments.

        ECAD.    Sky Brasil, along with other video distributors in Brazil, is disputing charges assessed by Escritorio Central de Arrecadacao, or ECAD, the organization responsible for collecting performance rights fees under Brazilian law. Sky Brasil has been withholding payments to ECAD since 2004, and has accrued amounts we and Sky Brasil believe are adequate to satisfy amounts owed to ECAD. In order to continue its opposition to ECAD's claims, Sky Brasil has provided letters of credit in the amount of approximately $103 million. Sky Brasil's dispute with ECAD is currently pending in the Superior Justice Tribunal, and there are other claims by the Brazilian pay television association, known as ABTA, against ECAD before the Brazilian antitrust board, or CADE, which may affect ECAD or the rights fees it is attempting to collect.

        Waste Disposal Inquiry.    On August 20, 2012, DIRECTV U.S. received from the State of California subpoenas and interrogatories related to our generation, handling, recordkeeping, transportation and disposal of hazardous waste, including universal waste, in the State of California, and the training of employees regarding the same. The investigation is jointly conducted by the Office of the Attorney General and the District Attorney for Alameda County and appears to be part of a broader effort to investigate waste handling and disposal processes of a number of industries. We are diligently reviewing our policies and procedures applicable to all facilities and cooperating with the investigation. As this inquiry is in its early stages, we are currently unable to reasonably estimate the outcome of this matter.

        From time to time, we receive investigative inquiries or subpoenas from state and federal authorities with respect to alleged violations of state and federal statutes. These inquiries may lead to legal proceedings in some cases. DIRECTV U.S. has received a request for information from the Federal Trade Commission, or FTC, on advertising and sales practices similar to those resolved in 2010 with a multistate group of state attorneys general. We are cooperating with the FTC by providing information about our sales and marketing practices and customer complaints.

Income Tax Matters

        We have received tax assessments from certain foreign jurisdictions and have agreed to indemnify previously divested businesses for certain tax assessments relating to periods prior to their respective divestitures. These assessments are in various stages of the administrative process or litigation. While the outcome of these assessments and other tax issues cannot be predicted with certainty, we believe

100



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

that the ultimate outcome will not have a material effect on our consolidated financial position and result of operations.

Satellites

        We may purchase in-orbit and launch insurance to mitigate the potential financial impact of satellite launch and in-orbit failures if the premium costs are considered economic relative to the risk of satellite failure. The insurance generally covers the unamortized book value of covered satellites. We do not insure against lost revenues in the event of a total or partial loss of the capacity of a satellite. We generally rely on in-orbit spare satellites and excess transponder capacity at key orbital slots to mitigate the impact a satellite failure could have on our ability to provide service. At December 31, 2012, the net book value of in-orbit satellites was $1,664 million all of which was uninsured.

Other

        We are contingently liable under standby letters of credit and bonds in the aggregate amount of $167 million at December 31, 2012 primarily related to a judicial deposit in Brazil for the ECAD matter discussed above, and insurance deductibles.

101



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Note 22: Selected Quarterly Data (Unaudited)

        The following table presents unaudited selected quarterly data for the years presented:

 
 
1st
 
2nd
 
3rd
 
4th
 
 
  (Dollars in Millions,
Except Per Share Amounts)

 

2012 Quarters

                         

Revenues

  $ 7,046   $ 7,224   $ 7,416   $ 8,054  

Operating profit

    1,308     1,411     1,068     1,298  

Net income attributable to DIRECTV

    731     711     565     942  

Basic earnings attributable to DIRECTV common stockholders per common share

    1.08     1.09     0.91     1.57  

Diluted earnings attributable to DIRECTV common stockholders per common share

    1.07     1.09     0.90     1.55  

2011 Quarters

                         

Revenues

  $ 6,319   $ 6,600   $ 6,844   $ 7,463  

Operating profit

    1,155     1,230     1,030     1,214  

Net income attributable to DIRECTV

    674     701     516     718  

Basic earnings attributable to DIRECTV common stockholders per common share

    0.85     0.92     0.70     1.02  

Diluted earnings attributable to DIRECTV common stockholders per common share

    0.85     0.91     0.70     1.02  

102



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Note 23: Subsequent Events

2013 Financing Transactions

        On January 10, 2013, DIRECTV U.S. issued, pursuant to a registration statement, $750 million in aggregate principal of 1.750% senior notes due in 2018 with proceeds, net of an original issue discount, of $743 million. We incurred $4 million of debt issuance costs in connection with this transaction.

Venezuela Currency Devaluation

        In February 2013, the Venezuelan government announced a devaluation of the Venezuelan bolivar, which will result in a pre-tax charge in "General and administrative expenses" in the Consolidated Statements of Operations of approximately $160 million in the first quarter of 2013. See Note 21 for additional information regarding the Venezuelan devaluation and foreign currency exchange controls.

Note 24: Condensed Consolidating Financial Statements

        As discussed above in Note 10, on November 14, 2011, DIRECTV provided a guarantee of all the outstanding senior notes of DIRECTV Holdings LLC and DIRECTV Financing Co., Inc., or the Co-issuers.

        The following condensed consolidating financial statements of DIRECTV and subsidiaries have been prepared pursuant to rules regarding the preparation of consolidating financial statements of Regulation S-X. For the periods prior to November 14, 2011, the condensed consolidating financial statements have been prepared as if the guarantee had been in place during that period.

        These condensed consolidating financial statements present the condensed consolidating statements of operations, condensed consolidating statements of comprehensive income and condensed consolidating statements of cash flows for the years ended December 31, 2012, 2011 and 2010, and the condensed consolidating balance sheets as of December 31, 2012 and December 31, 2011.

        The condensed consolidating financial statements are comprised of DIRECTV, or the Parent Guarantor, its indirect wholly owned subsidiaries, DIRECTV Holdings, DIRECTV Financing and each of DIRECTV Holdings' material subsidiaries (other than DIRECTV Financing), or the Guarantor Subsidiaries, as well as other subsidiaries who are not guarantors of the senior notes, or the Non-Guarantor Subsidiaries, and the eliminations necessary to present DIRECTV's financial statements on a consolidated basis. The Non-Guarantor Subsidiaries consist primarily of DIRECTV's direct-to-home digital television services throughout Latin America which are held by DIRECTV Latin America Holdings, Inc. and its subsidiaries and DIRECTV Sports Networks LLC and its subsidiaries which are comprised primarily of three regional sports networks.

        The accompanying condensed consolidating financial statements are presented based on the equity method of accounting for all periods presented. Under this method, investments in subsidiaries are recorded at cost and adjusted for the subsidiaries' cumulative results of operations, capital contributions and distributions, and other changes in equity. Elimination entries include consolidating and eliminating entries for investments in subsidiaries, intercompany activity and balances, and income taxes.

103



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Condensed Consolidating Statement of Operations

For the Year Ended December 31, 2012

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Revenues

  $   $ 59   $ 23,235   $ 6,583   $ (137 ) $ 29,740  

Operating costs and expenses

                                     

Costs of revenues, exclusive of depreciation and amortization expense

                                     

Broadcast programming and other

            10,743     2,355     (70 )   13,028  

Subscriber service expenses

            1,464     673         2,137  

Broadcast operations expenses

            306     116     (8 )   414  

Selling, general and administrative expenses, exclusive of depreciation and amortization expense

                                     

Subscriber acquisition costs

            2,673     724         3,397  

Upgrade and retention costs

            1,253     174         1,427  

General and administrative expenses

    42     1     1,201     630     (59 )   1,815  

Depreciation and amortization expense

            1,501     936         2,437  
                           

Total operating costs and expenses

    42     1     19,141     5,608     (137 )   24,655  
                           

Operating profit (loss)

    (42 )   58     4,094     975         5,085  

Equity in income of consolidated subsidiaries

    2,980     2,819             (5,799 )    

Interest income

    2     1         68     (12 )   59  

Interest expense

    (2 )   (773 )   (3 )   (76 )   12     (842 )

Other, net

    (4 )   (65 )   33     176         140  
                           

Income before income tax

    2,934     2,040     4,124     1,143     (5,799 )   4,442  

Income tax benefit (expense)

    15     246     (1,305 )   (421 )       (1,465 )
                           

Net income

    2,949     2,286     2,819     722     (5,799 )   2,977  

Less: Net income attributable to noncontrolling interest

                (28 )       (28 )
                           

Net income attributable to DIRECTV

  $ 2,949   $ 2,286   $ 2,819   $ 694   $ (5,799 ) $ 2,949  
                           

104



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)


Condensed Consolidating Statement of Operations

For the Year Ended December 31, 2011

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Revenues

  $   $ 682   $ 21,872   $ 5,422   $ (750 ) $ 27,226  

Operating costs and expenses

                                     

Costs of revenues, exclusive of depreciation and amortization expense

                                     

Broadcast programming and other

            9,799     1,916     (60 )   11,655  

Subscriber service expenses

            1,435     476         1,911  

Broadcast operations expenses

            300     96     (7 )   389  

Selling, general and administrative expenses, exclusive of depreciation and amortization expense

                                     

Subscriber acquisition costs

            2,794     596         3,390  

Upgrade and retention costs

            1,209     118         1,327  

General and administrative expenses

    11         1,729     519     (683 )   1,576  

Depreciation and amortization expense

            1,587     762         2,349  
                           

Total operating costs and expenses

    11         18,853     4,483     (750 )   22,597  
                           

Operating profit (loss)

    (11 )   682     3,019     939         4,629  

Equity in income of consolidated subsidiaries

    2,622     1,947             (4,569 )    

Interest income

            1     44     (11 )   34  

Interest expense

        (692 )   (4 )   (78 )   11     (763 )

Other, net

    (4 )   (25 )   60     53         84  
                           

Income before income taxes

    2,607     1,912     3,076     958     (4,569 )   3,984  

Income tax benefit (expense)

    2     13     (1,129 )   (234 )       (1,348 )
                           

Net income

    2,609     1,925     1,947     724     (4,569 )   2,636  

Less: Net income attributable to noncontrolling interest

                (27 )       (27 )
                           

Net income attributable to DIRECTV

  $ 2,609   $ 1,925   $ 1,947   $ 697   $ (4,569 ) $ 2,609  
                           

105



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)


Condensed Consolidating Statement of Operations

For the Year Ended December 31, 2010

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Revenues

  $   $ 463   $ 20,268   $ 3,895   $ (524 ) $ 24,102  

Operating costs and expenses

                                     

Costs of revenues, exclusive of depreciation and amortization expense

                                     

Broadcast programming and other

            8,699     1,428     (53 )   10,074  

Subscriber service expenses

            1,340     341         1,681  

Broadcast operations expenses

            273     84     (7 )   350  

Selling, general and administrative expenses, exclusive of depreciation and amortization expense

                                     

Subscriber acquisition costs

            2,631     374         3,005  

Upgrade and retention costs

            1,106     63         1,169  

General and administrative expenses

    24         1,466     419     (464 )   1,445  

Depreciation and amortization expense

            1,926     556         2,482  
                           

Total operating costs and expenses

    24         17,441     3,265     (524 )   20,206  
                           

Operating profit (loss)

    (24 )   463     2,827     630         3,896  

Equity in income of consolidated subsidiaries

    2,219     1,835             (4,054 )    

Interest income

    1     1     4     44     (11 )   39  

Interest expense

        (480 )   (8 )   (80 )   11     (557 )

Liberty transaction and related charges

                67         67  

Other, net

    (10 )   (25 )   20     84         69  
                           

Income before income taxes

    2,186     1,794     2,843     745     (4,054 )   3,514  

Income tax benefit (expense)

    12     14     (1,008 )   (220 )       (1,202 )
                           

Net income

    2,198     1,808     1,835     525     (4,054 )   2,312  

Less: Net income attributable to noncontrolling interest

                (114 )       (114 )
                           

Net income attributable to DIRECTV

  $ 2,198   $ 1,808   $ 1,835   $ 411   $ (4,054 ) $ 2,198  
                           

106



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Condensed Consolidating Statement of Comprehensive Income

For the Year Ended December 31, 2012

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Net income

  $ 2,949   $ 2,286   $ 2,819   $ 722   $ (5,799 ) $ 2,977  

Other comprehensive income (loss), net of taxes:

                                     

Defined benefit plans:

                                     

Loss related to changes in plan experience and actuarial assumptions arising during the period

    (45 )                           (45 )

Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost

   
12
   
   
   
   
   
12
 

Cash flow hedges:

                                     

Unrealized losses arising during the period

        (10 )               (10 )

Reclassification adjustments included in net income

        (7 )               (7 )

Foreign currency translation adjustments

                (32 )       (32 )

Unrealized holding losses on securities

                (4 )       (4 )
                           

Other comprehensive loss

    (33 )   (17 )       (36 )       (86 )
                           

Comprehensive income

    2,916     2,269     2,819     686     (5,799 )   2,891  

Less: Comprehensive income attributable to noncontrolling interest

                (13 )       (13 )
                           

Comprehensive income attributable to DIRECTV

  $ 2,916   $ 2,269   $ 2,819   $ 673   $ (5,799 ) $ 2,878  
                           

107



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)


Condensed Consolidating Statement of Comprehensive Income

For the Year Ended December 31, 2011

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Net income

  $ 2,609   $ 1,925   $ 1,947   $ 724   $ (4,569 ) $ 2,636  

Other comprehensive income (loss), net of taxes:

                                     

Defined benefit plans:

                                     

Loss related to changes in plan experience and actuarial assumptions arising during the period

    (39 )                           (39 )

Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost

   
9
   
   
   
   
   
9
 

Amortization of amounts resulting from changes in plan provisions recognized as periodic benefit cost

    1                     1  

Foreign currency translation adjustments

                (94 )       (94 )

Unrealized holding losses on securities

                (6 )       (6 )
                           

Other comprehensive loss

    (29 )           (100 )       (129 )
                           

Comprehensive income

    2,580     1,925     1,947     624     (4,569 )   2,507  

Less: Comprehensive income attributable to noncontrolling interest

                (17 )       (17 )
                           

Comprehensive income attributable to DIRECTV

  $ 2,580   $ 1,925   $ 1,947   $ 607   $ (4,569 ) $ 2,490  
                           

108



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)


Condensed Consolidating Statement of Comprehensive Income

For the Year Ended December 31, 2010

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Net income

  $ 2,198   $ 1,808   $ 1,835   $ 525   $ (4,054 ) $ 2,312  

Other comprehensive income (loss), net of taxes:

                                     

Defined benefit plans:

                                     

Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost

   
8
   
   
   
   
   
8
 

Foreign currency translation adjustments

                20         20  

Available for sale securities:

                                   

Unrealized gains on securities

                4         4  

Reclassification adjustment for net gains recognized during period

                    (3 )         (3 )
                           

Other comprehensive income

    8             21         29  
                           

Comprehensive income

    2,206     1,808     1,835     546     (4,054 )   2,341  

Less: Comprehensive income attributable to noncontrolling interest

                (121 )       (121 )
                           

Comprehensive income attributable to DIRECTV

  $ 2,206   $ 1,808   $ 1,835   $ 425   $ (4,054 ) $ 2,220  
                           

109



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Condensed Consolidating Balance Sheet

As of December 31, 2012

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

ASSETS

                                     

Total current assets

  $ 883   $ 884   $ 2,788   $ 2,039   $ (1,040 ) $ 5,554  

Satellites, net

            1,795     562         2,357  

Property and equipment, net

            3,290     2,748         6,038  

Goodwill

        1,828     1,349     886         4,063  

Intangible assets, net

            453     379         832  

Intercompany receivables

    4,382     6,152     16,355     3,703     (30,592 )    

Investment in subsidiaries

    (8,687 )   15,001         (10,915 )   4,601      

Other assets

    180     91     241     1,294     (95 )   1,711  
                           

Total assets

  $ (3,242 ) $ 23,956   $ 26,271   $ 696   $ (27,126 ) $ 20,555  
                           

LIABILITIES AND STOCKHOLDERS' EQUITY (DEFICIT)

                                     

Total current liabilities

  $ 384   $ 646   $ 3,526   $ 2,025   $ (1,040 ) $ 5,541  

Long-term debt

        17,170                 17,170  

Deferred income taxes

            1,397     361     (86 )   1,672  

Intercompany liabilities

    1,401     16,355     6,152     6,684     (30,592 )    

Other liabilities and deferred credits

    404     131     195     482     (9 )   1,203  

Redeemable noncontrolling interest

                400         400  

Stockholders' equity (deficit)

                                     

Capital stock and additional paid-in capital

    4,021     12     4,802     (6,632 )   1,818     4,021  

Retained earnings (accumulated deficit)

    (9,210 )   (10,341 )   10,199     (2,560 )   2,702     (9,210 )

Accumulated other comprehensive loss

    (242 )   (17 )       (64 )   81     (242 )
                           

Total stockholders' equity (deficit)

    (5,431 )   (10,346 )   15,001     (9,256 )   4,601     (5,431 )
                           

Total liabilities and stockholders' equity (deficit)

  $ (3,242 ) $ 23,956   $ 26,271   $ 696   $ (27,126 ) $ 20,555  
                           

110



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)


Condensed Consolidating Balance Sheet

As of December 31, 2011

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

ASSETS

                                     

Total current assets

  $ 412   $ 533   $ 2,514   $ 1,397   $ (615 ) $ 4,241  

Satellites, net

            1,724     491         2,215  

Property and equipment, net

            3,084     2,139         5,223  

Goodwill

        1,828     1,349     920         4,097  

Intangible assets, net

            461     448         909  

Intercompany receivables

    3,746     4,011     11,582     3,442     (22,781 )    

Investment in subsidiaries

    (5,510 )   12,057         (7,607 )   1,060      

Other assets

    74     64     256     1,425     (81 )   1,738  
                           

Total assets

  $ (1,278 ) $ 18,493   $ 20,970   $ 2,655   $ (22,417 ) $ 18,423  
                           

LIABILITIES AND STOCKHOLDERS' EQUITY (DEFICIT)

                                     

Total current liabilities

  $ 383   $ 204   $ 3,422   $ 1,349   $ (615 ) $ 4,743  

Long-term debt

        13,464                 13,464  

Deferred income taxes

            1,321     531     (81 )   1,771  

Intercompany liabilities

    895     11,582     4,011     6,293     (22,781 )    

Other liabilities and deferred credits

    551     82     159     495         1,287  

Redeemable noncontrolling interest

                265         265  

Stockholders' equity (deficit)

                                     

Capital stock and additional paid-in capital

    4,799     11     4,684     (561 )   (4,134 )   4,799  

Retained earnings (accumulated deficit)

    (7,750 )   (6,850 )   7,373     (5,703 )   5,180     (7,750 )

Accumulated other comprehensive loss

    (156 )           (14 )   14     (156 )
                           

Total stockholders' equity (deficit)

    (3,107 )   (6,839 )   12,057     (6,278 )   1,060     (3,107 )
                           

Total liabilities and stockholders' equity (deficit)

  $ (1,278 ) $ 18,493   $ 20,970   $ 2,655   $ (22,417 ) $ 18,423  
                           

111



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)

Condensed Consolidating Statement of Cash Flows

For the Year Ended December 31, 2012

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Cash flows from operating activities

                                     

Net cash provided by operating activities

  $ 1,728   $ 2,388   $ 1,766   $ 1,877   $ (2,125 ) $ 5,634  
                           

Cash flows from investing activities

                                     

Cash paid for property and equipment

            (1,488 )   (1,472 )       (2,960 )

Cash paid for satellites

            (253 )   (136 )       (389 )

Investment in companies, net of cash acquired

            (7 )   (9 )       (16 )

Proceeds from sale of investments

            24             24  

Return of capital from subsidiary

    3,775                 (3,775 )    

Other, net

                (22 )       (22 )
                           

Net cash provided by (used in) investing activities

    3,775         (1,724 )   (1,639 )   (3,775 )   (3,363 )
                           

Cash flows from financing activities

                                     

Issuance of commercial paper (maturity 90 days or less), net

        156                 156  

Proceeds from short-term borrowings

        202                 202  

Proceeds from borrowings under revolving credit facility

        400                 400  

Repayment of borrowings under revolving credit facility

        (400 )               (400 )

Proceeds from issuance of long-term debt

        5,190                 5,190  

Debt issuance costs

        (36 )               (36 )

Repayment of long-term debt

        (1,500 )               (1,500 )

Repayment of other long-term obligations

            (21 )   (30 )       (51 )

Common shares repurchased and retired

    (5,175 )                   (5,175 )

Stock options exercised

    3                     3  

Taxes paid in lieu of shares issued for share-based compensation

            (52 )   (9 )       (61 )

Excess tax benefit from share-based compensation

            25     5         30  

Intercompany payments (funding)

    (52 )       13     39          

Cash dividend to Parent

        (5,900 )           5,900      
                           

Net cash provided by (used in) financing activities

    (5,224 )   (1,888 )   (35 )   5     5,900     (1,242 )
                           

Net increase in cash and cash equivalents

    279     500     7     243         1,029  

Cash and cash equivalents at beginning of the period

    129     228     4     512         873  
                           

Cash and cash equivalents at the end of the period

  $ 408   $ 728   $ 11   $ 755   $   $ 1,902  
                           

112



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)


Condensed Consolidating Statement of Cash Flows

For the Year Ended December 31, 2011

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Cash flows from operating activities

                                     

Net cash provided by operating activities

  $ 1,831   $ 1,835   $ 1,745   $ 1,537   $ (1,763 ) $ 5,185  
                           

Cash flows from investing activities

                                     

Cash paid for property and equipment

            (1,595 )   (1,329 )       (2,924 )

Cash paid for satellites

    (1 )       (141 )   (104 )       (246 )

Investment in companies, net of cash acquired

            (11 )           (11 )

Proceeds from sale of investments

            55     61         116  

Return of capital from subsidiary

    3,487                 (3,487 )    

Other, net

            1     42         43  
                           

Net cash provided by (used in) investing activities

    3,486         (1,691 )   (1,330 )   (3,487 )   (3,022 )
                           

Cash flows from financing activities

                                     

Cash proceeds from debt issuance

        3,990                 3,990  

Debt issuance costs

        (30 )               (30 )

Repayment of long-term debt

        (1,000 )               (1,000 )

Repayment of short-term borrowings

                (39 )       (39 )

Repayment of other long-term obligations

            (66 )   (118 )       (184 )

Common shares repurchased and retired

    (5,496 )                   (5,496 )

Taxes paid in lieu of shares issued for share-based compensation

    (5 )       (29 )   (24 )       (58 )

Excess tax benefit from share-based compensation

            21     4         25  

Intercompany payments (funding)

    (134 )       20     114          

Cash dividend to Parent

        (5,250 )           5,250      
                           

Net cash used in financing activities

    (5,635 )   (2,290 )   (54 )   (63 )   5,250     (2,792 )
                           

Net increase (decrease) in cash and cash equivalents

    (318 )   (455 )       144         (629 )

Cash and cash equivalents at beginning of the period

    447     683     4     368         1,502  
                           

Cash and cash equivalents at the end of the period

  $ 129   $ 228   $ 4   $ 512   $   $ 873  
                           

113



DIRECTV

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS—(continued)


Condensed Consolidating Statement of Cash Flows

For the Year Ended December 31, 2010

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Cash flows from operating activities

                                     

Net cash provided by (used in) operating activities

  $ 3,952   $ 2,263   $ 1,678   $ (607 ) $ (2,080 ) $ 5,206  
                           

Cash flows from investing activities

                                     

Cash paid for property and equipment

            (1,444 )   (859 )       (2,303 )

Cash paid for satellites

            (113 )           (113 )

Investment in companies, net of cash acquired

            (1 )   (616 )       (617 )

Proceeds from sale of investments

                9         9  

Return of capital from subsidiary

    4,820                 (4,820 )    

Other, net

            3     (78 )       (75 )
                           

Net cash provided by (used in) investing activities

    4,820         (1,555 )   (1,544 )   (4,820 )   (3,099 )
                           

Cash flows from financing activities

                                     

Cash proceeds from debt issuance

        5,978                 5,978  

Debt issuance costs

        (44 )               (44 )

Repayment of long-term debt

        (2,323 )               (2,323 )

Proceeds from short-term borrowings

                38         38  

Repayment of collar loan and equity collars

                (1,537 )       (1,537 )

Repayment of other long-term obligations

            (99 )   (28 )       (127 )

Common shares repurchased and retired

    (5,111 )                   (5,111 )

Stock options exercised

    38                     38  

Taxes paid in lieu of shares issued for share-based compensation

    (58 )       (38 )   (22 )       (118 )

Excess tax benefit from share-based compensation

            9     2         11  

Dividends paid to redeemable noncontrolling interest

                (15 )       (15 )

Intercompany payments (funding)

    (3,751 )       2     3,749          

Cash dividend to Parent

        (6,900 )           6,900      
                           

Net cash provided by (used in) financing activities

    (8,882 )   (3,289 )   (126 )   2,187     6,900     (3,210 )
                           

Net increase (decrease) in cash and cash equivalents

    (110 )   (1,026 )   (3 )   36         (1,103 )

Cash and cash equivalents at beginning of the period

    557     1,709     7     332         2,605  
                           

Cash and cash equivalents at the end of the period

  $ 447   $ 683   $ 4   $ 368   $   $ 1,502  
                           

114



DIRECTV

ITEM 9.    CHANGES IN AND DISAGREEMENTS WITH ACCOUNTANTS ON ACCOUNTING AND FINANCIAL DISCLOSURE

        None.

ITEM 9A.    CONTROLS AND PROCEDURES

Disclosure Controls and Procedures

        We carried out an evaluation as of the end of the year covered by this Annual Report on Form 10-K under the supervision and with the participation of management, including our principal executive officers and financial officers, of the effectiveness of our disclosure controls and procedures (as defined in Rules 13a-15(e) and 15d-15(e) under the Securities Exchange Act of 1934, as amended, or the Exchange Act). Based on the evaluation, our principal executive officers and our financial officers concluded that our disclosure controls and procedures were effective as of December 31, 2012.

        There has been no change in our internal control over financial reporting (as defined in Rules 13a-15(f) and 15d-15(f) under the Exchange Act) that occurred during our fiscal quarter ended December 31, 2012, that has materially affected, or is reasonably likely to materially affect, our internal control over financial reporting.

Internal Control Over Financial Reporting

    Management's Report on Internal Control Over Financial Reporting

        Our management is responsible for establishing and maintaining adequate internal control over financial reporting as defined in Rule 13a-15(f) or 15d-15(f) promulgated under the Securities Exchange Act of 1934. Those rules define internal control over financial reporting as a process designed to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with accounting principles generally accepted in the United States of America, or GAAP, and includes those policies and procedures that:

    pertain to the maintenance of records that in reasonable detail accurately and fairly reflect the transactions and dispositions of the assets of the company;

    provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with GAAP, and that receipts and expenditures of the company are being made only in accordance with authorizations of management and directors of the company; and

    provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use or disposition of the company's assets that could have a material effect on the financial statements.

        Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Projections of any evaluation of effectiveness to future periods are subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.

        Our management assessed the effectiveness of our internal control over financial reporting as of December 31, 2012. In making this assessment, our management used the criteria established in Internal Control-Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission. Based on their assessment and those criteria, management believes that, as of December 31, 2012, our internal control over financial reporting is effective.

115



DIRECTV

        Our independent registered public accounting firm has issued an audit report on internal control over financial reporting, which appears below.

    REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

    To the Board of Directors and Stockholders of DIRECTV
    El Segundo, California

        We have audited the internal control over financial reporting of DIRECTV and subsidiaries (the "Company") as of December 31, 2012, based on criteria established in Internal Control—Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission. The Company's management is responsible for maintaining effective internal control over financial reporting and for its assessment of the effectiveness of internal control over financial reporting, included in the accompanying Management's Report on Internal Control over Financial Reporting. Our responsibility is to express an opinion on the Company's internal control over financial reporting based on our audit.

        We conducted our audit in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether effective internal control over financial reporting was maintained in all material respects. Our audit included obtaining an understanding of internal control over financial reporting, assessing the risk that a material weakness exists, testing and evaluating the design and operating effectiveness of internal control based on the assessed risk, and performing such other procedures as we considered necessary in the circumstances. We believe that our audit provides a reasonable basis for our opinion.

        A company's internal control over financial reporting is a process designed by, or under the supervision of, the company's principal executive and principal financial officers, or persons performing similar functions, and effected by the company's board of directors, management, and other personnel to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles. A company's internal control over financial reporting includes those policies and procedures that (1) pertain to the maintenance of records that, in reasonable detail, accurately and fairly reflect the transactions and dispositions of the assets of the company; (2) provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with generally accepted accounting principles, and that receipts and expenditures of the company are being made only in accordance with authorizations of management and directors of the company; and (3) provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use, or disposition of the company's assets that could have a material effect on the financial statements.

        Because of the inherent limitations of internal control over financial reporting, including the possibility of collusion or improper management override of controls, material misstatements due to error or fraud may not be prevented or detected on a timely basis. Also, projections of any evaluation of the effectiveness of the internal control over financial reporting to future periods are subject to the risk that the controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.

        In our opinion, the Company maintained, in all material respects, effective internal control over financial reporting as of December 31, 2012, based on the criteria established in Internal Control—Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission.

        We have also audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States), the consolidated financial statements and financial statement schedule as of and for the year ended December 31, 2012 of the Company and our report dated February 20, 2013 expressed an unqualified opinion on those financial statements and financial statement schedule.

/s/ DELOITTE & TOUCHE LLP          

Los Angeles, California
February 20, 2013

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ITEM 9B.    OTHER INFORMATION

    None.


PART III

ITEMS 10, 11, 12, 13 and 14

        We hereby incorporate by reference information required by Part III (Items 10, 11, 12, 13 and 14) of this Annual Report from DIRECTV's definitive Proxy Statement for its 2012 Annual Meeting of Stockholders, which will be filed with the Securities and Exchange Commission, pursuant to Regulation 14A, not later than March 22, 2013.


PART IV

ITEM 15.    Exhibits and Financial Statement Schedules

 
   
   
 
Page
Number

(a)

  1.  

All Consolidated Financial Statements

  See Part II

  2.  

Financial Statement Schedule II-Valuation and Qualifying Accounts for the Years Ended December 31, 2012, 2011 and 2010

  67

  3.  

Exhibits

   

Exhibit
Number
 
Exhibit Name

*3.1

 

Third Amended and Restated Certificate of Incorporation of DIRECTV (incorporated by reference to Exhibit 3.1 to the Form 8-K of DIRECTV filed August 27, 2012 (SEC File No. 1-34554))


*3.2


 


DIRECTV Amended and Restated Bylaws (incorporated by reference to Exhibit 3.2 to the Form 8-K of DIRECTV filed August 27, 2012 (SEC File No. 1-34554))


*4.1


 


Specimen form of certificate representing Common Stock of DIRECTV (incorporated by reference to Exhibit 4.1 to the Form 8-K of DIRECTV filed August 27, 2012 (SEC File No. 1-34554))


*4.2


 


Indenture dated as of September 22, 2009 by and among DIRECTV Holdings LLC, DIRECTV Financing Co, Inc., the Guarantors signatory thereto and The Bank of New York Mellon Trust Company, N.A., as trustee (incorporated by reference to Exhibit 10.1 of the Form 8-K of DIRECTV Holdings, LLC filed on September 25, 2009 (SEC File No. 333-106529))


*4.3


 


Form of 43/4% Senior Notes due 2014 (included in Exhibit 4.2)


*4.4


 


Form of 57/8% Senior Notes due 2019 (included in Exhibit 4.2)

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Exhibit
Number
 
Exhibit Name

*4.5

 

Indenture dated as of March 11, 2010 by and among DIRECTV Holdings LLC, DIRECTV Financing Co., Inc., the Guarantors signatory thereto and The Bank of New York Mellon Trust Company, N.A., as trustee (incorporated by reference to Exhibit 10.1 of the Form 8-K of DIRECTV Holdings LLC filed on March 15, 2010 (SEC File No. 333-106529))


*4.6


 


Form of 3.550% Senior Notes due 2015 (included in Exhibit 4.5)


*4.7


 


Form of 5.200% Senior Notes due 2020 (included in Exhibit 4.5)


*4.8


 


Form of 6.35% Senior Notes due 2040 (included in Exhibit 4.5)


*4.9


 


Indenture dated as of August 17, 2010 by and among DIRECTV Holdings LLC, DIRECTV Financing Co., Inc., the Guarantors signatory thereto and The Bank of New York Mellon Trust Company, N.A., as Trustee (incorporated by reference to Exhibit 4.1 of the Form 8-K of DIRECTV Holdings LLC filed on August 23, 2010 (SEC File No. 333-106529))


*4.10


 


First Supplemental Indenture, dated as of August 17, 2010, by and among DIRECTV Holdings LLC, DIRECTV Financing Co., Inc., the Guarantors signatory thereto and The Bank of New York Mellon Trust Company, N.A., as Trustee (incorporated by reference to Exhibit 4.2 of the Form 8-K of DIRECTV Holdings LLC filed on August 23, 2010 (SEC File No. 333-106529))


*4.11


 


Form of 3.125% Senior Notes due 2016 (included in Exhibit 4.10)


*4.12


 


Form of 4.600% Senior Notes due 2021 (included in Exhibit 4.10)


*4.13


 


Form of 6.000% Senior Notes due 2040 (included in Exhibit 4.10)


*4.14


 


Second Supplemental Indenture, dated as of March 10, 2011, by and among DIRECTV Holdings LLC, DIRECTV Financing Co., Inc., the Guarantors signatory thereto and The Bank of New York Mellon Trust Company, N.A., as Trustee (incorporated by reference to Exhibit 4.1 of the Form 8-K of DIRECTV Holdings LLC filed on March 10, 2011(SEC File No. 333-106529))


*4.15


 


Form of 3.500% Notes due 2016 (included in Exhibit 4.14)


*4.16


 


Form of 5.000% Notes due 2021 (included in Exhibit 4.14)


*4.17


 


Form of 6.375% Notes due 2041 (included in Exhibit 4.14)


*4.18


 


Indenture, dated as of March 8, 2012, by and among DIRECTV Holdings LLC, DIRECTV Financing Co., Inc., the Guarantors signatory thereto and The Bank of New York Mellon Trust Company, N.A., as trustee (incorporated by reference to Exhibit 4.1 of the Form 8-K of DIRECTV filed on March 14, 2012 (SEC File No. 1-34554))


*4.19


 


Form of 2.400% Notes due 2017 (included in Exhibit 4.18)


*4.20


 


Form of 3.800% Notes due 2021 (included in Exhibit 4.18)


*4.21


 


Form of 5.150% Notes due 2042 (included in Exhibit 4.18)

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Exhibit
Number
 
Exhibit Name

*4.22

 

Indenture dated as of September 14, 2012 by and among DIRECTV Holdings LLC, DIRECTV Financing Co., Inc., the Guarantors signatory thereto and The Bank Of New York Mellon Trust Company, N.A., as Trustee (incorporated by reference to Exhibit 4.1 to the Form 8-K of DIRECTV filed September 14, 2012 (SEC File No. 1-34554))


*4.23


 


First Supplemental Indenture dated as of September 14, 2012 by and among DIRECTV Holdings LLC, DIRECTV Financing Co., Inc., the Guarantors signatory thereto and The Bank Of New York Mellon Trust Company, N.A., as Trustee (incorporated by reference to Exhibit 4.2 to the Form 8-K of DIRECTV filed September 14, 2012 (SEC File No. 1-34554))


*4.24


 


Second Supplemental Indenture, dated as of January 15, 2013, by and among DIRECTV Holdings LLC, DIRECTV Financing Co., Inc., the Guarantors signatory thereto and the Bank of New York Mellon Trust Company, N.A., as Trustee (incorporated by reference to Exhibit 4.1 to the Form 8-K of DIRECTV filed January 15, 2013 (SEC File No. 1-34554))


*4.25


 


Form of 1.750% Notes due 2018 (included in Exhibit 4.24)


*10.1


 


Amended and Restated Agreement for the Allocation of United States Income Taxes, dated as of April 9, 2003, by and between General Motors Corporation and Hughes Electronics Corporation (incorporated by reference to Exhibit 99.3 to the Form S-4 of Hughes Electronics Corporation filed June 5, 2003 (SEC File No. 1-31945))


*10.2


 


DTH Agreement, dated as of October 8, 2004, by and among Grupo Televisa, S.A., The News Corporation Limited, Innova, S. de R.L. de C.V., The DIRECTV Group, Inc. and DIRECTV Latin America, LLC (incorporated by reference to Exhibit 10.8 to the Form 8-K of The DIRECTV Group, Inc. filed October 15, 2004 (SEC File No. 1-31945))


*10.3


 


3.5 Year Credit Agreement dated as of September 28, 2012, by and among DIRECTV Holdings LLC, DIRECTV and certain of DIRECTV Holdings LLC's subsidiaries as Guarantors, and Citibank, N.A., as Administrative Agent, the lenders party to the 3.5 Year Credit Agreement, Barclays Bank PLC, as Syndication Agent, Credit Suisse Securities (USA) LLC, J.P. Morgan Securities LLC, Bank of America, N.A., The Royal Bank of Scotland PLC and UBS Securities LLC, as Co-Documentation Agents, and Citigroup Global Markets Inc., Barclays Bank PLC, Credit Suisse Securities (USA) LLC, J.P. Morgan Securities LLC, Merrill Lynch, Pierce, Fenner & Smith Incorporated, RBS Securities Inc. and UBS Securities LLC as Joint Lead Arrangers and Joint Bookrunners (incorporated by reference to Exhibit 10.1 to the Form 8-K of DIRECTV filed October 4, 2012 (SEC File No. 1-34554))


*10.4


 


5 Year Credit Agreement dated as of September 28, 2012, by and among Borrower and DIRECTV and certain of Borrower's subsidiaries as Guarantors, and Citibank, N.A., as Administrative Agent, the lenders party to the 5 Year Credit Agreement, Barclays Bank PLC, as Syndication Agent, Credit Suisse Securities (USA) LLC, J.P. Morgan Securities LLC, Bank of America, N.A., The Royal Bank of Scotland PLC and UBS Securities LLC, as Co-Documentation Agents, and Citigroup Global Markets Inc., Barclays Bank PLC, Credit Suisse Securities (USA) LLC, J.P. Morgan Securities LLC, Merrill Lynch, Pierce, Fenner & Smith Incorporated, RBS Securities Inc. and UBS Securities LLC as Joint Lead Arrangers and Joint Bookrunners (incorporated by reference to Exhibit 10.2 to the Form 8-K of DIRECTV filed October 4, 2012 (SEC File No. 1-34554))


*10.5


 


Confidentiality, Non-Solicitation and Non-Competition Agreement dated as of December 22, 2006 between The DIRECTV Group, Inc. and News Corporation (incorporated by reference to Exhibit 10.2 to the Form 8-K of The DIRECTV Group, Inc. filed February 27, 2008 (SEC File No. 1-31945))

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Exhibit
Number
 
Exhibit Name

†† *10.6

 

Amended and Restated DIRECTV Executive Deferred Compensation Plan (incorporated by reference to Exhibit 10.5 of the Form 8-K of DIRECTV filed on February 23, 2012 (SEC File No. 1-34554))


†† *10.7


 


The DIRECTV Group, Inc. Amended and Restated 2004 Stock Plan (incorporated by reference to Annex B to The DIRECTV Group, Inc.'s Definitive Proxy Statement dated April 27, 2007 and filed on April 27, 2007 (SEC File No. 1-31945))


†† *10.8


 


DIRECTV 2010 Stock Plan (incorporated by reference to Exhibit 99 of the Form S-8 of DIRECTV filed on February 14, 2011 (SEC file No. 1-34554))


†† *10.9


 


The Liberty Entertainment, Inc. Transitional Stock Adjustment Plan (incorporated by reference to Exhibit 99(a) of the Form S-8 of DIRECTV filed on November 19, 2009 (SEC File No. 1-34554))


†† *10.10


 


The DIRECTV Group, Inc. Amended and Restated Executive Officer Cash Bonus Plan (incorporated by reference to Annex C to the The DIRECTV Group,  Inc.'s Definitive Proxy Statement dated April 27, 2007 and filed on April 27, 2007 (SEC File No. 1-31945))


†† *10.11


 


Summary Terms-2012 Restricted Stock Unit Grants (incorporated by reference to Exhibit 10.1 of the Form 8-K of DIRECTV filed February 15, 2012 (SEC File No. 1-34554))


†† *10.12


 


Summary Terms and Conditions for 2013 Performance RSU Grants (incorporated by reference to Exhibit 10.3 to the Form 8-K of DIRECTV filed February 15, 2013 (SEC File No. 1-34554))


†† *10.13


 


Summary Terms-2012 Bonus (incorporated by reference to Exhibit 10.2 to the Form 8-K of DIRECTV filed February 15, 2012 (SEC File No. 1-34554))


†† *10.14


 


Summary Terms and Conditions for the 2013 Bonus (incorporated by reference to Exhibit 10.4 to the Form 8-K of DIRECTV filed February 15, 2013 (SEC File No. 1-34554))


†† *10.15


 


Summary Terms-2012 Stock Option Grant (incorporated by reference to Exhibit 10.3 to the Form 8-K of DIRECTV filed February 15, 2012 (SEC File No. 1-34554))


†† *10.16


 


Summary Terms and Conditions for the 2013 Stock Options Grant (incorporated by reference to Exhibit 10.5 to the Form 8-K of DIRECTV filed February, 15 2013 (SEC File No. 1-34554))


†† *10.17


 


DIRECTV Executive Severance Plan Document and Summary Plan Description (incorporated by reference to Exhibit 10.1 of the Form 8-K of DIRECTV filed on January 27, 2012 (SEC File No. 1-34554))


†† *10.18


 


DIRECTV Performance Stock Unit Award Agreement between DIRECTV and Michael D. White dated as of January 4, 2010 (incorporated by reference to Exhibit 10.3 of the Form 8-K of DIRECTV filed on January 7, 2010 (SEC File No. 1-34554))


*10.19


 


Tax Sharing Agreement by and between Liberty Media Corporation and Liberty Entertainment, Inc. dated November 19, 2009 (incorporated by reference to Exhibit 10.36 of the Form 10-K of DIRECTV filed on February 26, 2010 (SEC File No. 1-34554))


*10.20


 


Exchange Rights Agreement dated as of October 8, 2004 among Globo, The News Corporation Limited and The DIRECTV Group, Inc. (incorporated by reference to Exhibit 10.1 of the Form 8-K of DIRECTV filed on June 7, 2010 (SEC File No. 1-34554))

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Exhibit
Number
 
Exhibit Name

*10.21

 

Amendment dated August 27, 2010 to Exchange Rights Agreement dated as of October 8, 2004 among Globo, The News Corporation Limited and The DIRECTV Group, Inc. (incorporated by reference to Exhibit 10.1 of the Form 10-Q of DIRECTV filed on November 4, 2010 (SEC File No. 1-34554))


*10.22


 


Share Exchange Agreement, dated as of April 6, 2010 by and among DIRECTV, Dr. John C. Malone, Mrs. Leslie A. Malone, The Tracy L. Neal Trust A, and The Evan D. Malone Trust A (incorporated by reference to Exhibit 10.1 of the Form 8-K of DIRECTV filed on April 7, 2010 (SEC File No. 1-34554))


*10.23


 


Form of Indemnification Agreement dated as of July 29, 2011 between DIRECTV and Neil R. Austrian, Ralph F. Boyd, David B. Dillon, Samuel A. DiPiazza, Dixon R. Doll, Charles R. Lee, Peter A. Lund, Nancy S. Newcomb and Lorrie M. Norrington (incorporated by reference to Exhibit 10.1 of the Form 8-K of DIRECTV filed on August 4, 2011 (SEC File No. 1-34554))


*10.24


 


Registration Rights Agreement, dated as of March 8, 2012, by and among DIRECTV Holdings LLC, DIRECTV Financing Co., Inc., the Guarantors signatory thereto and the Initial Purchasers named therein (incorporated by reference to Exhibit 10.1 of the Form 8-K of DIRECTV filed on March 14, 2012 (SEC File No. 1-34554))


*10.25


 


Form of 2012 Non-Qualified Stock Option Award Agreement (incorporated by reference to Exhibit 10.1 of the Form 8-K of DIRECTV filed on November 2, 2012 (SEC File No. 1-34554))


†† *10.26


 


CEO Severance Plan (incorporated by reference to Exhibit 10.2 of the Form 8-K of DIRECTV filed on November 2, 2012 (SEC File No. 1-34554))


†† **10.27


 


DIRECTV Deferred Compensation Plan for Non-Employee Directors


†† *10.28


 


Form of 2013 Non-Qualified Stock Option Award Agreement between DIRECTV and Michael D. White (incorporated by reference to Exhibit 10.1 to the Form 8-K of DIRECTV filed February, 15 2013 (SEC File No. 1-34554))


†† *10.29


 


Form of 2013 Performance Stock Unit Award Agreement between DIRECTV and Michael D. White (incorporated by reference to Exhibit 10.1 to the Form 8-K of DIRECTV filed February, 15 2013 (SEC File No. 1-34554))


*14.1


 


DIRECTV Code of Ethics and Business Conduct, adopted November 19, 2009 (incorporated by reference to Exhibit 14.1 to the Form 10-K of DIRECTV filed on February 28, 2011 (SEC File No. 1-34554))


**21


 


Subsidiaries of the Registrant as of December 31, 2012


**23


 


Consent of Deloitte & Touche LLP


***31.1


 


Certification of the Chief Executive Officer Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002


***31.2


 


Certification of the Chief Financial Officer Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002


***32.1


 


Certification of the Chief Executive Officer Pursuant to 18 U.S.C. Section 1350, As Adopted Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002


***32.2


 


Certification of the Chief Financial Officer Pursuant to 18 U.S.C. Section 1350, As Adopted Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

121


Table of Contents


DIRECTV

Exhibit
Number
 
Exhibit Name

101.INS

 

XBRL Instance Document


101.SCH


 


XBRL Taxonomy Extension Schema Document


101.CAL


 


XBRL Taxonomy Extension Calculation Linkbase Document


101.DEF


 


XBRL Taxonomy Extension Definition Linkbase Document


101.LAB


 


XBRL Taxonomy Extension Label Linkbase Document


101.PRE


 


XBRL Taxonomy Extension Presentation Linkbase Document


*
Incorporated by reference.

**
Filed herewith.

***
Furnished not filed.

††
Management contract or compensatory plan or arrangement.

        A copy of any of the exhibits included in this Annual Report on Form 10-K, other than those as to which confidential treatment has been granted by the Securities and Exchange Commission, upon payment of a fee to cover the reasonable expenses of furnishing such exhibits, may be obtained by written request to us at the address set forth on the front cover, attention General Counsel.

122



DIRECTV

SCHEDULE II—VALUATION AND QUALIFYING ACCOUNTS

Description  
Balance at
beginning of year
 
Additions charged
to costs and expenses
 
Additions charged
to other accounts (a)
 
Deductions (b)
 
Balance at
end of year
 
 
  (Dollars in Millions)
 

Year Ended December 31, 2012:

                               

Allowance for doubtful accounts deducted from accounts receivable

  $ (79 ) $ (332 ) $ (149 ) $ 479   $ (81 )

Year Ended December 31, 2011:

                               

Allowance for doubtful accounts deducted from accounts receivable

    (76 )   (309 )   (130 )   436     (79 )

Year Ended December 31, 2010:

                               

Allowance for doubtful accounts deducted from accounts receivable

    (56 )   (288 )   (255 )   523     (76 )

(a)
Primarily reflects the recovery of accounts previously written-off.

(b)
Primarily relates to accounts written-off.

123



DIRECTV

SIGNATURES

        Pursuant to the requirements of Section 13 or 15(d) of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on its behalf by the undersigned, hereunto duly authorized.

    DIRECTV
(Registrant)
Date: February 20, 2013        

 

 

By:

 

/s/ PATRICK T. DOYLE

Patrick T. Doyle
(Executive Vice President and Chief Financial Officer)

        Pursuant to the requirements of the Securities Exchange Act of 1934, this report has been signed below on this 20th day of February 2013 by the following persons on behalf of the Registrant and in the capacities indicated.

Signature
 
Title
   
   

/s/ MICHAEL D. WHITE


(Michael D. White)
 

Chairman of the Board of Directors, President and Chief Executive Officer

  }  

Principal Executive Officer

/s/ PATRICK T. DOYLE


(Patrick T. Doyle)
 

Executive Vice President and Chief Financial Officer

  }  

Principal Financial Officer

/s/ JOHN F. MURPHY


(John F. Murphy)
 

Senior Vice President and Controller

  }  

Principal Accounting Officer

/s/ NEIL R. AUSTRIAN


(Neil R. Austrian)
 

Director

       

/s/ RALPH F. BOYD, JR.


(Ralph F. Boyd, Jr.)
 

Director

       

/s/ DAVID B. DILLON


(David B. Dillon)
 

Director

       

/s/ SAMUEL A. DIPIAZZA, JR.


(Samuel A. DiPiazza, Jr.)
 

Director

       

/s/ DIXON R. DOLL


(Dixon R. Doll)
 

Director

       

/s/ CHARLES R. LEE


(Charles R. Lee)
 

Director

       

/s/ PETER A. LUND


(Peter A. Lund)
 

Director

       

/s/ NANCY NEWCOMB


(Nancy Newcomb)
 

Director

       

/s/ LORRIE M. NORRINGTON


(Lorrie M. Norrington)
 

Director

       

124



DIRECTV

EXHIBIT INDEX

Exhibit
Number
 
Exhibit Name

10.27

 

DIRECTV Deferred Compensation Plan for Non-Employee Directors


21


 


Subsidiaries of the Registrant as of December 31, 2012


23


 


Consent of Deloitte & Touche LLP


31.1


 


Certification of the Chief Executive Officer Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002


31.2


 


Certification of the Chief Financial Officer Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002


32.1


 


Certification of the Chief Executive Officer Pursuant to 18 U.S.C. Section 1350, As Adopted Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002


32.2


 


Certification of the Chief Financial Officer Pursuant to 18 U.S.C. Section 1350, As Adopted Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002


101.INS


 


XBRL Instance Document


101.SCH


 


XBRL Taxonomy Extension Schema Document


101.CAL


 


XBRL Taxonomy Extension Calculation Linkbase Document


101.DEF


 


XBRL Taxonomy Extension Definition Linkbase Document


101.LAB


 


XBRL Taxonomy Extension Label Linkbase Document


101.PRE


 


XBRL Taxonomy Extension Presentation Linkbase Document

        A copy of any of the exhibits included in this Annual Report on Form 10-K, other than those as to which confidential treatment has been granted by the Securities and Exchange Commission, upon payment of a fee to cover the reasonable expenses of furnishing such exhibits, may be obtained by written request to us at the address set forth on the front cover, attention General Counsel.

125



EX-10.27 2 a2212949zex-10_27.htm EX-10.27
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EXHIBIT 10.27


DIRECTV

DEFERRED COMPENSATION PLAN FOR NON-EMPLOYEE DIRECTORS

1.     Name and Purpose

        The name of this plan is the DIRECTV Deferred Compensation Plan for Non-Employee Directors (the "Plan"). Its purpose is to provide Non-Employee Directors ("Directors") of DIRECTV (the "Corporation" or "DIRECTV") with an opportunity to defer compensation earned as a Director while providing Directors a means to increase their stock ownership. The Plan's purpose will be accomplished by using restricted stock units (RSUs) and will ensure that the compensation of the Directors is closely aligned with stockholder interests and the performance of the Corporation. Any provisions to the contrary notwithstanding, this Plan shall be interpreted and administered in accordance with the provisions of Internal Review Code §409A and applicable regulations.

2.     Effective Date

        The Plan was originally effective as of March 29, 1995 and was previously amended on October 1, 1999, June 30, 2000, May 22, 2001, December 4, 2001, July 15, 2002, January 1, 2003, January 28, 2003, and December 22, 2003. The Plan was amended and restated effective as of January 1, 2005 and as of November 19, 2009, and amended as of November 2, 2010. The Plan is now amended and restated effective as of December 31, 2011.

3.     Administration

        The Corporation's Board of Directors ("Board") will administer the Plan. The decisions of the Board with respect to any questions arising as to the interpretation of the Plan, including the severability of any and all of the provisions thereof, shall be final, conclusive and binding on all parties.

        The Board is authorized, subject to the provisions of the Plan, from time to time to establish such rules and regulations, and to delegate ministerial, day-to-day administrative details and non-discretionary duties and/or functions, to officers and employees of DIRECTV as it deems appropriate for the proper administration of the Plan.

4.     Eligibility

        Eligibility to participate in the Plan will be limited to Directors who are not current or former officers of the Corporation or of a subsidiary of the Corporation.

5.     Election of Deferral

        On or before December 31 of any year, each Director, or nominee for election as a Director, may make an irrevocable election to defer receipt of all or a specified portion of the cash and equity compensation (exclusive of expense reimbursement) otherwise payable during the following year for serving on the Board of the Corporation and its Committees and for attending meetings of the Board. The Plan will establish and maintain for each Director an unfunded deferred compensation account. The Director's deferred cash and equity compensation will be credited to such Director's deferred compensation account on the dates the cash and equity compensation would have been paid to the Director but for the election to defer.

        For a newly-elected Director, the election under the Plan for the remainder of the calendar year in which the Director joins the Board must be made no later than thirty (30) days following the date the Director joined the Board and is effective only for compensation earned beginning on the first day of the month following the date of election to defer.


        Each annual election will include the method by which the value of amounts deferred will be measured and distributed in accordance with Sections 7 and 8 below, respectively.

6.     Manner of Electing Deferral

        A Director may elect to defer all or a portion of his or her cash compensation and/or equity compensation by giving written notice to the Corporation before January 1 of the year in which the compensation is to be earned. Such notice will include:

            (a)   Either (i) the election of a voluntary deferral of all or a portion of the Director's cash compensation or (ii) the election of a voluntary deferral of all or a portion of the Director's equity compensation as such compensation is paid or vested, or (iii) both; and

            (b)   The election of a lump sum payment or a number of annual installments (not to exceed ten) for distribution of each year's deferred cash or equity compensation.

        In subsequent annual elections, a Director may make deferral and/or distribution elections that differ from previous elections, but only as they apply to deferrals for that year and not to previously deferred monies.

7.     Value of Compensation Accounts

        Deferred compensation is 100% vested and nonforfeitable.

        Deferred compensation will be held in the Director's account and will be credited, pursuant to the Director's instructions, as follows:

            (a)   Cash Compensation Deferral Alternatives—Cash deferrals may be credited to an interest bearing account or converted to RSUs as set forth below:

                (i)  Cash-Based Deferral Alternative—Cash compensation deferred under this alternative will earn interest at a rate equal to 100% of the average U.S. Treasury 10-year bond yield calculated for the month of October that immediately precedes the plan year for which the rate is to be used. Distribution from this alternative shall be made only in cash.

               (ii)  Stock-Based Deferral Alternative—Cash compensation deferred under this alternative will be converted into RSUs representing DIRECTV common stock at the closing market price of such stock on the date of contribution. The use of units is for recordkeeping purposes; only cash and not shares shall be paid from this alternative.

            (b)   Equity Compensation Deferrals—Deferred equity compensation shall be converted into RSUs representing DIRECTV common stock. The use of units is for recordkeeping purposes. Deferred equity compensation shall not be diversified into other hypothetical investments and only shares of DIRECTV stock shall be paid from the deferred equity compensation.

        On any dividend payment date, dividend equivalents in the form of additional investment units will be an amount equal to the per share cash dividend multiplied by the number of RSUs in the Director's account in the stock-based or equity compensation deferral alternatives on the record date for such dividend; the dividend equivalent amount will be divided by the closing market price of such stock for the dividend payment date and the additional RSUs so determined shall be recorded to the Director's account. In the event of any change in the number or kind of any outstanding shares of DIRECTV common stock by DIRECTV, appropriate adjustments will be made in the number of RSUs credited to a Director's account.

        RSUs held as the Director's cash deferrals converted to RSUs or as deferred equity compensation will continue to accumulate dividend equivalents until distributed in accordance with provisions of the

2


Plan. The market price on any valuation date under the Plan is defined as the closing sales price of DIRECTV common stock as reported in a publicly available stock price source.

        A Director will not have any interest in the deferred compensation held in his or her account nor voting rights to RSUs in the stock-based deferral alternative or the equity compensation deferral alternative until it is distributed in accordance with the Plan.

8.     Method of Distribution of Deferred Compensation

        No distribution will be permitted from a Director's deferred compensation account except as provided in this Section 8.

        The value of a Director's deferred compensation account is payable upon leaving the Board in accordance with the Director's deferral election, in a lump sum or in up to ten annual installments as provided in Section 6. If no distribution election is made at the time the deferral is elected, the distribution shall be in a lump sum.

        If annual installments are elected, the amount of the first payment will be a fraction of the value of the Director's deferred compensation account as of December 31 of the year preceding payment, the numerator of which is one and the denominator of which is the total number of installments elected. The amount of each subsequent payment will be a fraction of the value as of December 31 of the year preceding each subsequent payment, the numerator of which is one and the denominator of which is the total number of installments elected minus the number of installments previously paid.

        Only whole shares shall be distributed from the equity compensation deferral alternative. Fractional shares payable in any installment from the equity compensation deferral alternative shall not be distributed and shall be accumulated until the final installment payment; if fractional shares remain in the final installment or in a lump sum distribution, they shall be converted and paid in cash at the then closing market price of DIRECTV stock.

        The distribution of the deferred compensation will be made as soon as practicable in January of the year following a Director's ceasing to be a Director.

        If a Director leaves the Board with deferred compensation total account value of $10,000 or less, the compensation earned will be paid to such Director in a lump sum.

        As provided under IRC Section 409A and related regulations, an immediate lump sum distribution is permitted for payment (i) to an individual other than the Director as may be necessary to fulfill a domestic relations order, (ii) as may be necessary to comply with a certificate of divestiture and (iii) for a distribution of that portion of the Director's account that has become FICA taxable, including the amount which may become subject to income tax withholding related to such FICA amount.

9.     Distribution Upon Death

        A Director may designate a beneficiary or beneficiaries to receive amounts credited under the Plan in the event of the Director's death. A designation of beneficiary or beneficiaries shall be on a form prescribed by and filed with the Corporate Secretary. In the event of death, the unpaid amount in such Director's Plan account will be paid to his or her beneficiary, but if none has been designated, to his or her estate. Such payment will be made in one lump sum, payable as soon as practicable following notice to the Company of the Director's death. The value of the Plan account on the date of payment will be determined in accordance with the provisions of Section 7 hereof.

10.   Participant's Rights Unsecured

        The right of any Director to receive the compensation deferred under the provisions of the Plan will be an unsecured claim against the general assets of the Corporation.

3


11.   Non-Assignability

        The right of a Director to the payment of deferred compensation as provided in this Plan shall not be assigned, transferred, pledged or encumbered or be subject in any manner to alienation or anticipation, except as provided in Section 9.

12.   Statement of Account

        Statements will be sent to Directors as soon as practicable each year as to the value of their deferred compensation accounts as of the end of the previous year.

13.   Business Days

        If any date specified herein falls on a Saturday, Sunday or legal holiday, such date shall be deemed to refer to the next business day after that date.

14.   Adjustments to Stock Units and/or RSUs

        Outstanding compensation in the stock-based deferral alternative and in the equity deferral alternative will be subject to appropriate adjustment in the event of future stock splits, stock dividends, spin-offs, split-offs or other changes in capitalization of DIRECTV to prevent the dilution or enlargement of the Director's rights under the Plan. Such adjustments will be made in the same manner as adjustments to stock issued pursuant to the 2009 Stock Plan or its successor.

15.   Amendment and Termination

        This Plan may at any time be amended, modified or terminated by the Corporation's Board to comply with changes in the Internal Revenue Code of 1986, as amended, and the Employee Retirement Income Security Act of 1974, as amended, or the rules or regulations promulgated thereunder. In addition the Corporation's Board may, in its sole discretion, modify the terms and conditions of the Plan in response to, and consistent with, any changes in other applicable law, rule or regulation. The Corporation's Board also reserves the right to modify the Plan from time to time, or to suspend or terminate the Plan entirely, provided, however, that no modification of the Plan, except for such modifications as may be required by law, rule or regulation, will operate to annul an election already in effect for the current calendar year or any preceding calendar year.

        It is the Corporation's intent that the Plan comply in all respects with Rule 16b-3 of the Securities Exchange Act of 1934 (the "Exchange Act"), or its successor, and any regulations promulgated thereunder. If any provision of the Plan is found not to be in compliance with such Rule and such regulations, the provision will be deemed null and void, and the remaining provisions of the Plan will continue in full force and effect. All transactions under this Plan will be executed in accordance with the requirements of Section 16 of the Exchange Act and regulations promulgated thereunder.

4




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EX-21 3 a2212949zex-21.htm EX-21
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DIRECTV

Exhibit 21

Subsidiaries of the Registrant
As of December 31, 2012

Entity Name
  State of Inc.
/Formation/
Partnership

DIRECTV

  DE

DTV Entertainment, Inc. 

  DE

DTV Freedom, LLC

  DE

Greenlady Corp. 

  DE

DIRECTV Sports Networks, LLC

  DE

DIRECTV Sports Net Northwest, LLC

  DE

DIRECTV Sports Net Pittsburgh, LLC

  DE

DIRECTV Sports Net Rocky Mountain LLC

  DE

DTV Greensub, Inc. 

  DE

Greenlady II, LLC

  DE

LDIG, LLC

  DE

DTV Genius, Inc. 

  DE

LDIG Gamenet, Inc. 

  DE

The DIRECTV Group, Inc. 

 

DE

DIRECTV UK Limited

  UK

DTV Satellite Broadband, LLC

  DE

DTVG Licensing, Inc. 

  CA

DIRECTV Holdings LLC

  DE

DIRECTV Financing Co., Inc. 

  DE

DIRECTV Enterprises, LLC

  DE

DIRECTV, LLC

  CA

DIRECTV Customer Services, Inc. 

  DE

DIRECTV Home Services, LLC

  DE

DIRECTV Investments, Inc. 

  DE

DIRECTV Merchandising, Inc. 

  DE

DTV Home Services II, LLC

  DE

Up Sat Direct LLC

  DE

J P & D Digital Satellite Systems, Inc. 

  TX

LABC Productions, LLC

  CA

BKB Global, LLC

  DE


DIRECTV

Entity Name
  State of Inc.
/Formation/
Partnership

LABC On-Air Music, Inc. 

  DE

LABC TV Music, Inc. 

  DE

LABC Radio Group, LLC. 

  DE

Sobobo, LLC

  IL

Oligarch Productions, LLC

  DE

DIRECTV International, Inc. 

 

DE

DIRECTV Latin America Holdings, Inc. 

  CA

DIRECTV DTH Investments Limited

  Cayman Islands

DIRECTV Latin America, LLC

 

DE

California Broadcast Center, LLC

  DE

DIRECTV Argentina, S.A. 

  Argentina

DIRECTV Caribe Ltd. 

  Saint Lucia

DIRECTV (Barbados) Ltd. 

  Barbados

DIRECTV Curaçao N.V. 

  Curaçao

DIRECTV Trinidad Limited

  Trinidad/ Tobago

DIRECTV Chile LLC

  DE

DIRECTV Chile Television Limitada

  Chile

Incubatv Comercializadora y Distributidora Sociedad de Responsibilidad Ltda. 

  Chile

DIRECTV Colombia, Ltda. 

  Colombia

DIRECTV Latin America Sports, LLC

  DE

DIRECTV Mexico Holdings, LLC

  DE

Grupo Galaxy Mexicana, S.R.L. de C.V. 

  Mexico

DIRECTV de Paraguay SRL

  Paraguay

DIRECTV Peru S.r.L. 

  Peru

DIRECTV Puerto Rico Ltd. 

  BVI

DIRECTV de Uruguay Ltda. 

  Uruguay

DS Technology, LLC

  DE

DTH Ecuador C. Ltda. 

  Ecuador

DIRECTV Ecuador C. Ltda

  Ecuador

DTVLA Coöperatief U.A. 

  Netherlands

DTVLA B.V. 

  Netherlands

DTVLA Brazil Investment Holdings, LLC

  DE

DTVLA Holdings S.L. 

  Spain

Compania De Productores Asociados SAS

  Colombia

Galaxy Entertainment de Venezuela C.A. 

  Venezuela

Galaxy Latin America Investments, LLC

  DE


DIRECTV

Entity Name
  State of Inc.
/Formation/
Partnership

Galaxy Latin America Venezuela, S.r.L. 

  Venezuela

GLA Brasil Ltda. 

  Brazil

Galaxy Brasil Ltda. 

  Brazil

Sky Brasil Servicios Ltda. 

  Brazil

ITSA, Ltda. 

  Brazil

Link Express, Ltda. 

  Brazil

TV Filme Belem Ltd. 

  Brazil

TV Filme Brasilia Ltd. 

  Brazil

TV Filme Goiania Ltd. 

  Brazil

TV Filme Operacoes Ltd. 

  Brazil

TV Filme Sistema Ltd. 

  Brazil

TV Filme Programadora Ltd. 

  Brazil

TV Filme Servicos Ltd. 

  Brazil

TV Capital Participacoes Ltda. 

  Brazil

Latin America Sports, LLC

  DE

T2Green Golf, SRL

  Argentina

Pasiones TV, LLC

  DE

Servicios Galaxy Sat III R, C.A. 

  Venezuela

SurFin LLC

  DE

Alpha Tel Holdings, Ltd. 

  Cayman Is.

Alpha Tel S.A. 

  Argentina

White Holding, B.V. 

  Netherlands

Telecenter Panamericana Ltda. 

  Colombia

White Holding Mexico S. de R.L. de C.V. 

  Mexico

T2Green Equipos S.r.L. 

  Argentina

Torneos y Competencias S.A. 

  Argentina

HD Services S.A. 

  Argentina

Compania de Marcas y Emprendimcintos S.A. 

  Argentina

Merkin S.A. 

  Uruguay

Productora De Eventos S.A. 

  Uruguay

Revistas Deportivas S.A. 

  Argentina

South American Sports S.A. 

  Argentina

T&T Sports Marketing, Ltd. 

  Cayman Is.

Tele Net Image Corp

  BVI

Tele Red Imagen S.A. 

  Argentina

Torneos y Competencias S.A. 

  Uruguay

Workjoy Argentina S.A. 

  Argentina


DIRECTV

Entity Name
  State of Inc.
/Formation/
Partnership

Television Satelital Codificada S.A. 

  Argentina

TyC International B.V. 

  Netherlands

TyC Minor S.A.

   

DTH (Mexico) Investment Ltd. 

  Cayman Is.

DTVLA Mexico Investment Holdings, Inc. 

  DE

Innova Holdings S. de R.L. de C.V. 

  Mexico

Innova S. de R.L. de C.V. 

  Mexico

Corporacion Novaimagen SrL de CV

  Mexico

Corporacion Novavision SrL de CV

  Mexico

Novavision Group, Inc. 

  CA

Novavision Honduras S.A. de C.V. 

  Honduras

Novavision Panama, S.A. 

  Panama

Media Vision de Panama, S.A. 

  Panama

Ridge Manor, Inc. 

  Panama

Eminent Shine, Inc. 

  Panama

Galaxy Nicaragua

  Nicaragua

SDS

  Costa Rica

Sky El Salvador S.A. De C.V. 

  El Salvador

Television Novavision de Guatemala S.A. 

  Guatemala

Corporacion de Radio y Television del Norte de Mexico SrL de CV

  Mexico

Corporacion Satelital Novavision Dominicana, S.A. 

  Mexico

Nova Call-Center S. de R.L. de C.V. 

  Mexico

Novabox S de RL de CV

  Mexico

Servicios Corporativos de Telefonia SrL de CV

  Mexico

Servicios Novasst SrL de CV

  Mexico

DTH TechCo, Inc. 

  DE

News America DTH TechCo. Inc. 

  DE

MCOP Holdings, Inc. 

  DE

Multi-Country DTH Holdings Ltd. 

  Cayman Island.

Sky Argentina DTH Holdings LLC

  DE

Sky Argentina S.C.A. 

  Argentina

Sky Sistemas Argentina SRL

  Argentina

Sky Argentina DTH Management LLC

  DE

Sky Colombia S.A. 

  Colombia

Sky Entertainment Venezuela S.A. 

  Venezuela

DTV Network Systems, Inc. 

 

DE

DTV Mauritius Holdings

  Mauritius


DIRECTV

Entity Name
  State of Inc.
/Formation/
Partnership

First DTV Mauritius Ltd. 

  Mauritius

Goldman Agent Private Limited

  India

DTVG Europe Limited

  UK

DTVG UK Limited

  UK



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EX-23 4 a2212949zex-23.htm EX-23
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DIRECTV

EXHIBIT 23

CONSENT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

        We consent to the incorporation by reference in Registration Statement Nos. 333-172246, 333-163226 and 333-163227 on Form S-8, Registration Statement Nos. 333-172641 and 333-168705 on Form S-3 and Registration Statement Nos. 333-180335, 333-166121, 333-127826, 333-164728, 333-153496, 333-106529, and 333-159810 on Form S-4 of our reports dated February 20, 2013 relating to the consolidated financial statements and financial statement schedule of DIRECTV and the effectiveness of DIRECTV's internal control over financial reporting, appearing in this Annual Report on Form 10-K for the year ended December 31, 2012.

/s/ DELOITTE & TOUCHE LLP

Los Angeles, California

February 20, 2013




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EX-31.1 5 a2212949zex-31_1.htm EX-31.1

DIRECTV

EXHIBIT 31.1

CERTIFICATION

I, Michael D. White, certify that:

1.
I have reviewed this Annual Report on Form 10-K of DIRECTV;

2.
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3.
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4.
The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15d(f)) for the registrant and have:

(a)
Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b)
Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c)
Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

(d)
Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal quarter (the registrant's fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

5.
The registrant's other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

(a)
All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and

(b)
Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

Date: February 20, 2013

    /s/ MICHAEL D. WHITE

Michael D. White
President and Chief Executive Officer
   


EX-31.2 6 a2212949zex-31_2.htm EX-31.2

DIRECTV

EXHIBIT 31.2

CERTIFICATION

I, Patrick T. Doyle, certify that:

1.
I have reviewed this Annual Report on Form 10-K of DIRECTV;

2.
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3.
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4.
The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15d(f)) for the registrant and have:

(a)
Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b)
Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c)
Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

(d)
Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal quarter (the registrant's fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

5.
The registrant's other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

(a)
All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and

(b)
Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

Date: February 20, 2013

    /s/ PATRICK T. DOYLE

Patrick T. Doyle
Executive Vice President and
Chief Financial Officer
   


EX-32.1 7 a2212949zex-32_1.htm EX-32.1

DIRECTV

EXHIBIT 32.1

CERTIFICATION PURSUANT TO
18 U.S.C. SECTION 1350,
AS ADOPTED PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

        In connection with the Annual Report of DIRECTV (the "Corporation") on Form 10-K for the fiscal year ended December 31, 2012 as filed with the Securities and Exchange Commission on the date hereof (the "Report"), I, Michael D. White, Director, President and Chief Executive Officer of the Corporation, certify, pursuant to 18 U.S.C. § 1350, as adopted pursuant to § 906 of the Sarbanes-Oxley Act of 2002, that to the best of my knowledge:

(1)
The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

(2)
The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Corporation.

/s/ MICHAEL D. WHITE

Michael D. White
President and Chief Executive Officer
   

Date: February 20, 2013

 

 


EX-32.2 8 a2212949zex-32_2.htm EX-32.2

DIRECTV

EXHIBIT 32.2

CERTIFICATION PURSUANT TO
18 U.S.C. SECTION 1350,
AS ADOPTED PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

        In connection with the Annual Report of DIRECTV (the "Corporation") on Form 10-K for the fiscal year ended December 31, 2012 as filed with the Securities and Exchange Commission on the date hereof (the "Report"), I, Patrick T. Doyle, Executive Vice President and Chief Financial Officer of the Corporation, certify, pursuant to 18 U.S.C. § 1350, as adopted pursuant to § 906 of the Sarbanes-Oxley Act of 2002, that to the best of my knowledge:

(1)
The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

(2)
The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Corporation.

/s/ PATRICK T. DOYLE

Patrick T. Doyle
Executive Vice President and Chief Financial Officer
   

Date: February 20, 2013

 

 


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We consider, among other factors: the magnitude and duration of the decline; the financial health and business outlook of the investee, including industry and sector performance, changes in technology, and operational and financing cash flow factors; and our intent and ability to hold the investment. If we judge the decline in fair value to be other-than-temporary, we write-down the cost basis of the security to fair value and recognize the amount in the Consolidated Statements of Operations as part of "Other, net" and record it as a reclassification adjustment from "Accumulated other comprehensive loss" in the Consolidated Balance Sheets.</font></p> <p style="FONT-FAMILY: times"><font size="2">&#160;&#160;&#160;&#160;&#160;&#160;&#160;&#160;We account for investments in which we own at least 20% of the voting securities or have significant influence under the equity method of accounting. 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Accounts Payable to Vendor for Satellites Current Accounts payable to vendors for satellites Represents the current portion (due within one year or one operating cycle) of amounts payable to vendors for satellites. Acquisition [Abstract] Acquisition Acquisition Transaction and Related Gains Includes the charge associated with the merger/acquisition transaction, the fair value adjustments and the settlement gains related to the equity collar acquired as part of that transaction. Liberty transaction and related gain Liberty transaction and related gain Liberty transaction and related gains (charges) Liberty transaction and related gains Adjustments to Additional Paid in Capital Change in Carrying Amount of Redeemable Noncontrolling Interest Adjustment to the fair value of redeemable noncontrolling interest In the absence of retained earnings, the adjustment to additional paid in capital for the change in the carrying amount of redeemable noncontrolling interest that is classified as temporary equity. Aggregate Cash Payments for Construction and Launch of Satellite Contracts Due Current Amount of total aggregate cash payments maturing in the next fiscal year following the latest fiscal year for construction and launch of satellites contracts. Cash payments under lease agreements payable in 2013 Award Type [Axis] Aggregate Cash Payments for Construction and Launch of Satellite Contracts Due in Five Years Amount of total aggregate cash payments maturing in the fifth fiscal year following the latest fiscal year for construction and launch of satellites contracts. Cash payments under lease agreements payable in 2017 Aggregate Cash Payments for Construction and Launch of Satellite Contracts Due in Six Years Cash payments under lease agreements payable in 2018 and thereafter Amount of total aggregate cash payments maturing after the fifth fiscal year following the latest fiscal year for construction and launch of satellites contracts. Aggregate Cash Payments for Construction and Launch of Satellite Contracts Due in Four Years Amount of total aggregate cash payments maturing in the fourth fiscal year following the latest fiscal year for construction and launch of satellites contracts. Cash payments under lease agreements payable in 2016 Amount of total aggregate cash payments maturing in the third fiscal year following the latest fiscal year for construction and launch of satellites contracts. Cash payments under lease agreements payable in 2015 Aggregate Cash Payments for Construction and Launch of Satellite Contracts Due in Three Years Amendment Description Amount of total aggregate cash payments maturing in the second fiscal year following the latest fiscal year for construction and launch of satellites contracts. Cash payments under lease agreements payable in 2014 Aggregate Cash Payments for Construction and Launch of Satellite Contracts Due in Two Years Amendment Flag Aggregate Cash Payments for Construction and Launch of Satellite Contracts Due Thereafter Represents the total aggregate cash payable under construction and launch of satellites contract due after the fifth year from the balance sheet date. Cash payments under lease agreements payable thereafter Represents the total aggregate cash payments under construction and launch of satellites contract. Total cash payment under lease agreements Aggregate Cash Payments for Construction and Launch of Satellite Contracts Total Amount of Credit Extended to Individual Residential Subscribers Amount of credit extended to individual residential subscribers Represents the amount of credit given to individual residential subscribers by the entity. Assets (Liabilities) Net in Venezuelan Subsidiary Venezuelan bolivar fuerte denominated assets in excess liabilities Net monetary assets denominated in Venezuelan bolivar fuerte. CALIFORNIA California Available for sale Securities Gross Realized Gains Net of Tax Represents the amount of after tax gain realized on the sale of debt or equity securities categorized neither as held-to-maturity nor trading securities. Gain on sale of securities, after tax Broadcast operations expenses Broadcast operations expenses include broadcast centre operating costs, signal transmission expenses (including costs of collecting signals for our local channel offerings), and costs of monitoring, maintaining and insuring our satellites. Also included are engineering expenses associated with deterring theft of our signal. Broadcast Operations Expenses Broadcast Programming and Other Broadcast programming and other Broadcast programming costs include license fees for subscription service programming, pay-per-view programming, live sports and other events. Other costs include continuing service fees paid to third parties for active subscribers and warranty service costs. Broadcast Programming and Other Broadcast Programming and Other [Policy Text Block] Disclosure of the entity's accounting policy for broadcast programming and other. Building and Leasehold Improvements Represents long-lived, depreciable structure held for productive use, including office, production, storage and distribution facilities. Also includes long-lived, depreciable asset that is an addition or improvement to assets held under a lease arrangement. Buildings and Leasehold Improvements [Member] Represents the number of common stock options and stock appreciation rights issued by acquired entity that is assumed by the entity. Number of stock options and stock appreciation rights, assumed (in shares) Business Acquisition, Number of Common Stock Options and Stock Appreciation Rights Issued by Acquired Entity Assumed Number of common stock options and stock appreciation rights issued by LEI, assumed (in shares) Capital Leased Assets by Type [Axis] Represents capital leased assets of the entity by type. Capital Leased Assets by Type [Domain] Listing of capital leased assets of the entity by type. Capitalized Computer Software [Abstract] Capitalized Software Costs Capitalized Software [Policy Text Block] Disclosure of accounting policy for costs incurred when both (1) the software is acquired, internally developed, or modified solely to meet the entity's internal needs, and (2) during the software's development or modification, no substantive plan exists or is being developed to market the software externally. Disclosure of accounting policy for costs incurred for software development to be marketed externally. Capitalized Software Costs Cash Held in Venezuelan Subsidiary Cash denominated in Venezuelan bolivar fuerte. Venezuelan bolivars fuerte denominated cash Collar Loan Collar loan, principal balance Collar Loan. Current Fiscal Year End Date Collar Loan [Member] Collar Loan The credit facility and related equity collars assumed as part of the Liberty Transaction. The DIRECTV Group, Inc. Common Shares Common Shares [Member] The most subordinated ownership interest in a group. Number of types of common stock The number of classes of common stock authorized. Common Stock, Number of Class Condensed Consolidating Financial Statements Brazil BRAZIL Conversion of Stock Percentage of Ownership by Shareholder after Conversion Voting interest held by shareholder, after conversion (as a percent) Percentage of shareholder's voting interest in the reporting entity after stock conversion. Conversion of Stock Percentage of Ownership by Shareholder before Conversion Percentage of shareholder's voting interest in the reporting entity before stock conversion. Voting interest held by shareholder, prior to conversion (as a percent) Costs of Revenues Exclusive of Depreciation and Amortization Expense [Abstract] Costs of revenues, exclusive of depreciation and amortization expense DIRECTV Latin America Represents the information pertaining to DIRECTV Latin America, a subsidiary of the reporting entity. D I R E C T V Latin America [Member] DIRECTV U.S. Represents the information pertaining to DIRECTV U.S., a subsidiary of the reporting entity. D I R E C T V U S [Member] Dealer network Represents the dealer network, a finite-lived intangible asset of the entity. Dealer Network [Member] Debt Instrument, Variable Rate Base [Axis] The alternative reference rates that may be used to calculate the variable interest rate of the debt instrument. Document Period End Date Identification of the reference rate that is used to calculate the variable interest rate of the debt instrument. Debt Instrument, Variable Rate Base [Domain] The Euro Interbank Offered Rate (Euribor) used to calculate the variable interest rate of the debt instrument. Euro Interbank Offered Rate (EURIBOR) Debt Instrument Variable Rate Base E U R I B O R [Member] The Fed Funds Rate (the interest rate charged by lending bank to borrowing bank) used to calculate the variable interest rate of the debt instrument. Fed Funds Rate Debt Instrument Variable Rate Base Federal Funds [Member] The London Interbank Offered Rate (LIBOR) used to calculate the variable interest rate of the debt instrument. London Interbank Offer Rate (LIBOR) Debt Instrument Variable Rate Base L I B O R [Member] The prime interest rate (the interest rate charged by banks to their most creditworthy customers) used to calculate the variable interest rate of the debt instrument. Prime Rate Debt Instrument Variable Rate Base Prime [Member] Deferred Tax Assets Foreign Net Operating Loss Carryforwards Valuation Allowance Reversal Reversal of the valuation allowance for a deferred tax asset for Brazilian net operating loss carryforwards Represents the reversal of the valuation allowance for a deferred tax asset for foreign net operating loss carryforwards. Deferred Tax Assets, Operating Loss and Tax Credit Carryforwards Represents the sum of the tax effects as of the balance sheet date of the amount of future tax deductions arising from all unused tax credit carryforwards which have been reduced by a valuation allowance and of the amount of excesses of tax deductions over gross income in a year which cannot be used on the tax returns in the current year but can be carried forward to reduce taxable income or income taxes payable in a future year, for which there must be sufficient tax-basis income to utilize a portion or all of the carryforward amount to realize the deferred tax asset. Net operating loss and tax credit carryforwards Represents the sum of the tax effects as of the balance sheet date of the amount of future tax deductions arising from programming contract liabilities. Deferred Tax Assets, Programming Contract Liabilities Programming contract liabilities Deferred Tax Assets, Tax Basis Differences in Investments and Affiliates Tax basis differences in investments and affiliates Represents the sum of the tax effects as of the balance sheet date of the amount of future tax deductions arising from tax basis differences in investments and affiliates. Entity [Domain] Deferred Tax Assets, Valuation Allowance Reversal, Reduction in Foreign Income Tax Expense Valuation allowance reversal, reduction in foreign income tax expense Represents the amount of reversal in the valuation allowance for a specified deferred tax asset reported as a reduction in foreign income tax expense during the period. Deferred Tax Assets, Valuation Allowance Reversal, Reduction in United States Tax Credits Valuation allowance reversal, reduction in U.S. tax credits Represents the amount of reversal in the valuation allowance for a specified deferred tax asset that was completely offset by a reduction to future U.S. tax credits during the period. Amortization components Defined Benefit Plan, Amortization Components [Abstract] Defined Benefit Plan Employees Age Limit for Participation Plan benefits, participating employees age limit Represents the eligible employees' age until which they can participate in the defined benefit plan. Employees' retirement age, eligible for participation in the plan Represents the employees' retirement age to become eligible for participation in the defined benefit plan. Defined Benefit Plan, Employees Retirement Age, Eligibility for Participation Represents the defined benefit pension and postretirement benefit plans by qualification. Defined Benefit Plans by Qualification [Domain] Defined Benefit Plans, Disclosures Defined Benefit Plans by Qualification [Axis] Represents the description and required disclosures pertaining to the entity's defined benefit pension or another postretirement plans by qualifications. Dilutive Effect of Stock Options and Restricted Stock Units Per Share Amount Dilutive effect of stock options and restricted stock units, per share amount. Dilutive effect of stock options and restricted stock units, per share amount (in dollars per share) Directv Plan [Member] DIRECTV Plan Represents The DIRECTV Group, Inc. Amended and Restated 2004 Stock Plan, or the DIRECTV Plan under which the entity is authorized to issue shares, rights or options. Discovery Communications, Liberty Global and affiliates Represents information pertaining to Discovery Communications, Inc., Liberty Global Inc., and affiliates, related parties of the entity. Discovery Communications, Liberty Global and affiliates [Member] Discovery Communications Discovery Communications [Member] Represents information pertaining to Discovery Communications, Inc., a related party of the entity. Divestiture [Abstract] Divestiture Divestitures Divestitures [Line Items] Document and Entity Information Earnings per share Earnings Per Share [Line Items] Represents the effect of stock conversion on diluted earnings per share due to shares exchanged under the business combination. Effect of Stock Conversion on Earnings Per Share Diluted Effect of stock conversion on diluted earnings per share (in dollars per share) Represents the equity instruments issued to persons other than employees and directors. Equity instruments issued to persons other than employees and directors Equity Instruments Issued to Persons Other than Employees and Directors [Member] Equity Method Investment, Purchase Price from Sale Exercise price purchase of additional interest by parties The amount of the purchase price pertaining to the sale of an equity method investment. Sale of ownership interest in GSN (as a percent) Equity Method Investment Sale of Ownership Interest Percentage Represents the percentage of ownership interest in an equity method investment relinquished in a sale transaction. Equity Method Investment Percentage of Additional Shares Required to be Purchased by Equity Partner Right under Agreement Represents the percentage of additional equity interest required to be purchased by the equity partner if the reporting entity exercises the right in the agreement. Percentage of additional equity interest required to be purchased by equity partner under the agreement Equity Method Investment Percentage of Additional Shares Required to be Sold to Equity Partner Right under Agreement Represents the percentage of additional equity interest required to be sold by the reporting entity to the equity partner in the reporting entity does not exercise the right under the agreement. Percentage of equity interest required to be sold to the equity partner under the agreement Equity Method Investment, Realized Gain (Loss) on Disposal, Net of Tax Represents the amount of gain (loss) arising from the disposal of an equity method investment, net of tax. Gain on sale of equity method investment, after tax Accounting Changes and Error Corrections [Text Block] Change in Accounting Estimate Divestitures Equity Method Investments Divestitures [Text Block] Divestitures The entire disclosure for divestitures of equity method investments, including sale price and gain or loss on sale. Represents the minimum foreign currency exchange rate in the parallel exchange process. Exchange Rate in Parallel Exchange Process, Minimum Minimum exchange rate in parallel exchange process (in bolivars fuerte per U.S. dollar) Exchange Rate in Parallel Exchange Process, Maximum Maximum exchange rate in parallel exchange process (in bolivars fuerte per U.S. dollar) Represents the maximum foreign currency exchange rate in the parallel exchange process. Represents the foreign currency exchange rate in the parallel exchange process. Exchange Rate in Parallel Exchange Process Exchange rate in parallel exchange process (in bolivars fuerte per U.S. dollar) Extinguishment of Debt Reacquisition Price Reacquisition price of debt extinguished during the period as a percentage of the outstanding principal amount of the debt at the time of its extinguishment. Senior notes repurchased as a percentage of outstanding principal amount Finisar Corporation Case [Member] Finisar Corporation Represents Finisar corporation case, vacated on appeal. Finite Lived and Indefinite Lived Intangible Assets [Line Items] Intangible assets Finite Lived Intangible Assets Amortization Expense, Included in Income (Loss) from Equity Method Investments Amortization of definite lived intangibles in equity earnings Represents the aggregate amount of intangible asset amortization included in the net income (loss) of investee to which the equity method of accounting is applied. Game Show Network, LLC Represents the information pertaining to Game Show Network LLC, an equity method investee of the reporting entity. Game Show Network, L L C [Member] GSN Globo and Other [Member] Represents information pertaining to Globo, a noncontrolling interest holder in a subsidiary of the entity. Also represents other related parties of the entity including equity method investees. Globo and other High Definition [Member] Represents high-definition, or HD. High definition In orbit Satellite Remaining Book Value Remaining book value of specific in-orbit satellite Remaining book value of D10 satellite In Orbit Satellites, Net In-orbit satellites, net book value Net book value of in-orbit satellites, all of which is uninsured. Income (Loss) from Subsidiaries This item represents the entity's equity in income of consolidated subsidiaries. Amounts are eliminated in consolidation. Equity in income of consolidated subsidiaries Income Tax [Abstract] Income Taxes Period for which income tax returns are subject to examination in other state and foreign tax jurisdictions Represents the period for which other state and foreign income tax returns are subject to examination after filing. Income Tax Examination Other State and Foreign Tax Returns Period Subject to Examination Income Tax Reconciliation, Multistate Tax Planning Multistate tax planning Represents the sum of the differences between total income tax expense or benefit as reported in the income statement and the expected income tax expense or benefit computed by applying the domestic federal statutory income tax rates to pre-tax income from continuing operations attributable to multistate tax planning. Income Tax Related Contingencies [Abstract] Income tax matters Change in the redeemable noncontrolling interest Increase (Decrease) in Redeemable Noncontrolling Interest [Roll Forward] Intangible Assets Gross, Excluding Goodwill Intangible assets, gross amount Sum of the carrying amounts of all intangible assets, excluding goodwill, as of the balance sheet date, before accumulated amortization and impairment charges. Intercompany Payments Intercompany payments (funding) Represents the intercompany payments made (funding received) by the entity. Basis of Presentation and Summary of Significant Accounting Policies Investments The entire disclosure for equity method investments and other investments held by the reporting entity during the reporting period. Investments Including Equity Method and Other Disclosure [Text Block] Investments Entity Well-known Seasoned Issuer L E I Plan [Member] Liberty Transaction Represents the Liberty Entertainment Transitional Stock Plan, or the LEI Plan under which the entity is authorized to issue shares, rights or options. Entity Voluntary Filers Liberty Entertainment Inc [Member] Liberty Entertainment, Inc. Represents information pertaining to Liberty Entertainment, Inc., a subsidiary of the reporting entity. Entity Current Reporting Status Accounting Changes, Change in Accounting Estimate and New Accounting Standard Change in Accounting Estimate Liberty Global Liberty Global [Member] Represents information pertaining to Liberty Global Inc., a related party of the entity. Entity Filer Category Accounts Payable and Accrued Liabilities, Current Accounts payable and accrued liabilities Total accounts payable and accrued liabilities Represents information pertaining to Liberty Media and affiliates, related parties of the entity. Liberty Media and Affiliates [Member] Liberty Media and affiliates Entity Public Float Line of Credit Facility Term Term of line of credit facility Represents the term of line of credit facility. Entity Registrant Name Extension in term of line of credit facility Line of Credit Extension Term Represents extension in the term of line of credit facility. Entity Central Index Key Loss Contingency, Damages Awarded before Dismissal of Case Damages award Represents the amount of damages awarded by the jury before dismissal of case by the court of appeals. Amount to be paid into escrow, per new set-top receiver manufactured Represents the amount to be paid into escrow, per new set-top receiver manufactured for use. Loss Contingency Escrow Liability Per New Set Top Receiver Manufactured Loss Contingency, Increase in Damages Awarded before Dismissal of Case Increase in damages awarded Represents increase in damages awarded originally by the jury on further hearing at trial court. Loss Contingency Number of Patents Alleged for Infringement in Litigation Number of patents alleged for Infringement Represents the number of patents alleged for Infringement. Entity Common Stock, Shares Outstanding Loss Contingency Number of Patents Included in Suit for Claims Number of patents included in suit for claims Represents the number of patents included in suit for claims. Loss Contingency, Pre judgment Interest before Dismissal of Case Pre-judgment interest Represents the pre-judgment interest awarded by the trial court. Receivable Type [Axis] Marketable Equity Securities in Gain Position [Member] Represents the marketable equity securities in a gain position. Marketable equity securities in gain position Marketable Equity Securities in Loss Position [Member] Represents the marketable equity securities in a loss position. Marketable equity securities in loss position Marketable Equity Securities [Member] Represents the marketable equity securities in a gain position. Total marketable equity securities Maximum Daily Trading Volume for Securities Available under Alternative to Official Exchange Process Represents the maximum daily trading volume for purchase of securities under an alternative process set for exchange of foreign currency. Maximum daily trading volume for purchase of securities through SITME Maximum Monthly Trading Volume for Securities Available under Alternative to Official Exchange Process Represents the maximum monthly trading volume for purchase of securities under an alternative process set for exchange of foreign currency. Maximum monthly trading volume for purchase of securities through SITME Accounts Payable and Accrued Liabilities Disclosure [Text Block] Accounts Payable and Accrued Liabilities Maximum Percentage of Additional Shares Required to be Sold on Exercise of Call Option Represents the maximum percentage of additional purchase of interest required to be sold by the reporting entity in the event of exercise of a call option by a counterparty. Trailing period of operating results over which the sale price is based New Satellites to be Launched under Contract Number Number of satellites to be launched under new contracts Number of construction and launch satellites contracts News Corporation and Affiliates [Member] News Corporation and affiliates Represents information pertaining to News Corporation and affiliates, related parties of the entity. Accounts Payable and Accrued Liabilities, Current [Abstract] Accounts payable and accrued liabilities Non Qualified Non-qualified stock options or awards are stock options which do not qualify for the special treatment accorded to incentive stock options. These stock options requires the employee to pay a tax on the unrealized profits in the shares bought with the employee stock options at the time of exercise. The company issuing Nonqualified Stock Options (NSOs) receives a tax deduction on those unrealized profits. With qualified incentive stock options, the gain is taxed at the time of sale of the stock as against when the options are exercised. Non Qualified [Member] Noncontrolling Interest Ownership Percentage by Noncontrolling Owners Minimum Portion Required to be Purchased Minimum portion of the non controlling interest ownership percentage in subsidiary required to be purchased Represents the minimum portion of the noncontrolling interest required to be acquired by the reporting entity under a right granted by the no controlling interest. This minimum is disclosed as a percentage of the noncontrolling interest percentage. Nonqualified Plans [Member] Non-Qualified Plans Represents the defined benefit pension and postretirement plans that do not qualify for tax benefits. Number of Votes Per Share of Common Stock Number of votes per share of common stock Represents the number of votes entitled to each share of common stock. Orbital slots Represents orbital slots, an indefinite-lived intangible asset of the entity. Orbital Slots [Member] Other Accrued Taxes Noncurrent Other accrued taxes Represents amount of noncurrent liability as of the balance sheet date for other accrued taxes. Other Comprehensive Income Amortization of Defined Benefit Plan Net Prior Service Cost Credit Recognized in Net Periodic Benefit Cost Adjustment [Abstract] Amortization of amounts resulting from changes in plan provisions recognized as periodic benefit cost Document Fiscal Year Focus Other Comprehensive Income Reclassification Adjustment for Sale of Securities Included in Net Income Net of Tax [Abstract] Reclassification adjustment for net gains recognized during period Document Fiscal Period Focus Other Comprehensive Income Reclassification of Defined Benefit Plans, Net Gain (Loss) Recognized in Net Periodic Benefit Cost, Net of Tax [Abstract] Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost Other Comprehensive Income Unrealized Holding Gain (Loss) on Securities Arising During Period, Net of Tax [Abstract] Unrealized holding gains (losses) on securities Other Other Contingencies [Abstract] Other equity method investment, sold in 2011 Represents the information pertaining to other divestitures of equity method investees by the reporting entity. Other Divestitures [Member] Other Equity Method Investments [Member] Other equity method investments Represents the details pertaining to other entities, in which the entity has an investment in common stock accounted for under the equity method of accounting. Represents the noncurrent portion (due beyond one year or one operating cycle) of other liabilities and deferred credits (expenses incurred at the end of the reporting period but not yet paid) not otherwise defined in the taxonomy. Other Liabilities and Deferred Credits Noncurrent Other Pegasus Development Corporation and Personalized Media Communications L L C [Member] Pegasus Development Corporation and Personalized Media Communications L.L.C Represents information pertaining to litigation filed against Pegasus Development Corporation and Personalized Media Communications L.L.C. Period over which Commissions Paid for Customer Acquisitions are Earned Period over which commissions for customer acquisitions are earned by retailer or dealer Represents the period during which commissions are earned by the retailer or dealer for customer acquisitions. Maximum Contract Period for Subscribers under Multiple Deliverable Revenue Arrangements Represents the maximum contract period for the entity's subscribers under multiple-deliverable revenue arrangements. Maximum contract period for subscribers under multiple-deliverable revenue arrangements Persons Not Employees or Directors [Member] Persons Other Than Employees And Directors Individuals who are currently not an employee or director. Preferential Exchange Rate Eliminated by Foreign Government Represents the preferential foreign currency exchange rate which was available for certain activities, eliminated by a foreign government. Preferential exchange rate eliminated by Venezuelan government (in bolivars fuerte per U.S. dollar) Legal Entity [Axis] Prepayments Prior to Launch of Satellite and Commencement of Lease Represents the prepayments prior to the launch of the satellites and commencement of the lease included in cash paid for satellites in the consolidated statements of cash flows. Prepayments related to capital lease Document Type Patent infringement claims Represents patent infringement claims settled in previous period. Previous Period Patent Infringement Claims [Member] Principal Repayments of Collar Loan Represents the principal repayments of Collar loans. Principal Repayments of Collar Loan Proceeds from Legal Settlements Recorded as Interest Income Cash received for the settlement of litigation recorded as interest income Cash received for the settlement of litigation during the current period and recorded as interest income. Cash received for the settlement of litigation during the current period and recorded as reduction to general and administrative expenses. Proceeds from Legal Settlements Recorded as Reduction to General and Administrative Expenses Cash received for the settlement of litigation recorded as a reduction to general and administrative expenses Accounts Receivable, Net, Current Accounts receivable, net Accounts receivable, net Proceeds from Return of Capital from Subsidiary The cash inflow associated with the return of capital from a subsidiary. Return of capital from subsidiary Programming Costs Current Programming costs Represents the carrying amount as of the balance sheet date of accrued costs related to subscriber programming. Used to reflect the current portion of the liabilities (due within one year or within the normal operating cycle if longer). Programming costs Represents the carrying amount as of the balance sheet date of programming costs. Used to reflect the noncurrent portion of the liabilities. Programming Costs Noncurrent Property and Equipment [Member] Property and equipment Represents the property and equipment owned by an entity. Property and income taxes Property and Income Taxes Payable Current Represents the carrying amount as of the balance sheet date of accrued property and income taxes. Used to reflect the current portion of the liabilities (due within one year or within the normal operating cycle if longer). Qualified Plans [Member] Qualified Plans Represents the defined benefit pension and postretirement plans that qualify for tax benefits. Receivables from Telco [Member] Represents the amount due from Telco for goods or services that have been delivered or sold in the normal course of business. Telco Recorded purchase commitments Recorded Unconditional Purchase Obligation [Abstract] Accounts Receivable, Gross, Current Accounts receivable, gross Regional sports networks Represents the information pertaining to regional sports networks in which the reporting entity operates. Regional Sports Networks [Member] Related Party Percentage of Voting Interest Held by Former Chairman Represents the voting interest, as a percent, held by the former Chairman of the Board of Directors of the reporting entity. Voting interest held by Chairman prior to completion of transaction (as a percent) Represents the number of class A common stock shares issued for each share of class B common stock exchanged, before consideration of conversion premium. Related Party Transaction, Stock Exchange Common Class A Shares Issued for Each Common Class B Share Exchanged Number of shares of Class A common stock issued in exchange for each share of Class B common stock Repatriation Charges in Parallel Exchange Process Represents the repatriation charges incurred in connection with exchange of foreign currency in parallel exchange process. Repatriation charge in connection with exchange of accumulated cash Repayment of Portion of Collar Loan to Settle Equity Collars Payments to settle a portion of the equity collars Represents the portion of Collar loan repayments relating to the settlement of the equity collars. Sales Tax [Policy Text Block] Disclosure of accounting policy for sales taxes assessed by governmental entities on revenue producing transactions. Sales Taxes Satellite [Member] Satellite Represents the satellites currently being constructed and those that have been successfully launched. These assets are held by the entity for the use of broadcasting DIRECTV service, for lease by others, or for utilization as a spare. Satellite Rights [Abstract] Satellite rights Satellite Rights [Member] Satellite rights Represents the satellite rights, a finite-lived intangible asset of the entity. Satellites Accumulated Depreciation Less: Accumulated depreciation The cumulative amount of depreciation related to satellites that has been recognized in the income statement. Satellites and Property and Equipment, Net Net Property & Satellites Represents the carrying value of property and equipment, net, and satellites, net. Satellites Gross Satellites, total Gross amount, as on the balance sheet date, capitalized for satellites currently being constructed and those that have been successfully launched, which include the costs of construction, launch, launch insurance, incentive obligations and related capitalized interest. These assets are held by the entity for the use in the broadcast of DIRECTV service, for lease by others, or for utilization as a spare. Satellites [Member] Satellites Represents the satellites which does not include satellites under construction. Satellites, Net The amounts capitalized for satellites currently being constructed and those that have been successfully launched, which include the costs of construction, launch, launch insurance, incentive obligations and related capitalized interest. These assets are held by us for the use in the broadcast of DIRECTV service, for lease by others, or for utilization as a spare. These assets are expected to provide economic benefit for more than one year, and are recorded at net of accumulated depreciation. Satellites, net Satellites, net Satellites Type [Axis] Represents satellites of the entity by type. Satellites Type [Domain] Listing of satellites of the entity by type. Accounts Payable, Current Accounts payable Tabular disclosure of amounts due to and due from related parties. Schedule of Accounts Receivable from and Accounts Payable to Related Parties [Table Text Block] Schedule of accounts receivable from and accounts payable to related parties Accounts, Notes, Loans and Financing Receivable [Line Items] Accounts Receivable Schedule of Assumptions Used for Benefit Obligation [Table Text Block] Schedule of weighted-average assumptions used to determine benefit obligations Tabular disclosure of the assumptions used to determine for pension plans and/or other employee benefit plans the benefit obligation, including assumed discount rates, rate increase in compensation increase, and expected long-term rates of return on plan assets. Schedule of Assumptions Used for Net Periodic Benefit Cost [Table Text Block] Schedule of weighted-average assumptions used to determine net periodic benefit cost Tabular disclosure of the assumptions used to determine for pension plans and/or other employee benefit plans the net benefit cost, including assumed discount rates, rate increase in compensation increase, and expected long-term rates of return on plan assets. Schedule of Calculation of Premium in Business Acquisition [Table Text Block] Schedule of the calculation of the premium Tabular disclosure of the calculation of the premium in a business combination. Schedule of Capitalized Subscriber Leased Equipment [Table Text Block] Schedule of capitalized subscriber leased equipment Tabular disclosure of set-top receivers capitalized and depreciation expense recorded under the entity's lease program. Schedule reflecting each material business divestiture completed during the period. Schedule of Divestitures [Table] Schedule of Earnings Per Share, by Common Class [Table] A schedule of entity's earnings per share, by class of common stock. Schedule of Finite Lived and Indefinite Lived Intangible Assets by Major Class [Table] Disclosure of the carrying value of amortizable and nonamortizable intangibles assets, in total and by major class. A major class is composed of intangible assets that can be grouped together because they are similar, either by their nature or by their use in the operations of the company. Schedule of Finite Lived and Indefinite Lived Intangible Assets by Major Class [Table Text Block] Schedule of intangible assets, net Tabular disclosure of the carrying value of finite-lived and indefinite-lived intangible assets, excluding goodwill, in total and by major class. A major class is composed of intangible assets that can be grouped together because they are similar, either by their nature or by their use in the operations of the company. Schedule of equity in earnings and losses of investments accounted for under the equity method of accounting Tabular disclosure of the entity's proportionate share for the period of the net income (loss) of its investee (such as unconsolidated subsidiaries and joint ventures) to which the equity method of accounting is applied. Schedule of Income (Loss) from Equity Method Investments [Table Text Block] Schedule of Net Funded Status and Amounts Recognized in Balance Sheet and Accumulated Other Comprehensive Income [Table Text Block] Schedule of components of pension benefit obligation and the other postretirement benefit obligation including amounts recognized in the consolidated balance sheets Tabular disclosure of net funded status; amounts recognized in the balance sheet, showing separately the assets and current and noncurrent liabilities (if applicable) recognized; and net gain (loss) and net prior service cost or credit recognized in other comprehensive income (loss) for the period for pension plans and/or other employee benefit plans. Schedule of sales and purchase transactions with related parties Schedule of Sales to and Purchases from Related Parties [Table Text Block] Tabular disclosure of sales and purchase transactions during the period with related parties. Tabular disclosure of information related to the issuance of senior notes by the reporting entity in transactions occurring on the date closest to the reporting date in relation to dates of other transactions. Schedule of Senior notes issued on 8 March 2012 Schedule of Senior Notes Issued, Transactions Closest to Reporting Date [Table Text Block] Schedule of Senior Notes Issued, Transactions Third Closest to Reporting Date [Table Text Block] Tabular disclosure of information related to the issuance of senior notes by the reporting entity in transactions occurring on the date third closest to the reporting date in relation to dates of other transactions. Schedule of Senior notes issued on 17 August 2010 Schedule of Senior Notes Issued, Transactions Second Closest to Reporting Date [Table Text Block] Tabular disclosure of information related to the issuance of senior notes by the reporting entity in transactions occurring on the date second closest to the reporting date in relation to dates of other transactions. Schedule of Senior notes issued on 10 March 2011 Schedule of Senior Notes Issued, Transactions Fourth Closest to Reporting Date [Table Text Block] Tabular disclosure of information related to the issuance of senior notes by the reporting entity in transactions occurring on the date fourth closest to the reporting date in relation to dates of other transactions. Schedule of Senior notes issued on 11 March 2010 Schedule of Share Based Compensation Arrangement by Share Based Tax Status, Award Type [Axis] Pertinent data describing and reflecting required disclosures pertaining to the tax status of an equity-based compensation arrangement, by type. Schedule of Share Based Payment Award, Weighted Average Fair Value Valuation Assumptions [Table Text Block] Schedule of weighted average fair values for stock-based awards assumed along with assumptions used in the fair value calculations Tabular disclosure of the significant assumptions used during the year to estimate the fair value of equity-based awards, including, but not limited to: (a) average estimated fair value per equity instrument assumed, (b) average exercise price per equity instrument assumed, (c) expected stock volatility (d) range of risk free interest rates and (e) range of expected option lives. Schedule of Subsidiary and Equity Method Investee [Table] Disclosure of the information related to subsidiary and equity method investee of the reporting entity. Schedule of Unrecognized Compensation Expense Recognized by Year [Axis] Pertinent data describing and reflecting required disclosures pertaining to the recognition of unrecognized compensation expense by year of recognition. Segment reporting, operating profit before depreciation and amortization. Operating profit before depreciation and amortization Operating Profit (Loss) Before Depreciation and Amortization Segment Reporting, Operating Profit before Depreciation and Amortization Senior notes 3.125% due 2016 Senior notes 3.125 Percent Due 2016 [Member] Represents 3.125 percent senior notes, which are due in 2016. Senior notes 3.500% due 2016 Represents 3.500 percent senior notes, which are due in 2016. Senior notes 3.500 Percent Due 2016 [Member] Senior notes 3.550% due 2015 Represents 3.550 percent senior notes, which are due in 2015. Senior notes 3.550 Percent Due 2015 [Member] Represents 4.600 percent senior notes, which are due in 2021. Senior notes 4.600 Percent Due 2021 [Member] Senior notes 4.600% due 2021 Senior notes 4.750% due 2014 Represents 4.750 percent senior notes, which are due in 2014. Senior notes 4.750 Percent Due 2014 [Member] Senior notes 5.000% due 2021 Represents 5.000 percent senior notes, which are due in 2021. Senior notes 5.000 Percent Due 2021 [Member] Represents 5.200 percent senior notes, which are due in 2020. Senior notes 5.200 Percent due 2020 [Member] Senior notes 5.200% Due 2020 Senior notes 5.875% due 2019 Represents 5.875 percent senior notes, which are due in 2019. Senior notes 5.875 Percent Due 2019 [Member] Senior notes 6.000% due 2040 Represents 6.000 percent senior notes, which are due in 2040. Senior notes 6.000 Percent Due 2040 [Member] Senior notes 6.350% due 2040 Represents 6.350 percent senior notes, which are due in 2040. Senior notes 6.350 Percent Due 2040 [Member] Senior notes 6.375% due 2015 Represents 6.375 percent senior notes, which are due in 2015. Senior notes 6.375 Percent Due 2015 [Member] Senior Notes 5.150 Percent Due in 2042 [Member] Senior notes 5.150% due 2042 Represents 5.150 percent senior notes, which are due in 2042. Senior Notes 3.800 Percent Due in 2022 [Member] Senior notes 3.800% due 2022 Represents 3.800 percent senior notes, which are due in 2022. Senior Notes 2.400 Percent Due in 2017 [Member] Senior notes 2.400% due 2017 Represents 2.400 percent senior notes, which are due in 2017. Senior notes 6.375% due 2041 Represents 6.375 percent senior notes, which are due in 2041. Senior notes 6.375 Percent Due 2041 [Member] Senior notes 7.625% due 2016 Represents 7.625 percent senior notes, which are due in 2016. Senior notes 7.625 Percent Due 2016 [Member] Senior Note 8.375 Percent Due in 2013 [Member] Senior notes 8.375% Represents the 8.375% Senior notes, which are due in 2013. Share Based Compensation Arrangement by Share Based Payment Award, Exercises in Period, Total Intrinsic Value Intrinsic value of awards assumed which were exercised Represents intrinsic value of awards assumed under the plan which were exercised during the period. Share Based Compensation Arrangement by Share Based Payment Award, Fair Value Assumptions Average Estimated Fair Value Per Equity Instrument Estimated fair value (in dollars per share) Represents the average estimated fair value per equity instrument assumed under the plan. Share Based Compensation Arrangement by Share Based Payment Award, Fair Value Assumptions, Average Exercise Price Per Equity Instrument Average exercise price per equity instrument assumed (in dollars per share) Represents the average exercise price per equity instrument assumed under the plan Share Based Compensation Arrangement by Share Based Payment Award, Options, Aggregate Intrinsic Value [Abstract] Aggregate Intrinsic Value Share Based Compensation Arrangement by Share Based Payment Award, Options, Weighted Average Remaining Contractual Term [Abstract] Weighted-Average Remaining Contractual Term Share Based Compensation Arrangement by Share Based Payment Award, Other than Options Expected to Vest Outstanding Number Represents the number of non-vested equity-based payment instruments, excluding stock (or unit) options outstanding expected to vest as of the balance sheet date. Vested and expected to vest at the end of year (in shares) Share Based Compensation Arrangement by Share Based Payment Award, Other than Options Expected to Vest Outstanding Weighted Average Grant Date Fair Value Represents the weighted-average grant date fair value of non-vested equity-based payment instruments, excluding stock (or unit) options outstanding expected to vest as of the balance sheet date. Expected to vest weighted-average grant date fair value (in dollars per share) Represents the number of shares reserved for issuance under stock plans that validly exist and are outstanding as of the balance sheet date. Share Based Compensation Arrangement by Share Based Payment Award Outstanding, Number Awards outstanding (in shares) Share Based Compensation Arrangements by Share Based Payment Award Tax Status Type [Domain] Tax status of equity-based compensation award types, including multiple equity-based payment arrangements. Information regarding shares repurchased and retired Shares Repurchased and Retired [Abstract] Sky Brasil [Member] Sky Brasil Represents the information pertaining to Sky Brasil Servicos Ltda, a subsidiary of the reporting entity. Sky Brasil Sky Mexico Represents the information pertaining to Innova, S. de R.L. de C.V. or Sky Mexico, an equity method investee of the reporting entity. Sky Mexico [Member] Represents the information pertaining to Sports Networks, Eliminations and Other reporting segments of the entity. Sports Networks, Eliminations and Other [Member] Sports Networks, Eliminations and Other Standard definition Standard Definition [Member] Represents standard definition. Stock Conversion Inducement, Effect on Diluted Earnings Per Share Expressed in per share terms, the dollar amount of the decrease in diluted earnings per each share of Class A common stock as a result of conversion inducement. Reduction in diluted earnings per Class A share as a result of conversion inducement (in dollars per share) Stock Options & Stock Appreciation Rights Represents the stock options and stock appreciation rights awarded by entity. Stock Options and Stock Appreciation Rights [Member] Subscriber acquisition costs include the cost of set-top receivers and other equipment, commissions we pay to national retailers, independent satellite television retailers, dealers and telcos, and the cost of installation, advertising, marketing and customer call centre expenses associated with the acquisition of new subscribers. Subscriber acquisition costs Subscriber Acquisition Costs Subscriber Acquisition Costs [Abstract] Subscriber Acquisition Costs Subscriber Acquisition Costs Subscriber Acquisition Costs [Policy Text Block] Disclosure of the entity's accounting policy for subscriber acquisition costs. Subscriber Acquisitions [Member] Subscriber acquisitions Represents information pertaining to subscriber acquisitions. Subscriber Leased Set Top Receivers [Member] Subscriber leased equipment - set-top receivers Represents the subscriber leased set-top receivers. Subscriber leased set-top equipment Subscriber Receivable [Member] Subscriber Represents the amount due from subscribers for goods or services that have been delivered or sold in the normal course of business. Subscriber related Represents the subscriber related, a finite-lived intangible asset of the entity. Subscriber Related [Member] Subscriber service expenses include the costs of customer call centres, billing, remittance processing and certain home services expenses, such as in-home repair costs. Subscriber service expenses Subscriber Service Expenses Subscriber Type [Axis] Represents information by subscriber type. Subscriber Type [Domain] Listing of subscribers by type. Subsidiary and Equity Method Investee [Line Items] Ownership interests Shares exchanged for ownership interest Subsidiary Stock Redeemed During Period Shares Number of the subsidiary stock bought back by the entity at the redemption price. Technology Type [Axis] Represents information by technology type. Technology Type [Domain] Listing of technology by type. Senior Secured Credit Facilities Term Loans A and B Represents the term loans. Term Loan [Member] Translation Adjustment, Change in Functional Currency, before Tax Represents the before tax cumulative translation adjustment resulting from changing the functional currency from the reporting currency to a foreign currency. Adjustment is reported in other comprehensive income and is not included in determining net income. Pre-tax Amount Cumulative effect of change in functional currency at Sky Brazil Translation Adjustment Change in Functional Currency Net of Tax Cumulative effect of change in functional currency at Sky Brazil Represents the after tax cumulative translation adjustment resulting from changing the functional currency from the reporting currency to a foreign currency. Adjustment is reported in other comprehensive income and is not included in determining net income. Cumulative effect of change in functional currency at Sky Brazil, net of tax Translation Adjustment, Change in Functional Currency, Net of Tax [Abstract] Cumulative effect of change in functional currency at Sky Brazil Translation Adjustment, Change in Functional Currency, Tax Effect Represents the tax effect of the cumulative translation adjustment resulting from changing the functional currency from the reporting currency to a foreign currency. Adjustment is reported in other comprehensive income and is not included in determining net income. Tax (Benefit) Expense Unrecognized Compensation Expense Recognized by Year [Domain] Recognition of unrecognized compensation expense by the year of recognition. Upgrade and retention costs are associated with upgrade efforts for existing subscribers that will result in higher average monthly revenue per subscriber, or ARPU, and lower churn. Upgrade efforts include subscriber equipment upgrade programs for DVR, HD and HD DVR receivers and local channels and similar initiatives. Retention costs also include the costs of installing and providing hardware under the movers program for subscribers relocating to a new residence. Upgrade and retention costs Upgrade and Retention Costs Upgrade and Retention Costs [Policy Text Block] Upgrade and Retention Costs Disclosure of the entity's accounting policy for upgrade and retention costs. Upgrade and Retention [Member] Upgrade and retention Represents information pertaining to upgrade and retention. Violations of State Consumer Protection Statutes [Member] State consumer protection statutes Represents litigation regarding alleged violations of state consumer protection statutes. Weighted Average Implicit Exchange Rate under Alternative to Official Exchange Process Represents the weighted average foreign currency exchange rate under an alternative process set for exchange of foreign currency. Weighted average implicit exchange rate of SITME (in bolivars fuerte per U.S. dollar) Write Off of Unamortized Debt Discount (Premium) Write-off of the unamortized amount of debt premium or discount that was originally recognized at the issuance of the debt instrument. Write-off of unamortized discount Extinguishment of Debt Reacquisition Premium Premium paid for redemption of debt Premium expense paid for redemption of debt during the period. UNITED STATES United States Additional Litigation Deposit Required by Law, Percentage Additional percentage added onto required litigation deposit, as required by law. Additional percentage added onto required litigation deposit, as required by Brazilian law Represents information pertaining to The DIRECTV Group, Inc. DIRECTV Group The D I R E C T V Group Inc [Member] Deferred Tax Liability Not Recognized Undistributed Foreign Earnings [Abstract] Undistributed earnings of foreign subsidiaries deemed permanently reinvested Intercompany Receivables Intercompany receivables Represents the amount receivable from the entity's subsidiaries. Liabilities of Affiliates, Subsidiaries and Holding Companies Intercompany liabilities Represents the intercompany liabilities of affiliates, subsidiaries and holding company. Venezuela VENEZUELA Pan Americana [Member] PanAmericana Represents the information pertaining to the PanAmericana reporting segment of the entity. Accumulated Other Comprehensive Income (Loss), Net of Tax [Roll Forward] Changes in accumulated other comprehensive loss Schedule of Condensed Consolidating Statements of Comprehensive Income [Table Text Block] Tabular disclosure of the condensed consolidating statements of comprehensive income. Schedule of Condensed Consolidating Statement of Comprehensive Income Other Investment [Member] Other investment Representations information pertaining to other investment. Investment in Subsidiaries Investment in subsidiaries The carrying amount as of the balance sheet date of investments in subsidiaries, which are eliminated for the purpose of consolidation. Other Comprehensive Income (Loss) Reclassification Adjustment on Derivatives Included in Net Income Net of Tax [Abstract] Reclassification adjustments included in net income Senior Notes 4.750% Due in 2042 [Member] 4.750% pounds sterling denominated senior notes due in 2042 Represents 4.750 percent pounds sterling denominated senior notes, which are due in 2042. Revolving Credit Facility and Commercial Paper [Member] Revolving credit facilities and commercial paper program Represents information pertaining to revolving credit facilities and commercial paper program. Line of Credit, Increase in Current Borrowing Capacity Increase in current borrowing capacity Amount of additional borrowing capacity under the credit facility considering any current restrictions on the amount that could be borrowed (for example, borrowings may be limited by the amount of current assets), but without considering any amounts currently outstanding under the facility. Senior Notes 4.375 Percent Due in 2029 [Member] Senior notes 4.375% due 2029 Represents 4.375 percent senior notes, which are due in 2029. Previous Revolving Credit Facility [Member] Previous Revolving Credit Facility The revolving credit facility that was terminated on September 28, 2012. Revolving Credit Facility One [Member] Revolving Credit Facility, Series One Represents the information pertaining to revolving credit facility series one. Revolving Credit Facility Two [Member] Revolving Credit Facility, Series Two Represents the information pertaining to revolving credit facility series two. Line of Credit Facility Increase Additional Borrowings and Decrease Repayments Amount borrowed and repaid Represents the amount borrowed and repaid under the revolving credit facility during the period. Derivative Instruments after Tax Gain (Loss) Reclassified from Accumulated OCI into Income Effective Portion Net After tax gain (loss) reclassified from accumulated other comprehensive loss into other, net The effective portion of after-tax gain (loss) reclassified from accumulated other comprehensive income into income on derivative instruments designated and qualifying as hedging instruments. Line of Credit Additional Borrowing Capacity Additional borrowing capacity Amount of additional borrowing capacity available under the credit facility that can be added at the borrower's option. Tax Benefits Recognition Basis for Uncertain Tax Position Likelihood of Realization Percentage Percentage of likelihood of realization that the tax position must exceed in order for the amount to be recognized The threshold percentage of likelihood of realization for the tax position, in order for the amount to be recognized in the financial statements. Sky Brazil [Member] Sky Brazil Represents the information pertaining to Sky Brasil Servicos Ltda, a subsidiary of the reporting entity. United States Large Cap [Member] U.S. large-cap Represents the investment in U.S. large-cap. United States Mid Cap Growth [Member] U.S. mid-cap growth Represents the investment in U.S. mid-cap growth. International Large Cap Value [Member] International large-cap value Represents the investment in international large-cap value. Emerging Markets Growth [Member] Emerging markets growth Represents the investment in emerging markets growth. Domestic Real Estate [Member] Domestic real estate Represents the investment in domestic real estate. Stable Value [Member] Fixed income Represents the investment in stable value funds. Represents the investment in partnership and joint venture interest. Partnership and Joint Venture Interests [Member] Partnership and joint venture interests Insurance Contracts at Contract Value [Member] Insurance contracts at contract value Represents the investment in insurance contracts at contract value. Schedule of Capital Expenditures and Segment Assets [Table Text Block] Schedule of capital expenditures and segment assets Tabular disclosure of capital expenditures and segment assets of reporting segment of the entity. Equity Method Investments Number of Installments for Payment of Purchase Price Number of equal installments Represents the number of installments over which the entity has an option to pay the purchase price of equity method investment. Equity Method Investments Installment Amount of Purchase Price Installment amount for payment of purchase price Represents the amount of each installment to pay the purchase price of equity method investment. Equity Method Investment, Interest Rate, Purchase Price Interest payable (as a percent) Represents the interest rate on the unpaid amount of the purchase price of an equity method investment. Payments to Acquire Cost Method Investments Represents the cash outflow associated with the purchase of cost method investments. Payments to acquire cost method investments Expense Recognized in 2013 [Member] Unrecognized Expense Expected to be Recognized In 2013 The amount of unrecognized compensation expense that is recognized in 2013. Expense Recognized in 2014 [Member] Unrecognized Expense Expected to be Recognized In 2014 The amount of unrecognized compensation expense that is recognized in 2014. Expense Recognized in 2015 [Member] Unrecognized Expense Expected to be Recognized In 2015 The amount of unrecognized compensation expense that is recognized in 2015. Senior Notes 1.750 Percent Due in 2018 [Member] 1.750% senior notes due in 2018 Represents the senior notes that bear interest at 1.750 percent and are due in 2018. Short Term Debt Weighted Average Maturity Period Weighted average maturity period Represents the weighted average maturity period of short term debt. Accumulated Other Comprehensive Income (Loss), Foreign Currency Translation Adjustment, Net of Tax Accumulated foreign currency translation adjustments Accumulated Defined Benefit Plans Adjustment [Member] Defined Benefit Plans Accumulated Net Unrealized Investment Gain (Loss) [Member] Unrealized Gains (Losses) on Securities Accumulated Other Comprehensive Income (Loss) [Member] Accumulated Other Comprehensive Loss Accumulated Other Comprehensive Income (Loss), Pension and Other Postretirement Benefit Plans, Net of Tax Accumulated other comprehensive loss Total Accumulated Other Comprehensive Income (Loss), Net of Tax [Abstract] Accumulated other comprehensive gain (loss) Accumulated Other Comprehensive Income (Loss), Available-for-sale Securities Adjustment, Net of Tax Accumulated unrealized gains on securities, net of taxes Accumulated Depreciation, Depletion and Amortization, Property, Plant, and Equipment Less: Accumulated depreciation Accumulated Other Comprehensive Income (Loss), Net of Tax Accumulated other comprehensive loss Balance at the beginning of the period Balance at the end of the period Accumulated Translation Adjustment [Member] Foreign Currency Items Acquired Finite-lived Intangible Assets, Weighted Average Useful Life Weighted-average useful life of definite lived intangible assets assigned Acquired Finite-lived Intangible Asset, Amount Amount capitalized for satellite rights Definite lived intangible assets assigned Adjustments to Additional Paid in Capital, Reallocation of Noncontrolling Interest Acquisition of noncontrolling interest, including related deferred income taxes Net deferred tax assets related to acquisition Adjustments to Reconcile Net Income (Loss) to Cash Provided by (Used in) Operating Activities [Abstract] Adjustments to reconcile income from continuing operations to net cash provided by operating activities: Adjustments to Additional Paid in Capital, Income Tax Benefit from Share-based Compensation Tax benefit from share-based compensation Adjustments to Additional Paid in Capital, Share-based Compensation, Requisite Service Period Recognition Share-based compensation expense Advertising Expense Advertising expense Advertising Costs, Policy [Policy Text Block] Advertising Costs Allowance for Doubtful Accounts Receivable, Current Less: Allowance for doubtful accounts Accounts receivable, allowances (in dollars) Allowance for Doubtful Accounts [Member] Allowance for doubtful accounts deducted from accounts receivable Amortization of Intangible Assets Amortization expense of intangible assets Amortization costs Antidilutive Securities Excluded from Computation of Earnings Per Share, Amount Common stock options excluded (in shares) Asset under Construction [Member] Satellites under construction Assets, Current [Abstract] Current assets Assets [Abstract] ASSETS Assets, Current Total current assets Total current assets Assets Total assets Segment Assets Available-for-sale Securities, Fair Value Disclosure Marketable equity securities, carried at fair value Available-for-sale Equity Securities, Amortized Cost Basis Cost Basis Available-for-sale Securities, Gross Unrealized Gain (Loss) Accumulated Unrealized Gain (Loss), Net of Taxes Available-for-sale Securities [Table Text Block] Current fair value and accumulated unrealized gains, net of taxes of marketable equity securities Available-for-sale Securities, Gross Realized Gains (Losses), Sale Proceeds Cash proceeds from sale of securities Available-for-sale Securities, Gross Realized Gains Gain on sale of securities, pre-tax Basis of Presentation and Significant Accounting Policies [Text Block] Basis of Presentation and Summary of Significant Accounting Policies Business Acquisition [Axis] Business Acquisition, Purchase Price Allocation, Current Assets Total current assets Business Acquisition, Pro Forma Information [Abstract] Unaudited pro forma information Business Acquisition, Purchase Price Allocation, Goodwill Amount Goodwill Business Acquisition, Percentage of Voting Interests Acquired Percentage of interest acquired Business Acquisition, Pro Forma Revenue Revenues Business Acquisition, Acquiree [Domain] Business Acquisition, Acquiree [Domain] Business Acquisition, Pro Forma Information [Table Text Block] Schedule of pro forma information Business Acquisition, Purchase Price Allocation, Assets Acquired (Liabilities Assumed), Net Net liabilities assumed Business Acquisition, Purchase Price Allocation [Abstract] Final allocation of the purchase price Business Acquisition, Purchase Price Allocation, Current Assets, Cash and Cash Equivalents Assets acquired, cash and cash equivalents (in dollars) Business Acquisition, Pro Forma Net Income (Loss) Net income attributable to DIRECTV Business Acquisition, Purchase Price Allocation, Liabilities Assumed Total liabilities assumed Acquisition Business Acquisition, Purchase Price Allocation, Current Liabilities Total current liabilities Business Acquisition, Purchase Price Allocation, Assets Acquired Total assets acquired Business Acquisition, Cost of Acquired Entity, Transaction Costs Transaction cost Business Acquisition [Line Items] Acquisitions Business Acquisition, Purchase Price Allocation, Other Noncurrent Assets Investments and other assets Business Acquisition, Purchase Price Allocation, Property, Plant and Equipment Property and equipment Business Combination Disclosure [Text Block] Acquisition Business Acquisition, Purchase Price Allocation, Other Noncurrent Liabilities Other liabilities Cross-Currency Swaps Cross Currency Interest Rate Contract [Member] Capital Leases, Future Minimum Payments Due in Two Years 2014 Capital Leases, Future Minimum Payments Due in Five Years 2017 Capital Leases, Future Minimum Payments, Present Value of Net Minimum Payments Present value of net minimum lease payments Capital Leases, Balance Sheet, Assets by Major Class, Net Assets held under capital lease, net Capital Lease Obligations [Abstract] Commitments Capital Leases, Future Minimum Payments Due Total minimum lease payments Capital Leases, Lessee Balance Sheet, Assets by Major Class, Accumulated Depreciation Assets held under capital lease, accumulated amortization Capital Leased Assets, Gross Assets held under capital lease, gross Subscriber leased equipment capitalized Capital Leases, Income Statement, Interest Expense Interest paid on capital leases Capital Leases, Future Minimum Payments Due in Three Years 2015 Capital Leases, Future Minimum Payments Due, Next Twelve Months 2013 Capital Leases, Future Minimum Payments Due Thereafter Thereafter Capital Leases, Future Minimum Payments Due, Fiscal Year Maturity [Abstract] Future minimum capital lease payments Capital Leases in Financial Statements of Lessee Disclosure [Text Block] Capital Lease Obligations Capital Leases, Future Minimum Payments Due in Four Years 2016 Capital Leased Assets [Line Items] Assets held under capital lease Capital Lease Obligations, Noncurrent Obligations under capital leases Capital Leases, Future Minimum Payments, Interest Included in Payments Less: Amount representing interest Capitalized Computer Software, Net Unamortized capitalized software costs Capitalized Computer Software, Amortization Depreciation of capitalized software costs Cash [Member] Cash and Cash Equivalents, at Carrying Value Cash and cash equivalents at beginning of the year Cash and cash equivalents at end of the year Cash and cash equivalents Cash and Cash Equivalents, Policy [Policy Text Block] Cash and Cash Equivalents Cash Dividends Paid to Parent Company Cash dividend to Parent Net increase (decrease) in cash and cash equivalents Net increase (decrease) in cash and cash equivalents Cash and Cash Equivalents, Period Increase (Decrease) Cash and Cash Equivalents [Abstract] Cash and Cash Equivalents Cash and cash equivalents Cash and Cash Equivalents [Member] Cash flow hedges Cash Flow Hedging [Member] Change in Accounting Estimate [Line Items] Change in Accounting Estimate Change in Accounting Estimate, Type [Domain] Change in Accounting Estimate by Type [Axis] Class of Stock [Line Items] Per share Stockholders' Deficit Class of Stock [Domain] Commercial Paper [Member] Commercial Paper Commercial Paper Borrowings, net of repayments Outstanding borrowing Commitments and Contingencies Disclosure [Text Block] Commitments and Contingencies Commitments and Contingencies Commitments and Contingencies. Commitments and contingencies Common Class A [Member] Class A common stock Class A Common Shares DIRECTV Common Shares Common Stock [Member] Common Stock Common shares Common Stock, Shares, Outstanding Common stock and additional paid-in capital, shares outstanding Common Stock, Shares, Outstanding Beginning balance (in shares) Ending balance (in shares) Common Stock, Including Additional Paid in Capital Common stock and additional paid-in capital-$0.01 par value, 3,950,000,000 and 3,947,000,000 shares authorized, 586,839,817 and 691,306,695 shares issued and outstanding of DIRECTV common stock at December 31, 2012 and December 31, 2011, respectively Capital stock and additional paid-in capital Common Stock, Shares, Issued Common stock and additional paid-in capital, shares issued Common Stock Including Additional Paid in Capital [Member] Common Stock and Additional Paid-In Capital Common Class B [Member] DIRECTV Class B Common Shares Class B common stock Common Stock, Par or Stated Value Per Share Common stock and additional paid-in capital, par value (in dollars per share) Common stock, par value (in dollars per share) Common stock, shares authorized Common Stock, Shares Authorized Common stock and additional paid-in capital, shares authorized Pension and Other Postretirement Benefit Plans Components of Deferred Tax Assets [Abstract] Deferred Tax Assets Components of Deferred Tax Assets and Liabilities [Abstract] Temporary differences and carryforwards that gave rise to deferred tax assets and liabilities Components of Deferred Tax Liabilities [Abstract] Deferred Tax Liabilities Comprehensive Income (Loss), Net of Tax, Attributable to Parent Comprehensive income attributable to DIRECTV Comprehensive Income (Loss), Net of Tax, Attributable to Noncontrolling Interest Less: Comprehensive income attributable to noncontrolling interest Less: Comprehensive income attributable to noncontrolling interests Comprehensive Income (Loss), Net of Tax, Including Portion Attributable to Noncontrolling Interest Comprehensive income Concentration Risk, Credit Risk, Policy [Policy Text Block] Market Concentrations and Credit Risk Condensed Financial Statements [Text Block] Condensed Consolidating Financial Statements Condensed Financial Statements, Captions [Line Items] Condensed Consolidating Financial Statements Consolidation, Eliminations [Member] Eliminations Condensed Consolidating Balance Sheet Consolidation, Policy [Policy Text Block] Principles of Consolidation Construction in Progress [Member] Construction in-progress Contractual Obligation, Fiscal Year Maturity [Abstract] Satellite Commitments payments Conversion of Stock, Shares Converted Exchange of Class B common shares for Class A common shares Malone Transaction, converted (in shares) Conversion of Stock, Shares Issued Malone Transaction, issued (in shares) Exchange of Class B common shares for Class A common shares (in shares) Cost-method Investments, Aggregate Carrying Amount Non-marketable equity securities Costs and Expenses [Abstract] Operating costs and expenses Costs and Expenses Total operating costs and expenses Cross-Currency Swaps Currency Swap [Member] Current State and Local Tax Expense (Benefit) State and local Current Income Tax Expense (Benefit) Total Current Foreign Tax Expense (Benefit) Foreign Current Federal Tax Expense (Benefit) U.S. federal Current Income Tax Expense (Benefit) [Abstract] Current tax expense: Debt Instrument, Description of Variable Rate Basis Senior secured credit facility, basis for variable interest rate Debt Instrument [Line Items] Debt instrument Schedule of Long-term Debt Instruments [Table] Debt Disclosure [Text Block] Debt Debt Debt, Long-term and Short-term, Combined Amount Total debt Total debt Debt Instrument, Basis Spread on Variable Rate Senior secured credit facility, interest rate added to variable base rate (as a percent) Debt Instrument [Axis] Debt Instrument, Face Amount Principal amount Principal amount of senior notes Debt, Policy [Policy Text Block] Debt Issuance Costs Debt Instrument, Name [Domain] Debt Instrument, Unamortized Premium Unamortized bond premium Debt Instrument, Unamortized Discount Unamortized discount Debt Securities [Member] Debt securities Debt Instrument, Interest Rate, Stated Percentage Senior note, interest rate (as a percent) Deferred Tax Liabilities, Prepaid Expenses Prepaid expenses Title of Individual [Axis] Deferred Tax Liabilities, Deferred Expense, Reserves and Accruals Accruals and advances Deferred Tax Assets, State Taxes State taxes Deferred Federal Income Tax Expense (Benefit) U.S. federal Deferred Finance Costs, Gross Debt issuance costs Deferred Income Taxes and Tax Credits Deferred income taxes Deferred Foreign Income Tax Expense (Benefit) Foreign Deferred Tax Liabilities, Gross Total deferred taxes Deferred Income Tax Expense (Benefit) Total Deferred Income Tax Expense (Benefit) [Abstract] Deferred tax expense (benefit): Deferred Tax Assets, Net of Valuation Allowance Total deferred taxes Deferred Tax Assets, Net, Current Deferred income taxes Deferred Revenue and Credits, Current Unearned subscriber revenues and deferred credits Deferred Tax Assets, Gross Subtotal Deferred State and Local Income Tax Expense (Benefit) State and local Deferred Revenue, Noncurrent Deferred credits Deferred Tax Assets, Net, Noncurrent Noncurrent deferred tax assets included in Investment and other assets in the Consolidated Balance Sheets Deferred Tax Assets, Other Other Deferred Tax Assets, Tax Deferred Expense, Reserves and Accruals, Accrued Liabilities Accruals and advances Deferred Tax Assets, Tax Deferred Expense, Compensation and Benefits, Pensions Deferred tax assets Deferred Tax Assets, Valuation Allowance Valuation allowance Deferred Tax Liabilities, Other Other Deferred Tax Liabilities, Net, Noncurrent Deferred income taxes Deferred Tax Liabilities, Property, Plant and Equipment Depreciation, amortization and asset impairment charges Deferred Tax Liabilities, Unrealized Currency Transaction Gains Unrealized foreign exchange gains or losses Deferred Tax Liabilities, Net, Current Current deferred tax liabilities included in Accounts payable and accrued liabilities in the Consolidated Balance Sheets Deferred Tax Liabilities, Investment in Noncontrolled Affiliates Tax basis differences in investments and affiliates Defined Benefit Plan, Actual Return on Plan Assets Actual return on plan assets Defined Benefit Plan, Change in Fair Value of Plan Assets [Roll Forward] Change in Plan Assets Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed Defined Benefit Plan, Accumulated Benefit Obligation Accumulated benefit obligation Defined Benefit Plan, Assumptions Used Calculating Benefit Obligation, Rate of Compensation Increase Rate of compensation increase (as a percent) Defined Benefit Plan, Amortization of Prior Service Cost (Credit) Amount resulting from changes in plan provisions Defined Benefit Plan, Benefits Paid Benefits paid Defined Benefit Plan, Expected Future Benefit Payments, Year Three 2015 Defined Benefit Plan, Assumed Health Care Cost Trend Rates [Abstract] Assumed health care costs trend rates Defined Benefit Plan, Change in Benefit Obligation [Roll Forward] Change in Net Benefit Obligation Defined Benefit Plan, Assumptions Used Calculating Net Periodic Benefit Cost, Rate of Compensation Increase Rate of compensation increase (as a percent) Defined Benefit Plan, Accumulated Other Comprehensive Income Net Gains (Losses), after Tax Unamortized net amount resulting from changes in defined benefit plan experience and actuarial assumptions, net of taxes Defined Benefit Plan, Amortization of Net Prior Service Cost (Credit) Expense resulting from changes in plan provisions Defined Benefit Plan, Target Plan Asset Allocations Range Minimum Minimum target allocation (as a percent) Defined Benefit Plan, Actuarial Gain (Loss) Actuarial (gain) loss Defined Benefit Plan, Estimated Future Employer Contributions [Abstract] Contributions Pension and Other Postretirement Benefit Plans, Amounts that Will be Amortized from Accumulated Other Comprehensive Income (Loss) in Next Fiscal Year [Abstract] Amount amortized from accumulated other comprehensive income into net periodic benefit cost Defined Benefit Plan, Amortization of Net Gains (Losses) Expense resulting from changes in plan experience and actuarial assumptions Defined Benefit Plan, Expected Future Benefit Payments, Year Two 2014 Defined Benefit Plan, Assumptions Used Calculating Net Periodic Benefit Cost, Expected Long-term Return on Assets Expected long-term return on plan assets (as a percent) Defined Benefit Plan, Expected Future Benefit Payments, Year Five 2017 Employer contributions Defined Benefit Plan, Contributions by Employer Defined Benefit Plan, Assumptions Used Calculating Net Periodic Benefit Cost, Discount Rate Discount rate (as a percent) Defined Benefit Plan, Target Plan Asset Allocations Range Maximum Maximum target allocation (as a percent) Defined Benefit Plan, Amounts Recognized in Balance Sheet [Abstract] Amounts recognized in the consolidated balance sheets consist of: Defined Benefit Plan, Expected Future Benefit Payments, Year Four 2016 Defined Benefit Plan, Assets, Target Allocations [Abstract] Target allocation by major asset categories Defined Benefit Plan, Assumptions Used Calculating Benefit Obligation, Discount Rate Discount rate (as a percent) Defined Benefit Plan, Accumulated Other Comprehensive Income Net Prior Service Cost Credit, after Tax Unamortized amount resulting from changes in defined benefit plan provisions, net of taxes Defined Benefit Plan, Expected Future Benefit Payments, Next Twelve Months 2013 Defined Benefit Plan, Amortization of Gains (Losses) Net amount resulting from changes in plan experience and actuarial assumptions Defined Benefit Plan Disclosure [Line Items] Pension and Other Postretirement Benefits Plans Defined Benefit Plan, Contributions by Plan Participants Plan participants' contributions Pension and Other Postretirement Benefit Plans, Accumulated Other Comprehensive Income (Loss), before Tax [Abstract] Amounts recognized in the accumulated other comprehensive loss consist of: Defined Benefit Plan, Benefit Obligation Net benefit obligation at beginning of year Net benefit obligation at end of year Defined Benefit Plan, Expected Future Benefit Payments, Five Fiscal Years Thereafter 2018-2022 Defined Benefit Plan, Weighted Average Assumptions Used in Calculating Benefit Obligation [Abstract] Weighted average assumptions used to determine benefit obligations Defined Benefit Plan, Expected Future Benefit Payments, Fiscal Year Maturity [Abstract] Expected future benefit payments Defined Benefit Plan, Settlements, Benefit Obligation Settlements Defined Benefit Plan, Expected Return on Plan Assets Expected return on plan assets Defined Benefit Plan, Health Care Cost Trend Rate Assumed for Next Fiscal Year Health care cost trend rate (as a percent) Defined Benefit Plan, Year that Rate Reaches Ultimate Trend Rate Year that trend rate reaches the ultimate trend rate Defined Benefit Plan, Settlements, Plan Assets Settlements Defined Benefit Plan, Plans with Benefit Obligations in Excess of Plan Assets [Abstract] Information for pension plans with a projected benefit obligation in excess of plan assets Defined Benefit Plans and Other Postretirement Benefit Plans [Axis] Defined Benefit Plan, Plans with Benefit Obligations in Excess of Plan Assets, Aggregate Benefit Obligation Projected benefit obligation Defined Benefit Plan, Actual Plan Asset Allocations Percentage of plan assets Defined Benefit Plan, Interest Cost Interest cost Interest accrued on benefits earned in prior years Defined Benefit Plan, Weighted Average Assumptions Used in Calculating Net Periodic Benefit Cost [Abstract] Weighted average assumptions used to determine net periodic pension costs Defined Benefit Plan, Fair Value of Plan Assets Fair value of plan assets at beginning of year Fair value of plan assets at end of year Fair value of plan assets Defined Benefit Plan, Net Periodic Benefit Cost Net periodic benefit cost Defined Benefit Plan, Service Cost Service cost Benefits earned during the year Defined Contribution Pension and Other Postretirement Plans Disclosure [Abstract] 401 (k) plans Defined Benefit Plan, Funded Status of Plan Funded status at end of year Defined Benefit Plans and Other Postretirement Benefit Plans [Domain] Defined Contribution Plan, Cost Recognized Employer contributions match Defined Benefit Plan, Plan Amendments Change in plan Defined Benefit Plan, Plans with Benefit Obligations in Excess of Plan Assets, Aggregate Fair Value of Plan Assets Fair value of plan assets Defined Benefit Plan, Net Periodic Benefit Cost [Abstract] Components of net periodic benefit cost Defined Benefit Plan, Pension Plans with Accumulated Benefit Obligations in Excess of Plan Assets [Abstract] Information for pension plans with an accumulated benefit obligation in excess of plan assets Defined Benefit Plan, Pension Plans with Accumulated Benefit Obligations in Excess of Plan Assets, Aggregate Accumulated Benefit Obligation Accumulated benefit obligation Defined Benefit Plan, Pension Plans with Accumulated Benefit Obligations in Excess of Plan Assets, Aggregate Fair Value of Plan Assets Fair value of plan assets Defined Benefit Plan, Estimated Future Employer Contributions in Next Fiscal Year Expected contribution in 2013 Defined Benefit Plan, Ultimate Health Care Cost Trend Rate Rate to which the cost trend rate is assumed to decline (ultimate trend rate, as a percent) Defined Benefit Plan, Purchases, Sales, and Settlements Purchases and sales Defined Benefit Plan, Actual Return on Plan Assets Sold During Period Realized losses Unrealized gains Defined Benefit Plan, Actual Return on Plan Assets Still Held Defined Benefit Plan, Asset Categories [Axis] Depreciation and amortization expense Depreciation and amortization expense Add: Depreciation and amortization expense Depreciation, Depletion and Amortization Depreciation and amortization Depreciation Depreciation expense, including amortization of property and equipment and satellites held under capital leases Depreciation expense-subscriber leased equipment Derivative Instrument Risk [Axis] Derivative financial instruments Derivative [Line Items] Derivative Financial Instruments Derivative Instruments and Hedging Activities Disclosure [Text Block] Derivative [Table] Derivative Financial Instruments Derivative, Loss on Derivative Remeasurement loss Derivative Liability, Fair Value, Gross Liability Equity collar fair value Derivative Instruments, Gain (Loss) Reclassified from Accumulated OCI into Income, Effective Portion, Net Amount reclassified from accumulated other comprehensive loss into other, net Hedging Relationship [Axis] Derivative Contract Type [Domain] Derivatives, Policy [Policy Text Block] Derivative Financial Instruments Dilutive Securities, Effect on Basic Earnings Per Share Dilutive effect of stock options and restricted stock units Disclosure of Compensation Related Costs, Share-based Payments [Text Block] Share-Based Compensation Disclosure of Share-based Compensation Arrangements by Share-based Payment Award [Table Text Block] Schedule of amounts recorded related to share-based compensation Share-Based Compensation Discontinued Operation, Income (Loss) from Discontinued Operation During Phase-out Period, Net of Tax Income from discontinued operations, net of taxes Distribution Rights [Member] Distribution agreements Due from Related Parties, Current Accounts receivable Due to Related Parties, Current Accounts payable Early Repayment of Senior Debt Total repayment of long-term debt, including redemption premium and accrued and unpaid interest Earnings Per Share, Basic [Abstract] Basic EPS Basic earnings attributable to DIRECTV Class A common stockholders per common share (common shares for the period of August 27, 2012 through December 31, 2012): Earnings Per Share, Diluted Net Income (in dollars per share) Earnings per share attributable to DIRECTV (in dollars per share) Diluted earnings attributable to DIRECTV per common share Diluted earnings attributable to DIRECTV common stockholders (in dollars per share) Diluted earnings attributable to DIRECTV common stockholders per common share Earnings Per Share, Diluted [Abstract] Diluted EPS Diluted earnings attributable to DIRECTV Class A common stockholders per common share (common shares for the period of August 27, 2012 through December 31, 2012): Earnings Per Share, Basic and Diluted [Abstract] Basic and diluted EPS Basic and diluted earnings attributable to DIRECTV common stockholders per common share Earnings Per Share, Basic Basic earnings attributable to DIRECTV per common share Earnings per share attributable to DIRECTV (in dollars per share) Basic earnings attributable to DIRECTV common stockholders (in dollars per share) Basic earnings attributable to DIRECTV common stockholders per common share Basic and diluted earnings attributable to DIRECTV Class B common stockholders per common share, for the period of January 1, 2010 through June 16, 2010, including $160 million exchange inducement value for the Malone Transaction (Note 15) (in dollars per share) Earnings Per Share, Basic and Diluted Basic and diluted earnings attributable to DIRECTV Class B stockholders per common share, including $160 million exchange inducement value for the Malone Transaction (in dollars per share) Basic and diluted earnings attributable to Class A stockholders per common share (in dollars per share) Earnings Per Share [Text Block] Earnings Per Common Share Earnings Per Common Share Effective Income Tax Rate Reconciliation, at Federal Statutory Income Tax Rate U.S. federal income tax statutory rate Employee-related Liabilities, Current Payroll and employee benefits Employee Service Share-based Compensation, Tax Benefit from Compensation Expense Tax benefits associated with share-based compensation expense Employee Service Share-based Compensation, Nonvested Awards, Total Compensation Cost Not yet Recognized Total unrecognized compensation expense related to unvested restricted stock units and stock options Employee Service Share-based Compensation, Tax Benefit Realized from Exercise of Stock Options Actual tax benefits realized for the deduction of share-based compensation expense Schedule of Equity Method Investments [Table Text Block] Schedule of carrying value of investments accounted under equity method of accounting Equity Method Investments Equity Method Investments [Member] Equity Method Investments Book value of ownership interest in GSN Investments accounted for under the equity method of accounting Equity Method Investment, Ownership Percentage Ownership percentage of equity method investment Equity method investment, ownership percentage Proceeds from Equity Method Investment, Dividends or Distributions Dividends received Equity Method Investment, Realized Gain (Loss) on Disposal Gain on sale of equity method investment, before tax Equity Component [Domain] Equity Method Investee, Name [Domain] Equity Securities [Member] Equity securities: Estimate of Fair Value, Fair Value Disclosure [Member] Total Excess Tax Benefit (Tax Deficiency) from Share-based Compensation, Financing Activities Excess tax benefit from share-based compensation Excess Tax Benefit (Tax Deficiency) from Share-based Compensation, Operating Activities Excess tax benefit from share-based compensation Extinguishment of Debt, Gain (Loss), Net of Tax After-tax charge on repayment of remaining principal Extinguishment of Debt, Amount Repayment of long-term debt Fair Value, Hierarchy [Axis] Fair Value, Measurement with Unobservable Inputs Reconciliations, Recurring Basis, Liability Value Fair value of awards outstanding Fair Value, Measurements, Fair Value Hierarchy [Domain] Fair Value of Financial Instruments, Policy [Policy Text Block] Fair Value Measurement Fair Value, Inputs, Level 3 [Member] Significant Unobservable Inputs (Level 3) Level 3 inputs Fair Value, Inputs, Level 1 [Member] Quoted Prices in Active Markets for Identical Assets (Level 1) Fair Value, Inputs, Level 2 [Member] Significant Observable Inputs (Level 2) Fair Value, Liabilities Measured on Recurring Basis, Gain (Loss) Included in Other Income Fair-value adjustment loss on non-employee stock awards Net loss recognized for exercised options and fair value adjustment Finite-Lived Intangible Asset, Useful Life Intangible asset amortization period Estimated useful lives Finite-Lived Intangible Assets, Major Class Name [Domain] Finite-Lived Intangible Assets, Amortization Expense, Year Five 2017 Finite-Lived Intangible Assets, Gross Finite-lived intangible assets, gross amount Basis of Presentation and Summary of Significant Accounting Policies Finite-Lived Intangible Assets [Line Items] Finite-Lived Intangible Assets, Amortization Expense, Year Three 2015 Finite-Lived Intangible Assets, Net, Amortization Expense, Fiscal Year Maturity [Abstract] Estimated amortization expense for intangible assets Finite-Lived Intangible Assets by Major Class [Axis] Finite-Lived Intangible Assets, Accumulated Amortization Finite-lived intangible assets, accumulated amortization Finite-Lived Intangible Assets, Amortization Expense, after Year Five Thereafter Finite-Lived Intangible Assets, Amortization Expense, Next Twelve Months 2013 Finite-Lived Intangible Assets, Amortization Expense, Year Four 2016 Finite-Lived Intangible Assets, Amortization Expense, Year Two 2014 Finite-Lived Intangible Assets, Net Finite-lived intangible assets, net amount Foreign Tax Authority [Member] Foreign Foreign Currency Transaction Loss, before Tax Pre-tax charge related to remeasurement of bolivar denominated net monetary assets due to devaluation Foreign Currency Transaction Gain (Loss), Unrealized Net foreign currency transaction loss Net foreign currency transaction gain (loss) Net foreign currency transaction (gain) loss Foreign Currency Cash Flow Hedge Liability at Fair Value Fair value of cross-currency swaps Foreign Currency Translation Adjustment, by Component [Abstract] Foreign currency translation adjustments Foreign Currency Transactions and Translations Policy [Policy Text Block] Foreign Currency Foreign Currency Translation [Abstract] Foreign currency translation adjustments, net of tax: Foreign Currency Exchange Rate, Translation Exchange rate set by the Venezuelan government (in bolivars fuerte per U.S. dollar) U.S. dollars based exchange rate Gain (Loss) on Sale of Investments Gain on sale of investments Gain on sale of investments Gains (Losses) on Extinguishment of Debt Pre-tax charge on repayment of remaining principal Loss on early extinguishment of debt General and Administrative Expense General and administrative expenses Goodwill. Goodwill Goodwill, beginning balance Goodwill, ending balance Goodwill and Intangible Assets, Policy [Policy Text Block] Goodwill and Intangible Assets Goodwill, Translation Adjustments Foreign currency translation adjustment Goodwill and Intangible Assets, Net Goodwill and Intangible Assets Disclosure [Text Block] Goodwill [Line Items] Goodwill Goodwill, Purchase Accounting Adjustments Acquisition accounting adjustments Goodwill [Roll Forward] Changes in the carrying amounts of goodwill Goodwill and Intangible Assets, Net Guarantor Subsidiaries [Member] Guarantor Subsidiaries Hedge Funds [Member] Hedge funds Hedging Relationship [Domain] Impairment or Disposal of Long-Lived Assets, Policy [Policy Text Block] Valuation of Long-Lived Assets Income (Loss) from Discontinued Operations, Net of Tax, Including Portion Attributable to Noncontrolling Interest Income from discontinued operations, net of tax Less: Income from discontinued operations, net of taxes Income (Loss) from Continuing Operations before Income Taxes, Extraordinary Items, Noncontrolling Interest Income before income taxes Income (Loss) from Discontinued Operations, Net of Tax, Per Basic Share Income from discontinued operations, net of taxes (in dollars per share) Income (Loss) from Continuing Operations before Equity Method Investments, Income Taxes, Extraordinary Items, Noncontrolling Interest [Abstract] Income before income taxes Income (Loss) from Continuing Operations before Income Taxes, Foreign Foreign income CONSOLIDATED STATEMENTS OF OPERATIONS Income Tax Disclosure [Text Block] Income Taxes Income Taxes Income Tax Authority [Axis] Income from continuing operations Income from continuing operations, attributable to DIRECTV Income (Loss) from Continuing Operations Attributable to Parent Net income attributable to DIRECTV common stockholders Income Tax Examination [Line Items] Income tax examination Income from continuing operations (in dollars per share) Income (Loss) from Continuing Operations, Per Basic and Diluted Share Income (Loss) from Discontinued Operations, Net of Tax, Per Diluted Share Income from discontinued operations, net of taxes (in dollars per share) Income Tax Authority [Domain] Income (Loss) from Equity Method Investments Equity in earnings from unconsolidated affiliates Equity in earnings from unconsolidated affiliates Income (Loss) from Continuing Operations, Per Basic Share Income from continuing operations (in dollars per share) Income (Loss) from Continuing Operations before Income Taxes, Domestic U.S. income Income (Loss) from Continuing Operations, Per Diluted Share Income from continuing operations (in dollars per share) Income Tax Expense (Benefit) Income tax expense Income tax benefit (expense) Total income tax expense Income Tax Reconciliation, Noncontrolling Interest Income (Expense) Noncontrolling interests in partnership earnings and taxes Income Tax Reconciliation, Income Tax Expense (Benefit), at Federal Statutory Income Tax Rate Expected expense at U.S. federal statutory income tax rate Income Tax Expense (Benefit), Continuing Operations, Income Tax Reconciliation [Abstract] Reconciliation of income tax expense Income Tax Reconciliation, Change in Deferred Tax Assets Valuation Allowance Change in valuation allowance Income Tax Reconciliation, Foreign Income Tax Rate Differential Foreign taxes, net of federal tax benefits Income Tax Expense (Benefit) [Abstract] Income tax expense Income Tax Examination [Table] Income Tax Reconciliation, Nondeductible Expense, Other Liberty Transaction charges not recoverable Income (Loss) from Continuing Operations, Including Portion Attributable to Noncontrolling Interest Income from continuing operations Net income Income Tax Reconciliation, State and Local Income Taxes U.S. state and local income tax expense, net of federal benefit Income Tax, Policy [Policy Text Block] Income Taxes Income Taxes Paid Cash paid for income taxes Income Tax Reconciliation, Tax Credits Tax credits Income Tax Reconciliation, Tax Contingencies Change in unrecognized tax benefits Income Tax Reconciliation, Other Adjustments Other Increase (Decrease) in Deferred Revenue Unearned subscriber revenues and deferred credits Increase (Decrease) in Accounts Receivable Accounts receivable Increase (Decrease) in Accounts Payable and Accrued Liabilities Accounts payable and accrued liabilities Increase (Decrease) in Operating Capital [Abstract] Change in operating assets and liabilities: Increase (Decrease) in Other Operating Assets and Liabilities, Net Other, net Increase (Decrease) in Prepaid Expense and Other Assets Prepaid expenses and other Increase (Decrease) in Inventories Inventories Increase (Decrease) in Stockholders' Equity [Roll Forward] Increase (Decrease) in Stockholders' Equity Change in the redeemable noncontrolling interest Indefinite-Lived Intangible Assets (Excluding Goodwill) Indefinite intangible assets Indefinite-lived Intangible Assets by Major Class [Axis] Indefinite-lived Intangible Assets, Major Class Name [Domain] Intangible Assets, Net (Excluding Goodwill) Intangible assets, net Intangible assets, net amount Interest Payable, Current Interest accrued on outstanding debt Interest Costs Capitalized Interest costs capitalized Interest and Debt Expense Interest expense Interest Paid Cash paid for interest Internal Revenue Service (IRS) [Member] U.S. federal U.S. income taxes Inventory, Policy [Policy Text Block] Inventories Inventory, Net Inventories Investment Income, Interest Interest income Investment, Policy [Policy Text Block] Investments Investments and Other Noncurrent Assets Investments and other assets Other assets Issuance of Debt [Member] Additional borrowings under revolving credit facility Letters of Credit Outstanding, Amount Contingent liability for standby letters of credit Land and Land Improvements [Member] Land and Improvements Operating Leases, Rent Expense Rental expenses Capital Lease Obligations Leases, Operating [Abstract] Noncancelable operating leases Liabilities, Current Total current liabilities Total current liabilities Liabilities, Current [Abstract] Current liabilities Liabilities and Equity [Abstract] LIABILITIES AND STOCKHOLDERS' DEFICIT LIABILITIES AND STOCKHOLDERS' EQUITY (DEFICIT) Liabilities and Equity Total liabilities and stockholders' deficit Line of Credit Facility, Maximum Borrowing Capacity Borrowing capacity under credit facility Principal Line of Credit Facility, Unused Capacity, Commitment Fee Percentage Commitment fee for unused commitment for revolving credit facility (as a percent) Repayment of long-term debt Line of Credit Facility, Decrease, Repayments Aggregate amounts outstanding Line of Credit Facility, Amount Outstanding Line of Credit Facility, Increase, Additional Borrowings Amount borrowed Litigation Settlement, Expense Litigation costs Loans, Notes, Trade and Other Receivables Disclosure [Text Block] Accounts Receivable, Net Long-term Debt, Fair Value Senior notes, fair value Long-term Debt, Maturities, Repayments of Principal, Remainder of Fiscal Year 2012 Long-term Debt, Maturities, Repayments of Principal in Year Three 2015 2014 Long-term Debt, Maturities, Repayments of Principal in Year Two Long-term Debt, Maturities, Repayments of Principal in Year Four 2016 Long-term Debt, Maturities, Repayments of Principal in Next Twelve Months 2012 Long-term Debt, Maturities, Repayments of Principal in Year Five 2017 Long-term Debt, Maturities, Repayments of Principal after Year Five Thereafter Loss Contingencies [Table] Loss Contingency Nature [Axis] Loss Contingencies [Line Items] Loss contingencies Loss Contingency, Nature [Domain] Machinery and Equipment [Member] Machinery and equipment Major Types of Debt and Equity Securities [Axis] Major Types of Debt and Equity Securities [Domain] Marketing and Advertising Expense [Abstract] Advertising Costs Maximum [Member] Maximum Medium-term Notes [Member] Senior Secured Credit Facilities Term Loan C Minimum [Member] Minimum Noncontrolling Interest, Change in Redemption Value Adjustment to the fair value of redeemable noncontrolling interest Noncontrolling Interest, Decrease from Distributions to Noncontrolling Interest Holders Dividends paid by subsidiary to redeemable noncontrolling interest Noncontrolling Interest, Decrease from Redemptions or Purchase of Interests Acquisition of noncontrolling interest, including related deferred income taxes Fair value of interest acquired Noncontrolling Interest, Ownership Percentage by Parent Ownership percentage in subsidiary Percentage of ownership interest Noncontrolling Interest, Ownership Percentage by Noncontrolling Owners Noncontrolling interest, ownership percentage Noncontrolling interest, ownership percentage by noncontrolling owner Movement in Valuation Allowances and Reserves [Roll Forward] Valuation and Qualifying Accounts Description of Business Nature of Operations [Text Block] Net Cash Provided by (Used in) Financing Activities, Continuing Operations [Abstract] Cash flows from financing activities Cash Flows From Financing Activities Net Cash Provided by (Used in) Operating Activities, Continuing Operations Net cash provided by operating activities Net cash provided by operating activities Net Cash Provided by (Used in) Operating Activities, Continuing Operations [Abstract] Cash flows from operating activities Cash Flows From Operating Activities Net Cash Provided by (Used in) Financing Activities [Abstract] Cash Flows From Financing Activities Cash flows from financing activities Net Cash Provided by (Used in) Continuing Operations Net increase in cash and cash equivalents Net increase (decrease) in cash and cash equivalents Net Cash Provided by (Used in) Investing Activities, Continuing Operations Net cash used in investing activities Net Income (Loss) Available to Common Stockholders, Basic Net income attributable to DIRECTV Net income attributable to DIRECTV Net income attributable to DIRECTV Class A common stockholders (DIRECTV Group common stockholders for the period January 1, 2009 through November 19, 2009) Net income attributable to DIRECTV common stockholders Net cash used in investing activities Net Cash Provided by (Used in) Investing Activities Net cash used in financing activities Net Cash Provided by (Used in) Financing Activities Net Income (Loss) Available to Common Stockholders, Basic [Abstract] Net income attributable to common stockholders: Net Income (Loss) Available to Common Stockholders, Diluted Adjusted net income attributable to DIRECTV common stockholders Net cash used in financing activities Net Cash Provided by (Used in) Financing Activities, Continuing Operations Net Cash Provided by (Used in) Investing Activities [Abstract] Cash Flows From Investing Activities Cash flows from investing activities Net Cash Provided by (Used in) Operating Activities [Abstract] Cash Flows From Operating Activities Cash flows from operating activities Net income attributable to noncontrolling interest Net income attributable to noncontrolling interest Net Income (Loss) Attributable to Redeemable Noncontrolling Interest Less: Net income attributable to noncontrolling interest Net income Net Cash Provided by (Used in) Investing Activities, Continuing Operations [Abstract] Cash flows from investing activities Cash Flows From Investing Activities Net cash provided by operating activities Net cash provided by operating activities Net Cash Provided by (Used in) Operating Activities Non-Guarantor Subsidiaries [Member] Non-guarantor Subsidiaries Number of Latin American Segments Number of Reportable Segments Operating Leases, Future Minimum Payments, Due Thereafter Thereafter Operating Loss Carryforwards [Table] Operating Loss Carryforwards Operating loss carryforward Operating Income (Loss) Operating profit Operating profit (loss) Operating profit Operating Leases, Future Minimum Payments, Due in Three Years 2015 Operating Leases, Future Minimum Payments, Due in Two Years 2014 Operating Leases, Future Minimum Payments Due, Next Twelve Months 2013 Operating Leases, Future Minimum Payments, Due in Four Years 2016 Operating Loss Carryforwards [Line Items] Income Taxes Operating Leases, Future Minimum Payments, Due in Five Years 2017 Operating Leases, Future Minimum Payments Due Minimum future commitments under noncancelable operating leases Description of Business Other Comprehensive Income (Loss), before Tax Pre-Tax Other Comprehensive Income (Loss), Net of Tax Other comprehensive income (loss) Other comprehensive income (loss) Other comprehensive loss (income) Other Comprehensive Income (Loss), Reclassification Adjustment for Sale of Securities Included in Net Income, Tax Tax Benefit (Expense) Tax (Benefit) Expense Other Noncash Income (Expense) Other Other Liabilities Disclosure [Abstract] Other liabilities and deferred credits Other Income and Expenses Other Comprehensive Income (Loss), Reclassification Adjustment on Derivatives Included in Net Income, Tax Tax Benefit (Expense) Other than Temporary Impairment Losses, Investments, Portion Recognized in Earnings, Net Loss from impairment of investments Charge for other than temporary impairment Other Comprehensive Income (Loss), Reclassification Adjustment on Derivatives Included in Net Income, before Tax Pre-Tax Amount reclassified from accumulated other comprehensive loss into other, net Other Comprehensive Income (Loss), Reclassification Adjustment on Derivatives Included in Net Income, Net of Tax Reclassification adjustments included in net income Net of Tax After tax gain (loss) reclassified from accumulated other comprehensive loss into other, net Other Comprehensive Income (Loss), Reclassification Adjustment for Sale of Securities Included in Net Income, before Tax Pre-tax Other Comprehensive Income (Loss), Amortization, Pension and Other Postretirement Benefit Plans, Net Prior Service Cost Recognized in Net Periodic Pension Cost, Net of Tax Amortization of amounts resulting from changes in defined benefit plan provisions, net of tax Amortization of amounts resulting from changes in plan provisions recognized as periodic benefit cost Net of Tax Other Comprehensive Income (Loss), Reclassification, Pension and Other Postretirement Benefit Plans, Net Gain (Loss) Recognized in Net Periodic Benefit Cost, Tax Tax (Benefit) Expense Other Comprehensive Income (Loss), Pension and Other Postretirement Benefit Plans, Net Unamortized Gain (Loss) Arising During Period, before Tax Pre-Tax Other Comprehensive Income (Loss), Reclassification Adjustment for Sale of Securities Included in Net Income, Net of Tax Reclassification adjustment for net gains recognized during period Less: Reclassification adjustment for net gains recognized during the period Net of Tax Other Other Accounts Payable and Accrued Liabilities Other Comprehensive Income (Loss), Pension and Other Postretirement Benefit Plans, Adjustment, before Reclassification 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adjustments Other Comprehensive Income (Loss), Available-for-sale Securities Adjustment, before Tax, [Abstract] Unrealized losses on securities: Unrealized losses on securities Amortization of amounts resulting from changes in plan provisions recognized as periodic benefit cost Other Comprehensive Income (Loss), Amortization, Pension and Other Postretirement Benefit Plans, Net Prior Service Cost Recognized in Net Periodic Pension Cost, Net of Tax (Deprecated 2012-01-31) Other Comprehensive Income (Loss), Tax Tax Benefit (Expense) Defined benefit plans: Other Comprehensive Income (Loss), Pension and Other Postretirement Benefit Plans, Adjustment, Net of Tax [Abstract] Other Comprehensive Income (Loss), Tax [Abstract] Other comprehensive income, Tax Benefit (Expense) Other Comprehensive Income (Loss), Derivatives Qualifying as Hedges, Net of Tax [Abstract] Cash flow hedges: Unrealized losses on securities Other Comprehensive Income (Loss), before Tax [Abstract] Other comprehensive income 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Goodwill and Intangible Assets, Net (Tables)
12 Months Ended
Dec. 31, 2012
Goodwill and Intangible Assets, Net  
Schedule of goodwill

 

 

 
   
 
DIRECTV Latin America
 
Sports
Networks,
Eliminations
and Other
   
 
 
 
DIRECTV
U.S.
 
Sky Brasil
 
PanAmericana
 
Total
 
 
  (Dollars in Millions)
 

Balance as of January 1, 2011

  $ 3,176   $ 466   $ 211   $ 295   $ 4,148  

Foreign currency translation adjustment

        (52 )           (52 )

Acquisition accounting adjustments

    1                 1  
                       

Balance as of December 31, 2011

    3,177     414     211     295     4,097  

Foreign currency translation adjustment

        (34 )           (34 )
                       

Balance as of December 31, 2012

  $ 3,177   $ 380   $ 211   $ 295   $ 4,063  
                       

  

Schedule of intangible assets, net

 

 

 
   
 
December 31, 2012
 
December 31, 2011
 
 
 
Estimated
Useful
Lives
(years)
 
Gross
Amount
 
Accumulated
Amortization
 
Net
Amount
 
Gross
Amount
 
Accumulated
Amortization
 
Net
Amount
 
 
   
  (Dollars in Millions)
 

Orbital slots

    Indefinite   $ 432   $   $ 432   $ 432   $   $ 432  

Satellite rights

    15     101     19     82     110     12     98  

Subscriber related

    5-10     383     371     12     402     353     49  

Dealer network

    15     130     117     13     130     108     22  

Trade name and other

    5-20     174     46     128     159     37     122  

Distribution agreements

    6-20     208     43     165     208     22     186  
                                 

Total intangible assets

        $ 1,428   $ 596   $ 832   $ 1,441   $ 532   $ 909  
                                 

 

XML 16 R54.htm IDEA: XBRL DOCUMENT v2.4.0.6
Description of Business (Details)
12 Months Ended
Dec. 31, 2012
item
DIRECTV Latin America
 
Ownership interests  
Number of Latin American Segments 2
Game Show Network, LLC
 
Ownership interests  
Ownership percentage of equity method investment 42.00%
Sky Brasil
 
Ownership interests  
Ownership percentage in subsidiary 93.00%
Sky Mexico
 
Ownership interests  
Ownership percentage of equity method investment 41.00%
XML 17 R48.htm IDEA: XBRL DOCUMENT v2.4.0.6
Share-Based Compensation (Tables)
12 Months Ended
Dec. 31, 2012
Share-Based Compensation  
Schedule of amounts recorded related to share-based compensation

 

 

 
 
For the Years Ended
December 31,
 
 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Share-based compensation expense recognized

  $ 109   $ 103   $ 82  

Tax benefits associated with share-based compensation expense

    41     40     31  

Actual tax benefits realized for the deduction of share-based compensation expense

    60     54     60  

  

Schedule of changes in the status of outstanding restricted stock units

 

 
 
Stock Units
 
Weighted-Average
Grant-Date
Fair Value
 

Nonvested at January 1, 2012

    7,595,892   $ 31.35  

Granted

    2,847,076     41.72  

Vested and distributed

    (3,122,772 )   21.78  

Forfeited

    (247,450 )   40.38  
             

Nonvested at December 31, 2012

    7,072,746   $ 39.50  
             

Vested and expected to vest at December 31, 2012

    6,819,177   $ 39.26  
             

     

Schedule of changes in the status of outstanding options

 

 

 
 
Shares
Under
Option
 
Weighted-
Average
Exercise
Price
 
Weighted-
Average
Remaining
Contractual
Term
 
Aggregate
Intrinsic
Value
 
 
   
   
  (in years)
  (in millions)
 

Outstanding at January 1, 2012

    3,364,510   $ 23.21              

Granted

    995,964     48.18              

Exercised

    (1,260,629 )   30.62              

Forfeited or expired

    (4,000 )   16.23              
                         

Outstanding at December 31, 2012

    3,095,845   $ 28.24     4.6   $ 68  
                         

Vested and expected to vest at December 31, 2012

    3,095,845   $ 28.24     4.6   $ 68  
                         

Exercisable at December 31, 2012

    2,196,293   $ 19.93     2.5   $ 66  
                         

 

Share-Based Payment  
Schedule of share-based payment award, valuation assumptions used in the fair value calculations

 

 

 
 
2012
 
2010
 

Estimated grant-date fair value

  $15.83   $ 12.36  

Expected stock volatility

  29.0 %   26.9 %

Risk-free interest rate

  1.08% - 1.41 %   3.35 %

Expected option life (in years)

  7.0     7.0  

 

Liberty Transaction | Persons Other Than Employees And Directors
 
Share-Based Payment  
Schedule of weighted average fair values for stock-based awards assumed along with assumptions used in the fair value calculations

 

 

 
 
December 31,
2012
 
December 31,
2011
 
December 31,
2010
 

Estimated fair value

  $34.59   $26.63   $22.52  

Expected stock volatility

  22.8 % 27.5 % 26.5 %

Range of risk-free interest rates

  0.02 - 0.36 % 0.06 - 0.83 % 0.07 - 2.01 %

Range of expected option lives (in years)

  0.2 - 4.4   0.5 - 5.4   0.1 - 6.4  

  

XML 18 R70.htm IDEA: XBRL DOCUMENT v2.4.0.6
Derivative Financial Instruments (Details)
In Millions, unless otherwise specified
12 Months Ended 12 Months Ended
Dec. 31, 2012
USD ($)
Dec. 31, 2011
USD ($)
Dec. 31, 2010
USD ($)
Dec. 31, 2012
Senior notes 4.375% due 2029
USD ($)
Dec. 31, 2012
Senior notes 4.375% due 2029
GBP (£)
Sep. 11, 2012
Senior notes 4.375% due 2029
Dec. 31, 2012
Cross-Currency Swaps
Senior notes 4.375% due 2029
GBP (£)
Dec. 31, 2012
Cross-Currency Swaps
Cash flow hedges
USD ($)
Derivative financial instruments                
Principal amount of senior notes $ 17,219     $ 1,219 £ 750   £ 750  
Senior note, interest rate (as a percent)       4.375% 4.375% 4.375% 4.375%  
Fair value of cross-currency swaps               17
Amount reclassified from accumulated other comprehensive loss into other, net 11             11
After tax gain (loss) reclassified from accumulated other comprehensive loss into other, net 7             7
Net foreign currency transaction loss $ 34 $ 50 $ (11)         $ 11
XML 19 R55.htm IDEA: XBRL DOCUMENT v2.4.0.6
Basis of Presentation and Summary of Significant Accounting Policies (Details)
12 Months Ended
Dec. 31, 2012
Revenue Recognition  
Maximum contract period for subscribers under multiple-deliverable revenue arrangements 2 years
Subscriber Acquisition Costs  
Period over which commissions for customer acquisitions are earned by retailer or dealer 12 months
Maximum
 
Basis of Presentation and Summary of Significant Accounting Policies  
Estimated useful lives 20 years
Minimum
 
Basis of Presentation and Summary of Significant Accounting Policies  
Estimated useful lives 5 years
XML 20 R78.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Other Postretirement Benefit Plans (Details 3) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
401 (k) plans      
Employer contributions match $ 30 $ 28 $ 23
Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 495 448 429
Percentage of plan assets 100.00% 100.00%  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 495 448 429
Expected future benefit payments      
2013 41    
2014 41    
2015 42    
2016 42    
2017 41    
2018-2022 218    
Pension Benefits | Qualified Plans
     
Contributions      
Expected contribution in 2013 15    
Pension Benefits | Non-Qualified Plans
     
Contributions      
Expected contribution in 2013 6    
Other Postretirement Benefits
     
Expected future benefit payments      
2013 2    
2014 2    
2015 2    
2016 2    
2017 2    
2018-2022 10    
Total | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 495 448  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 495 448  
Significant Observable Inputs (Level 2) | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 420 377  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 420 377  
Significant Unobservable Inputs (Level 3) | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 75 71  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at beginning of year 71 28  
Realized losses   (1)  
Unrealized gains 4 2  
Purchases and sales   42  
Fair value of plan assets at end of year 75 71  
Cash and cash equivalents | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Percentage of plan assets 1.00% 1.00%  
Cash and cash equivalents | Total | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 4 3  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 4 3  
Cash and cash equivalents | Significant Observable Inputs (Level 2) | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 4 3  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 4 3  
U.S. large-cap | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Percentage of plan assets 18.00% 17.00%  
U.S. large-cap | Total | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 87 75  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 87 75  
U.S. large-cap | Significant Observable Inputs (Level 2) | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 87 75  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 87 75  
U.S. mid-cap growth | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Percentage of plan assets 4.00% 3.00%  
U.S. mid-cap growth | Total | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 19 17  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 19 17  
U.S. mid-cap growth | Significant Observable Inputs (Level 2) | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 19 17  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 19 17  
International large-cap value | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Percentage of plan assets 19.00% 21.00%  
International large-cap value | Total | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 94 92  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 94 92  
International large-cap value | Significant Observable Inputs (Level 2) | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 94 92  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 94 92  
Emerging markets growth | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Percentage of plan assets 1.00%    
Emerging markets growth | Total | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 6    
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 6    
Emerging markets growth | Significant Observable Inputs (Level 2) | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 6    
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 6    
Domestic real estate | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Percentage of plan assets 5.00% 5.00%  
Domestic real estate | Total | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 26 23  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 26 23  
Domestic real estate | Significant Observable Inputs (Level 2) | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 26 23  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 26 23  
Fixed income | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Percentage of plan assets 37.00% 37.00%  
Fixed income | Total | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 182 165  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 182 165  
Fixed income | Significant Observable Inputs (Level 2) | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 182 165  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 182 165  
Partnership and joint venture interests | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Percentage of plan assets 6.00% 7.00%  
Partnership and joint venture interests | Total | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 31 30  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 31 30  
Partnership and joint venture interests | Significant Unobservable Inputs (Level 3) | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 31 30  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at beginning of year 30 28  
Realized losses   (1)  
Unrealized gains 1 5  
Purchases and sales   (2)  
Fair value of plan assets at end of year 31 30  
Insurance contracts at contract value | Total | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 2 2  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 2 2  
Insurance contracts at contract value | Significant Observable Inputs (Level 2) | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 2 2  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 2 2  
Hedge funds | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Percentage of plan assets 9.00% 9.00%  
Hedge funds | Total | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 44 41  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at end of year 44 41  
Hedge funds | Significant Unobservable Inputs (Level 3) | Pension Benefits
     
Pension and Other Postretirement Benefits Plans      
Fair value of plan assets 44 41  
Fair value measurement of plan assets using significant unobservable inputs (Level 3) changed      
Fair value of plan assets at beginning of year 41    
Unrealized gains 3 (3)  
Purchases and sales   44  
Fair value of plan assets at end of year $ 44 $ 41  
XML 21 R46.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stockholders' Deficit (Tables)
12 Months Ended
Dec. 31, 2012
Stockholders' Deficit  
Schedule of shares repurchased and retired

 

 

 
 
2012
 
2011
 
2010
 
 
  (Amounts in Millions,
Except Per Share Amounts)

 

Total cost of repurchased and retired shares

  $ 5,148   $ 5,455   $ 5,179  

Average price per share

  $ 48.24   $ 45.78   $ 38.20  

Number of shares repurchased and retired

    107     119     136  

   

Schedule of components of other comprehensive income (loss)

 

 

 
 
2012
 
2011
 
2010
 
 
 
Pre-tax
Amount
 
Tax
(Benefit)
Expense
 
Net
Amount
 
Pre-tax
Amount
 
Tax
(Benefit)
Expense
 
Net
Amount
 
Pre-tax
Amount
 
Tax
(Benefit)
Expense
 
Net
Amount
 
 
  (Dollars in Millions)
 

Defined benefit plans:

                                                       

Losses related to changes in plan experience and actuarial assumptions arising during the period

  $ (73 ) $ (28 ) $ (45 ) $ (64 ) $ (25 ) $ (39 ) $   $   $  

Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost

    19     7     12     15     6     9     13     5     8  

Amortization of amounts resulting from changes in plan provisions recognized as periodic benefit cost

                2     1     1              

Cash flow hedges:

                                                       

Unrealized losses arising during the period

    (16 )   (6 )   (10 )                        

Reclassification adjustments included in net income

    (11 )   (4 )   (7 )                        

Foreign currency translation adjustments

    (53 )   (21 )   (32 )   (153 )   (59 )   (94 )   32     12     20  

Available for sale securities:

                                                       

Unrealized holding gains (losses) on securities

    (7 )   (3 )   (4 )   (10 )   (4 )   (6 )   6     2     4  

Reclassification adjustment for net gains recognized during period

                            (5 )   (2 )   (3 )
                                       

Other comprehensive income (loss)

  $ (141 ) $ (55 ) $ (86 ) $ (210 ) $ (81 ) $ (129 ) $ 46   $ 17   $ 29  
                                       
Schedule of changes in the components of accumulated other comprehensive income (loss)

 

 

 
 
Defined
Benefit Plans
 
Cross-
Currency
Swaps
 
Foreign
Currency
Items
 
Unrealized
Gains
(Losses) on
Securities
 
Accumulated
Other
Comprehensive
Loss
 
 
  (Dollars in Millions)
 

Balance as of January 1, 2010

  $ (130 ) $   $ 66   $ 8   $ (56 )

Other comprehensive income

    8         20     1     29  
                       

Balance as of December 31, 2010

    (122 )       86     9     (27 )

Other comprehensive loss

    (29 )       (94 )   (6 )   (129 )
                       

Balance as of December 31, 2011

    (151 )       (8 )   3     (156 )

Other comprehensive loss

    (33 )   (17 )   (32 )   (4 )   (86 )
                       

Balance as of December 31, 2012

  $ (184 ) $ (17 ) $ (40 ) $ (1 ) $ (242 )
                       
XML 22 R33.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidating Financial Statements
12 Months Ended
Dec. 31, 2012
Condensed Consolidating Financial Statements  
Condensed Consolidating Financial Statements

Note 24: Condensed Consolidating Financial Statements

        As discussed above in Note 10, on November 14, 2011, DIRECTV provided a guarantee of all the outstanding senior notes of DIRECTV Holdings LLC and DIRECTV Financing Co., Inc., or the Co-issuers.

        The following condensed consolidating financial statements of DIRECTV and subsidiaries have been prepared pursuant to rules regarding the preparation of consolidating financial statements of Regulation S-X. For the periods prior to November 14, 2011, the condensed consolidating financial statements have been prepared as if the guarantee had been in place during that period.

        These condensed consolidating financial statements present the condensed consolidating statements of operations, condensed consolidating statements of comprehensive income and condensed consolidating statements of cash flows for the years ended December 31, 2012, 2011 and 2010, and the condensed consolidating balance sheets as of December 31, 2012 and December 31, 2011.

        The condensed consolidating financial statements are comprised of DIRECTV, or the Parent Guarantor, its indirect wholly owned subsidiaries, DIRECTV Holdings, DIRECTV Financing and each of DIRECTV Holdings' material subsidiaries (other than DIRECTV Financing), or the Guarantor Subsidiaries, as well as other subsidiaries who are not guarantors of the senior notes, or the Non-Guarantor Subsidiaries, and the eliminations necessary to present DIRECTV's financial statements on a consolidated basis. The Non-Guarantor Subsidiaries consist primarily of DIRECTV's direct-to-home digital television services throughout Latin America which are held by DIRECTV Latin America Holdings, Inc. and its subsidiaries and DIRECTV Sports Networks LLC and its subsidiaries which are comprised primarily of three regional sports networks.

        The accompanying condensed consolidating financial statements are presented based on the equity method of accounting for all periods presented. Under this method, investments in subsidiaries are recorded at cost and adjusted for the subsidiaries' cumulative results of operations, capital contributions and distributions, and other changes in equity. Elimination entries include consolidating and eliminating entries for investments in subsidiaries, intercompany activity and balances, and income taxes.

Condensed Consolidating Statement of Operations

For the Year Ended December 31, 2012

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Revenues

  $   $ 59   $ 23,235   $ 6,583   $ (137 ) $ 29,740  

Operating costs and expenses

                                     

Costs of revenues, exclusive of depreciation and amortization expense

                                     

Broadcast programming and other

            10,743     2,355     (70 )   13,028  

Subscriber service expenses

            1,464     673         2,137  

Broadcast operations expenses

            306     116     (8 )   414  

Selling, general and administrative expenses, exclusive of depreciation and amortization expense

                                     

Subscriber acquisition costs

            2,673     724         3,397  

Upgrade and retention costs

            1,253     174         1,427  

General and administrative expenses

    42     1     1,201     630     (59 )   1,815  

Depreciation and amortization expense

            1,501     936         2,437  
                           

Total operating costs and expenses

    42     1     19,141     5,608     (137 )   24,655  
                           

Operating profit (loss)

    (42 )   58     4,094     975         5,085  

Equity in income of consolidated subsidiaries

    2,980     2,819             (5,799 )    

Interest income

    2     1         68     (12 )   59  

Interest expense

    (2 )   (773 )   (3 )   (76 )   12     (842 )

Other, net

    (4 )   (65 )   33     176         140  
                           

Income before income tax

    2,934     2,040     4,124     1,143     (5,799 )   4,442  

Income tax benefit (expense)

    15     246     (1,305 )   (421 )       (1,465 )
                           

Net income

    2,949     2,286     2,819     722     (5,799 )   2,977  

Less: Net income attributable to noncontrolling interest

                (28 )       (28 )
                           

Net income attributable to DIRECTV

  $ 2,949   $ 2,286   $ 2,819   $ 694   $ (5,799 ) $ 2,949  
                           


Condensed Consolidating Statement of Operations

For the Year Ended December 31, 2011

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Revenues

  $   $ 682   $ 21,872   $ 5,422   $ (750 ) $ 27,226  

Operating costs and expenses

                                     

Costs of revenues, exclusive of depreciation and amortization expense

                                     

Broadcast programming and other

            9,799     1,916     (60 )   11,655  

Subscriber service expenses

            1,435     476         1,911  

Broadcast operations expenses

            300     96     (7 )   389  

Selling, general and administrative expenses, exclusive of depreciation and amortization expense

                                     

Subscriber acquisition costs

            2,794     596         3,390  

Upgrade and retention costs

            1,209     118         1,327  

General and administrative expenses

    11         1,729     519     (683 )   1,576  

Depreciation and amortization expense

            1,587     762         2,349  
                           

Total operating costs and expenses

    11         18,853     4,483     (750 )   22,597  
                           

Operating profit (loss)

    (11 )   682     3,019     939         4,629  

Equity in income of consolidated subsidiaries

    2,622     1,947             (4,569 )    

Interest income

            1     44     (11 )   34  

Interest expense

        (692 )   (4 )   (78 )   11     (763 )

Other, net

    (4 )   (25 )   60     53         84  
                           

Income before income taxes

    2,607     1,912     3,076     958     (4,569 )   3,984  

Income tax benefit (expense)

    2     13     (1,129 )   (234 )       (1,348 )
                           

Net income

    2,609     1,925     1,947     724     (4,569 )   2,636  

Less: Net income attributable to noncontrolling interest

                (27 )       (27 )
                           

Net income attributable to DIRECTV

  $ 2,609   $ 1,925   $ 1,947   $ 697   $ (4,569 ) $ 2,609  
                           


Condensed Consolidating Statement of Operations

For the Year Ended December 31, 2010

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Revenues

  $   $ 463   $ 20,268   $ 3,895   $ (524 ) $ 24,102  

Operating costs and expenses

                                     

Costs of revenues, exclusive of depreciation and amortization expense

                                     

Broadcast programming and other

            8,699     1,428     (53 )   10,074  

Subscriber service expenses

            1,340     341         1,681  

Broadcast operations expenses

            273     84     (7 )   350  

Selling, general and administrative expenses, exclusive of depreciation and amortization expense

                                     

Subscriber acquisition costs

            2,631     374         3,005  

Upgrade and retention costs

            1,106     63         1,169  

General and administrative expenses

    24         1,466     419     (464 )   1,445  

Depreciation and amortization expense

            1,926     556         2,482  
                           

Total operating costs and expenses

    24         17,441     3,265     (524 )   20,206  
                           

Operating profit (loss)

    (24 )   463     2,827     630         3,896  

Equity in income of consolidated subsidiaries

    2,219     1,835             (4,054 )    

Interest income

    1     1     4     44     (11 )   39  

Interest expense

        (480 )   (8 )   (80 )   11     (557 )

Liberty transaction and related charges

                67         67  

Other, net

    (10 )   (25 )   20     84         69  
                           

Income before income taxes

    2,186     1,794     2,843     745     (4,054 )   3,514  

Income tax benefit (expense)

    12     14     (1,008 )   (220 )       (1,202 )
                           

Net income

    2,198     1,808     1,835     525     (4,054 )   2,312  

Less: Net income attributable to noncontrolling interest

                (114 )       (114 )
                           

Net income attributable to DIRECTV

  $ 2,198   $ 1,808   $ 1,835   $ 411   $ (4,054 ) $ 2,198  
                           

Condensed Consolidating Statement of Comprehensive Income

For the Year Ended December 31, 2012

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Net income

  $ 2,949   $ 2,286   $ 2,819   $ 722   $ (5,799 ) $ 2,977  

Other comprehensive income (loss), net of taxes:

                                     

Defined benefit plans:

                                     

Loss related to changes in plan experience and actuarial assumptions arising during the period

    (45 )                           (45 )

Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost

   
12
   
   
   
   
   
12
 

Cash flow hedges:

                                     

Unrealized losses arising during the period

        (10 )               (10 )

Reclassification adjustments included in net income

        (7 )               (7 )

Foreign currency translation adjustments

                (32 )       (32 )

Unrealized holding losses on securities

                (4 )       (4 )
                           

Other comprehensive loss

    (33 )   (17 )       (36 )       (86 )
                           

Comprehensive income

    2,916     2,269     2,819     686     (5,799 )   2,891  

Less: Comprehensive income attributable to noncontrolling interest

                (13 )       (13 )
                           

Comprehensive income attributable to DIRECTV

  $ 2,916   $ 2,269   $ 2,819   $ 673   $ (5,799 ) $ 2,878  
                           


Condensed Consolidating Statement of Comprehensive Income

For the Year Ended December 31, 2011

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Net income

  $ 2,609   $ 1,925   $ 1,947   $ 724   $ (4,569 ) $ 2,636  

Other comprehensive income (loss), net of taxes:

                                     

Defined benefit plans:

                                     

Loss related to changes in plan experience and actuarial assumptions arising during the period

    (39 )                           (39 )

Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost

   
9
   
   
   
   
   
9
 

Amortization of amounts resulting from changes in plan provisions recognized as periodic benefit cost

    1                     1  

Foreign currency translation adjustments

                (94 )       (94 )

Unrealized holding losses on securities

                (6 )       (6 )
                           

Other comprehensive loss

    (29 )           (100 )       (129 )
                           

Comprehensive income

    2,580     1,925     1,947     624     (4,569 )   2,507  

Less: Comprehensive income attributable to noncontrolling interest

                (17 )       (17 )
                           

Comprehensive income attributable to DIRECTV

  $ 2,580   $ 1,925   $ 1,947   $ 607   $ (4,569 ) $ 2,490  
                           


Condensed Consolidating Statement of Comprehensive Income

For the Year Ended December 31, 2010

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Net income

  $ 2,198   $ 1,808   $ 1,835   $ 525   $ (4,054 ) $ 2,312  

Other comprehensive income (loss), net of taxes:

                                     

Defined benefit plans:

                                     

Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost

   
8
   
   
   
   
   
8
 

Foreign currency translation adjustments

                20         20  

Available for sale securities:

                                   

Unrealized gains on securities

                4         4  

Reclassification adjustment for net gains recognized during period

                    (3 )         (3 )
                           

Other comprehensive income

    8             21         29  
                           

Comprehensive income

    2,206     1,808     1,835     546     (4,054 )   2,341  

Less: Comprehensive income attributable to noncontrolling interest

                (121 )       (121 )
                           

Comprehensive income attributable to DIRECTV

  $ 2,206   $ 1,808   $ 1,835   $ 425   $ (4,054 ) $ 2,220  
                           

Condensed Consolidating Balance Sheet

As of December 31, 2012

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

ASSETS

                                     

Total current assets

  $ 883   $ 884   $ 2,788   $ 2,039   $ (1,040 ) $ 5,554  

Satellites, net

            1,795     562         2,357  

Property and equipment, net

            3,290     2,748         6,038  

Goodwill

        1,828     1,349     886         4,063  

Intangible assets, net

            453     379         832  

Intercompany receivables

    4,382     6,152     16,355     3,703     (30,592 )    

Investment in subsidiaries

    (8,687 )   15,001         (10,915 )   4,601      

Other assets

    180     91     241     1,294     (95 )   1,711  
                           

Total assets

  $ (3,242 ) $ 23,956   $ 26,271   $ 696   $ (27,126 ) $ 20,555  
                           

LIABILITIES AND STOCKHOLDERS' EQUITY (DEFICIT)

                                     

Total current liabilities

  $ 384   $ 646   $ 3,526   $ 2,025   $ (1,040 ) $ 5,541  

Long-term debt

        17,170                 17,170  

Deferred income taxes

            1,397     361     (86 )   1,672  

Intercompany liabilities

    1,401     16,355     6,152     6,684     (30,592 )    

Other liabilities and deferred credits

    404     131     195     482     (9 )   1,203  

Redeemable noncontrolling interest

                400         400  

Stockholders' equity (deficit)

                                     

Capital stock and additional paid-in capital

    4,021     12     4,802     (6,632 )   1,818     4,021  

Retained earnings (accumulated deficit)

    (9,210 )   (10,341 )   10,199     (2,560 )   2,702     (9,210 )

Accumulated other comprehensive loss

    (242 )   (17 )       (64 )   81     (242 )
                           

Total stockholders' equity (deficit)

    (5,431 )   (10,346 )   15,001     (9,256 )   4,601     (5,431 )
                           

Total liabilities and stockholders' equity (deficit)

  $ (3,242 ) $ 23,956   $ 26,271   $ 696   $ (27,126 ) $ 20,555  
                           


Condensed Consolidating Balance Sheet

As of December 31, 2011

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

ASSETS

                                     

Total current assets

  $ 412   $ 533   $ 2,514   $ 1,397   $ (615 ) $ 4,241  

Satellites, net

            1,724     491         2,215  

Property and equipment, net

            3,084     2,139         5,223  

Goodwill

        1,828     1,349     920         4,097  

Intangible assets, net

            461     448         909  

Intercompany receivables

    3,746     4,011     11,582     3,442     (22,781 )    

Investment in subsidiaries

    (5,510 )   12,057         (7,607 )   1,060      

Other assets

    74     64     256     1,425     (81 )   1,738  
                           

Total assets

  $ (1,278 ) $ 18,493   $ 20,970   $ 2,655   $ (22,417 ) $ 18,423  
                           

LIABILITIES AND STOCKHOLDERS' EQUITY (DEFICIT)

                                     

Total current liabilities

  $ 383   $ 204   $ 3,422   $ 1,349   $ (615 ) $ 4,743  

Long-term debt

        13,464                 13,464  

Deferred income taxes

            1,321     531     (81 )   1,771  

Intercompany liabilities

    895     11,582     4,011     6,293     (22,781 )    

Other liabilities and deferred credits

    551     82     159     495         1,287  

Redeemable noncontrolling interest

                265         265  

Stockholders' equity (deficit)

                                     

Capital stock and additional paid-in capital

    4,799     11     4,684     (561 )   (4,134 )   4,799  

Retained earnings (accumulated deficit)

    (7,750 )   (6,850 )   7,373     (5,703 )   5,180     (7,750 )

Accumulated other comprehensive loss

    (156 )           (14 )   14     (156 )
                           

Total stockholders' equity (deficit)

    (3,107 )   (6,839 )   12,057     (6,278 )   1,060     (3,107 )
                           

Total liabilities and stockholders' equity (deficit)

  $ (1,278 ) $ 18,493   $ 20,970   $ 2,655   $ (22,417 ) $ 18,423  
                           

Condensed Consolidating Statement of Cash Flows

For the Year Ended December 31, 2012

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Cash flows from operating activities

                                     

Net cash provided by operating activities

  $ 1,728   $ 2,388   $ 1,766   $ 1,877   $ (2,125 ) $ 5,634  
                           

Cash flows from investing activities

                                     

Cash paid for property and equipment

            (1,488 )   (1,472 )       (2,960 )

Cash paid for satellites

            (253 )   (136 )       (389 )

Investment in companies, net of cash acquired

            (7 )   (9 )       (16 )

Proceeds from sale of investments

            24             24  

Return of capital from subsidiary

    3,775                 (3,775 )    

Other, net

                (22 )       (22 )
                           

Net cash provided by (used in) investing activities

    3,775         (1,724 )   (1,639 )   (3,775 )   (3,363 )
                           

Cash flows from financing activities

                                     

Issuance of commercial paper (maturity 90 days or less), net

        156                 156  

Proceeds from short-term borrowings

        202                 202  

Proceeds from borrowings under revolving credit facility

        400                 400  

Repayment of borrowings under revolving credit facility

        (400 )               (400 )

Proceeds from issuance of long-term debt

        5,190                 5,190  

Debt issuance costs

        (36 )               (36 )

Repayment of long-term debt

        (1,500 )               (1,500 )

Repayment of other long-term obligations

            (21 )   (30 )       (51 )

Common shares repurchased and retired

    (5,175 )                   (5,175 )

Stock options exercised

    3                     3  

Taxes paid in lieu of shares issued for share-based compensation

            (52 )   (9 )       (61 )

Excess tax benefit from share-based compensation

            25     5         30  

Intercompany payments (funding)

    (52 )       13     39          

Cash dividend to Parent

        (5,900 )           5,900      
                           

Net cash provided by (used in) financing activities

    (5,224 )   (1,888 )   (35 )   5     5,900     (1,242 )
                           

Net increase in cash and cash equivalents

    279     500     7     243         1,029  

Cash and cash equivalents at beginning of the period

    129     228     4     512         873  
                           

Cash and cash equivalents at the end of the period

  $ 408   $ 728   $ 11   $ 755   $   $ 1,902  
                           


Condensed Consolidating Statement of Cash Flows

For the Year Ended December 31, 2011

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Cash flows from operating activities

                                     

Net cash provided by operating activities

  $ 1,831   $ 1,835   $ 1,745   $ 1,537   $ (1,763 ) $ 5,185  
                           

Cash flows from investing activities

                                     

Cash paid for property and equipment

            (1,595 )   (1,329 )       (2,924 )

Cash paid for satellites

    (1 )       (141 )   (104 )       (246 )

Investment in companies, net of cash acquired

            (11 )           (11 )

Proceeds from sale of investments

            55     61         116  

Return of capital from subsidiary

    3,487                 (3,487 )    

Other, net

            1     42         43  
                           

Net cash provided by (used in) investing activities

    3,486         (1,691 )   (1,330 )   (3,487 )   (3,022 )
                           

Cash flows from financing activities

                                     

Cash proceeds from debt issuance

        3,990                 3,990  

Debt issuance costs

        (30 )               (30 )

Repayment of long-term debt

        (1,000 )               (1,000 )

Repayment of short-term borrowings

                (39 )       (39 )

Repayment of other long-term obligations

            (66 )   (118 )       (184 )

Common shares repurchased and retired

    (5,496 )                   (5,496 )

Taxes paid in lieu of shares issued for share-based compensation

    (5 )       (29 )   (24 )       (58 )

Excess tax benefit from share-based compensation

            21     4         25  

Intercompany payments (funding)

    (134 )       20     114          

Cash dividend to Parent

        (5,250 )           5,250      
                           

Net cash used in financing activities

    (5,635 )   (2,290 )   (54 )   (63 )   5,250     (2,792 )
                           

Net increase (decrease) in cash and cash equivalents

    (318 )   (455 )       144         (629 )

Cash and cash equivalents at beginning of the period

    447     683     4     368         1,502  
                           

Cash and cash equivalents at the end of the period

  $ 129   $ 228   $ 4   $ 512   $   $ 873  
                           


Condensed Consolidating Statement of Cash Flows

For the Year Ended December 31, 2010

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Cash flows from operating activities

                                     

Net cash provided by (used in) operating activities

  $ 3,952   $ 2,263   $ 1,678   $ (607 ) $ (2,080 ) $ 5,206  
                           

Cash flows from investing activities

                                     

Cash paid for property and equipment

            (1,444 )   (859 )       (2,303 )

Cash paid for satellites

            (113 )           (113 )

Investment in companies, net of cash acquired

            (1 )   (616 )       (617 )

Proceeds from sale of investments

                9         9  

Return of capital from subsidiary

    4,820                 (4,820 )    

Other, net

            3     (78 )       (75 )
                           

Net cash provided by (used in) investing activities

    4,820         (1,555 )   (1,544 )   (4,820 )   (3,099 )
                           

Cash flows from financing activities

                                     

Cash proceeds from debt issuance

        5,978                 5,978  

Debt issuance costs

        (44 )               (44 )

Repayment of long-term debt

        (2,323 )               (2,323 )

Proceeds from short-term borrowings

                38         38  

Repayment of collar loan and equity collars

                (1,537 )       (1,537 )

Repayment of other long-term obligations

            (99 )   (28 )       (127 )

Common shares repurchased and retired

    (5,111 )                   (5,111 )

Stock options exercised

    38                     38  

Taxes paid in lieu of shares issued for share-based compensation

    (58 )       (38 )   (22 )       (118 )

Excess tax benefit from share-based compensation

            9     2         11  

Dividends paid to redeemable noncontrolling interest

                (15 )       (15 )

Intercompany payments (funding)

    (3,751 )       2     3,749          

Cash dividend to Parent

        (6,900 )           6,900      
                           

Net cash provided by (used in) financing activities

    (8,882 )   (3,289 )   (126 )   2,187     6,900     (3,210 )
                           

Net increase (decrease) in cash and cash equivalents

    (110 )   (1,026 )   (3 )   36         (1,103 )

Cash and cash equivalents at beginning of the period

    557     1,709     7     332         2,605  
                           

Cash and cash equivalents at the end of the period

  $ 447   $ 683   $ 4   $ 368   $   $ 1,502  
                           
XML 23 R79.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stockholders' Deficit (Details) (USD $)
12 Months Ended 6 Months Ended
Dec. 31, 2012
Aug. 27, 2012
Dec. 31, 2011
Nov. 30, 2009
item
Dec. 31, 2012
Class A common stock
item
Nov. 30, 2009
Class A common stock
Jun. 16, 2010
Class B common stock
item
Nov. 30, 2009
Class B common stock
Stockholders' Deficit                
Number of types of common stock       2        
Common stock, par value (in dollars per share) $ 0.01 $ 0.01 $ 0.01     $ 0.01   $ 0.01
Number of votes per share of common stock         1   15  
Common stock, shares authorized 3,950,000,000 3,950,000,000 3,947,000,000          
Preferred stock, shares authorized   50,000,000            
Preferred stock, par value (in dollars per share)   $ 0.01            
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Income Taxes (Details 3) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Undistributed earnings of foreign subsidiaries deemed permanently reinvested  
U.S. federal income tax statutory rate 35.00%
U.S. income taxes
 
Undistributed earnings of foreign subsidiaries deemed permanently reinvested  
Undistributed earnings of foreign subsidiaries deemed permanently reinvested 11
Venezuela
 
Undistributed earnings of foreign subsidiaries deemed permanently reinvested  
Undistributed earnings of foreign subsidiaries deemed permanently reinvested 536
XML 26 R89.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Reporting (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Segment reporting information                      
External revenues                 $ 29,740 $ 27,226 $ 24,102
Revenues 8,054 7,416 7,224 7,046 7,463 6,844 6,600 6,319 29,740 27,226 24,102
Operating profit (loss) 1,298 1,068 1,411 1,308 1,214 1,030 1,230 1,155 5,085 4,629 3,896
Depreciation and amortization expense                 2,437 2,349 2,482
Operating Profit (Loss) Before Depreciation and Amortization                 7,522 6,978 6,378
Capital expenditures                 3,349 3,170 2,416
Segment Assets 20,555       18,423       20,555 18,423 17,909
DIRECTV U.S.
                     
Segment reporting information                      
External revenues                 23,227 21,864 20,261
Intersegment revenues                 8 8 7
Revenues                 23,235 21,872 20,268
Operating profit (loss)                 4,153 3,702 3,290
Depreciation and amortization expense                 1,501 1,587 1,926
Operating Profit (Loss) Before Depreciation and Amortization                 5,654 5,289 5,216
Capital expenditures                 1,741 1,736 1,557
Segment Assets 12,490       11,796       12,490 11,796 11,400
DIRECTV Latin America
                     
Segment reporting information                      
External revenues                 6,244 5,096 3,597
Revenues                 6,244 5,096 3,597
Operating profit (loss)                 955 916 623
Depreciation and amortization expense                 907 747 541
Operating Profit (Loss) Before Depreciation and Amortization                 1,862 1,663 1,164
Capital expenditures                 1,598 1,428 857
Segment Assets 6,286       5,264       6,286 5,264 4,696
Sky Brasil
                     
Segment reporting information                      
External revenues                 3,501 3,020 2,013
Revenues                 3,501 3,020 2,013
Operating profit (loss)                 555 542 383
Depreciation and amortization expense                 533 449 298
Operating Profit (Loss) Before Depreciation and Amortization                 1,088 991 681
Capital expenditures                 812 902 468
Segment Assets 2,951       2,663       2,951 2,663 2,566
PanAmericana
                     
Segment reporting information                      
External revenues                 2,743 2,076 1,584
Revenues                 2,743 2,076 1,584
Operating profit (loss)                 400 374 240
Depreciation and amortization expense                 374 298 243
Operating Profit (Loss) Before Depreciation and Amortization                 774 672 483
Capital expenditures                 786 526 389
Segment Assets 3,335       2,601       3,335 2,601 2,130
Sports Networks, Eliminations and Other
                     
Segment reporting information                      
External revenues                 269 266 244
Intersegment revenues                 (8) (8) (7)
Revenues                 261 258 237
Operating profit (loss)                 (23) 11 (17)
Depreciation and amortization expense                 29 15 15
Operating Profit (Loss) Before Depreciation and Amortization                 6 26 (2)
Capital expenditures                 10 6 2
Segment Assets $ 1,779       $ 1,363       $ 1,779 $ 1,363 $ 1,813
XML 27 R57.htm IDEA: XBRL DOCUMENT v2.4.0.6
Basis of Presentation and Summary of Significant Accounting Policies (Details 3) (USD $)
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Advertising Costs      
Advertising expense $ 514,000,000 $ 464,000,000 $ 396,000,000
Maximum
     
Share-Based Payment      
Requisite service period over which compensation expense for stock based awards is recognized 3 years    
Market Concentrations and Credit Risk      
Amount of credit extended to individual residential subscribers $ 200    
XML 28 R76.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Other Postretirement Benefit Plans (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Pension Benefits
     
Change in Net Benefit Obligation      
Net benefit obligation at beginning of year $ 583 $ 521  
Service cost 32 25 19
Interest cost 30 29 28
Plan participants' contributions 1 1  
Actuarial (gain) loss 91 43  
Benefits paid (37) (36)  
Settlements (36)    
Net benefit obligation at end of year 664 583 521
Change in Plan Assets      
Fair value of plan assets at beginning of year 448 429  
Actual return on plan assets 49 14  
Employer contributions 70 40  
Plan participants' contributions 1 1  
Benefits paid (37) (36)  
Settlements (36)    
Fair value of plan assets at end of year 495 448 429
Funded status at end of year (169) (135)  
Amounts recognized in the consolidated balance sheets consist of:      
Accounts payable and accrued liabilities (6) (6)  
Other liabilities and deferred credits (163) (129)  
Deferred tax assets 115 94  
Accumulated other comprehensive loss 184 149  
Amounts recognized in the accumulated other comprehensive loss consist of:      
Unamortized net amount resulting from changes in defined benefit plan experience and actuarial assumptions, net of taxes 182 147  
Unamortized amount resulting from changes in defined benefit plan provisions, net of taxes 2 2  
Total 184 149  
Amount amortized from accumulated other comprehensive income into net periodic benefit cost      
Expense resulting from changes in plan experience and actuarial assumptions 27    
Expense resulting from changes in plan provisions 1    
Accumulated benefit obligation 583 531  
Other Postretirement Benefits
     
Pension and Other Postretirement Benefits Plans      
Plan benefits, participating employees age limit 65 years    
Change in Net Benefit Obligation      
Net benefit obligation at beginning of year 23 21  
Service cost 1 1 1
Interest cost 1 1 1
Actuarial (gain) loss (3) 1  
Benefits paid (1) (1)  
Net benefit obligation at end of year 21 23 21
Change in Plan Assets      
Employer contributions 1 1  
Benefits paid (1) (1)  
Funded status at end of year (21) (23)  
Amounts recognized in the consolidated balance sheets consist of:      
Accounts payable and accrued liabilities (2) (2)  
Other liabilities and deferred credits (19) (21)  
Deferred tax assets   1  
Accumulated other comprehensive loss   2  
Amounts recognized in the accumulated other comprehensive loss consist of:      
Unamortized net amount resulting from changes in defined benefit plan experience and actuarial assumptions, net of taxes   2  
Total   $ 2  
Other Postretirement Benefits | Minimum
     
Pension and Other Postretirement Benefits Plans      
Employees' retirement age, eligible for participation in the plan 55 years    
Other Postretirement Benefits | Maximum
     
Pension and Other Postretirement Benefits Plans      
Employees' retirement age, eligible for participation in the plan 65 years    
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Share-Based Compensation (Details 3) (USD $)
In Millions, except Per Share data, unless otherwise specified
12 Months Ended 12 Months Ended 12 Months Ended 0 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2012
Stock Options & Stock Appreciation Rights
Persons Other Than Employees And Directors
Dec. 31, 2011
Stock Options & Stock Appreciation Rights
Persons Other Than Employees And Directors
Dec. 31, 2010
Stock Options & Stock Appreciation Rights
Persons Other Than Employees And Directors
Dec. 31, 2012
DIRECTV Plan
Stock Options
Dec. 31, 2010
DIRECTV Plan
Stock Options
Nov. 19, 2009
Liberty Transaction
Dec. 31, 2012
Liberty Transaction
Persons Other Than Employees And Directors
Dec. 31, 2011
Liberty Transaction
Persons Other Than Employees And Directors
Dec. 31, 2010
Liberty Transaction
Persons Other Than Employees And Directors
Nov. 19, 2009
Liberty Transaction
Persons Other Than Employees And Directors
Dec. 31, 2012
Liberty Transaction
Persons Other Than Employees And Directors
Minimum
Dec. 31, 2011
Liberty Transaction
Persons Other Than Employees And Directors
Minimum
Dec. 31, 2010
Liberty Transaction
Persons Other Than Employees And Directors
Minimum
Dec. 31, 2012
Liberty Transaction
Persons Other Than Employees And Directors
Maximum
Dec. 31, 2011
Liberty Transaction
Persons Other Than Employees And Directors
Maximum
Dec. 31, 2010
Liberty Transaction
Persons Other Than Employees And Directors
Maximum
Nov. 19, 2009
Liberty Transaction
Restricted Stock Units
Share-Based Payment                                        
Number of common stock options and stock appreciation rights issued by LEI, assumed (in shares)                 16.7                      
Number of common stock issued to LEI Plan holders                                       1.1
Assumptions used in the fair value calculations for stock options granted                                        
Estimated fair value (in dollars per share)                   $ 34.59 $ 26.63 $ 22.52                
Estimated grant-date fair value (in dollars per share)             $ 15.83 $ 12.36                        
Expected stock volatility (as a percent)             29.00% 26.90%   22.80% 27.50% 26.50%                
Range of risk-free interest rates, minimum (as a percent)             1.08%     0.02% 0.06% 0.07%                
Range of risk-free interest rates, maximum (as a percent)             1.41%     0.36% 0.83% 2.01%                
Range of risk-free interest rate (as a percent)               3.35%                        
Range of expected option lives             7 years 7 years           2 months 12 days 6 months 1 month 6 days 4 years 4 months 24 days 5 years 4 months 24 days 6 years 4 months 24 days  
Additional General Disclosures                                        
Intrinsic value of awards assumed which were exercised       $ 3 $ 8 $ 145                            
Awards outstanding (in shares)                   0.4 0.6   8.8              
Stock options exercised 3   38                                  
Fair value of awards outstanding                   12.0 15.0                  
Net loss recognized for exercised options and fair value adjustment $ 4 $ 4 $ 11             $ 4 $ 4 $ 11                
XML 30 R81.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stockholders' Deficit (Details 3) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Losses related to changes in plan experience and actuarial assumptions arising during the period      
Pre-Tax $ (73) $ (64)  
Tax Benefit (Expense) (28) (25)  
Net of Tax (45) (39)  
Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost      
Pre-Tax 19 15 13
Tax (Benefit) Expense 7 6 5
Net of Tax 12 9 8
Amortization of amounts resulting from changes in plan provisions recognized as periodic benefit cost      
Pre-tax   2  
Tax (Benefit) Expense   1  
Net of Tax   1  
Unrealized losses arising during the period      
Pre-Tax (16)    
Tax Benefit (Expense) (6)    
Net of Tax (10)    
Reclassification adjustments included in net income      
Pre-Tax (11)    
Tax Benefit (Expense) (4)    
Net of Tax (7)    
Foreign currency translation adjustments      
Pre-Tax (53) (153) 32
Foreign currency translation adjustments (21) (59) 12
Net of Tax (32) (94) 20
Unrealized holding gains (losses) on securities      
Pre-Tax (7) (10) 6
Tax Benefit (Expense) (3) (4) 2
Net of Tax (4) (6) 4
Reclassification adjustment for net gains recognized during period      
Pre-tax     (5)
Tax Benefit (Expense)     (2)
Net of Tax     (3)
Other comprehensive income (loss)      
Pre-Tax (141) (210) 46
Tax Benefit (Expense) (55) (81) 17
Other comprehensive income (loss) (86) (129) 29
Changes in accumulated other comprehensive loss      
Balance at the beginning of the period (156) (27) (56)
Other comprehensive income (loss) (86) (129) 29
Balance at the end of the period (242) (156) (27)
Defined Benefit Plans
     
Other comprehensive income (loss)      
Other comprehensive income (loss) (33) (29) 8
Changes in accumulated other comprehensive loss      
Balance at the beginning of the period (151) (122) (130)
Other comprehensive income (loss) (33) (29) 8
Balance at the end of the period (184) (151) (122)
Cross-Currency Swaps
     
Other comprehensive income (loss)      
Other comprehensive income (loss) (17)    
Changes in accumulated other comprehensive loss      
Other comprehensive income (loss) (17)    
Balance at the end of the period (17)    
Foreign Currency Items
     
Other comprehensive income (loss)      
Other comprehensive income (loss) (32) (94) 20
Changes in accumulated other comprehensive loss      
Balance at the beginning of the period (8) 86 66
Other comprehensive income (loss) (32) (94) 20
Balance at the end of the period (40) (8) 86
Unrealized Gains (Losses) on Securities
     
Other comprehensive income (loss)      
Other comprehensive income (loss) (4) (6) 1
Changes in accumulated other comprehensive loss      
Balance at the beginning of the period 3 9 8
Other comprehensive income (loss) (4) (6) 1
Balance at the end of the period $ (1) $ 3 $ 9
XML 31 R87.htm IDEA: XBRL DOCUMENT v2.4.0.6
Other Income and Expenses (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Other Income and Expenses      
Equity in earnings from unconsolidated affiliates $ 131 $ 109 $ 90
Net foreign currency transaction gain (loss) (34) (50) 11
Fair-value adjustment loss on non-employee stock awards (4) (4) (11)
Loss on early extinguishment of debt (64) (25) (16)
Gain on sale of investments 122 63 6
Other (11) (9) (11)
Total other, net $ 140 $ 84 $ 69
XML 32 R77.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Other Postretirement Benefit Plans (Details 2) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Other investment
     
Target allocation by major asset categories      
Minimum target allocation (as a percent) 0.00%    
Maximum target allocation (as a percent) 40.00%    
Debt securities
     
Target allocation by major asset categories      
Minimum target allocation (as a percent) 30.00%    
Maximum target allocation (as a percent) 50.00%    
Equity securities:
     
Target allocation by major asset categories      
Minimum target allocation (as a percent) 20.00%    
Maximum target allocation (as a percent) 60.00%    
Pension Benefits
     
Information for pension plans with an accumulated benefit obligation in excess of plan assets      
Accumulated benefit obligation $ 93 $ 531  
Fair value of plan assets   448  
Information for pension plans with a projected benefit obligation in excess of plan assets      
Projected benefit obligation 664 583  
Fair value of plan assets 495 448  
Components of net periodic benefit cost      
Benefits earned during the year 32 25 19
Interest accrued on benefits earned in prior years 30 29 28
Expected return on plan assets (34) (34) (32)
Amortization components      
Amount resulting from changes in plan provisions 1 1 1
Net amount resulting from changes in plan experience and actuarial assumptions 19 14 14
Net periodic benefit cost 48 35 30
Weighted average assumptions used to determine benefit obligations      
Rate of compensation increase (as a percent) 4.00% 4.00%  
Weighted average assumptions used to determine net periodic pension costs      
Expected long-term return on plan assets (as a percent) 7.75% 8.00% 8.25%
Rate of compensation increase (as a percent) 4.00% 4.00% 4.00%
Pension Benefits | Qualified Plans
     
Weighted average assumptions used to determine benefit obligations      
Discount rate (as a percent) 3.92% 4.99%  
Weighted average assumptions used to determine net periodic pension costs      
Discount rate (as a percent) 4.99% 5.59% 5.64%
Pension Benefits | Non-Qualified Plans
     
Weighted average assumptions used to determine benefit obligations      
Discount rate (as a percent) 3.91% 4.92%  
Weighted average assumptions used to determine net periodic pension costs      
Discount rate (as a percent) 4.92% 5.54% 5.63%
Other Postretirement Benefits
     
Components of net periodic benefit cost      
Benefits earned during the year 1 1 1
Interest accrued on benefits earned in prior years 1 1 1
Amortization components      
Amount resulting from changes in plan provisions     (1)
Net periodic benefit cost $ 2 $ 2 $ 1
Weighted average assumptions used to determine benefit obligations      
Rate of compensation increase (as a percent) 4.00% 4.00%  
Weighted average assumptions used to determine net periodic pension costs      
Rate of compensation increase (as a percent) 4.00% 4.00% 4.00%
Assumed health care costs trend rates      
Health care cost trend rate (as a percent) 8.00% 8.00% 8.00%
Rate to which the cost trend rate is assumed to decline (ultimate trend rate, as a percent) 5.00% 5.00% 5.00%
Year that trend rate reaches the ultimate trend rate 2017 2017 2017
Other Postretirement Benefits | Qualified Plans
     
Weighted average assumptions used to determine benefit obligations      
Discount rate (as a percent) 3.47% 4.48%  
Weighted average assumptions used to determine net periodic pension costs      
Discount rate (as a percent) 4.48% 4.99% 5.21%
XML 33 R71.htm IDEA: XBRL DOCUMENT v2.4.0.6
Income Taxes (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Current tax expense:      
U.S. federal $ 980 $ 631 $ 391
Foreign 309 253 227
State and local 113 107 20
Total 1,402 991 638
Deferred tax expense (benefit):      
U.S. federal (25) 284 596
Foreign 63 59 (118)
State and local 25 14 86
Total 63 357 564
Total income tax expense 1,465 1,348 1,202
Income before income taxes      
U.S. income 3,442 3,044 2,809
Foreign income 1,000 940 705
Income before income taxes 4,442 3,984 3,514
Reconciliation of income tax expense      
Expected expense at U.S. federal statutory income tax rate 1,555 1,394 1,230
U.S. state and local income tax expense, net of federal benefit 87 75 106
Liberty Transaction charges not recoverable 1 1 4
Change in unrecognized tax benefits (154) 40 (40)
Noncontrolling interests in partnership earnings and taxes   2 (44)
Foreign taxes, net of federal tax benefits (3) (82) 9
Change in valuation allowance 3 (40) (32)
Multistate tax planning     (20)
Tax credits (30) (47) (7)
Other 6 5 (4)
Total income tax expense 1,465 1,348 1,202
Deferred Tax Assets      
Accruals and advances 466 418  
State taxes 74 73  
Net operating loss and tax credit carryforwards 626 610  
Programming contract liabilities 46 48  
Tax basis differences in investments and affiliates 261 91  
Other   6  
Subtotal 1,473 1,246  
Valuation allowance (432) (466)  
Total deferred taxes 1,041 780  
Deferred Tax Liabilities      
Accruals and advances 273 268  
Prepaid expenses 32 34  
Depreciation, amortization and asset impairment charges 1,406 1,155  
Unrealized foreign exchange gains or losses 79 105  
Tax basis differences in investments and affiliates 824 804  
Other   5  
Total deferred taxes 2,614 2,371  
Noncurrent deferred tax assets included in Investment and other assets in the Consolidated Balance Sheets 116 210  
Current deferred tax liabilities included in Accounts payable and accrued liabilities in the Consolidated Balance Sheets $ 90 $ 92  
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Earnings Per Common Share
12 Months Ended
Dec. 31, 2012
Earnings Per Common Share  
Earnings Per Common Share

Note 16: Earnings Per Common Share

        We compute basic earnings per common share, or EPS, by dividing net income by the weighted average number of common shares outstanding for the period.

        Diluted EPS considers the effect of common equivalent shares, which consist entirely of common stock options and unvested restricted stock units issued to employees. During the year ended December 31, 2012, we excluded 1.0 million common stock options from the computation of diluted EPS because the inclusion of the potential common shares would have had an antidilutive effect. We did not exclude any common stock options from the computation of diluted EPS during 2011 or 2010.

Malone Transaction

        From January 1, 2010 to June 16, 2010, we allocated "Net income attributable to DIRECTV" in the Consolidated Statements of Operations to the Class A and Class B common stockholders based on the weighted average shares outstanding for each class through the close of the Malone Transaction on June 16, 2010. At the close of the transaction, we exchanged 21.8 million shares of Class B common stock, which represented all of the issued and outstanding Class B common stock, for 26.5 million shares of Class A common stock. We accounted for this exchange of DIRECTV Class B common stock into DIRECTV Class A common stock pursuant to accounting standards for induced conversions, whereby the $160 million in incremental DIRECTV Class A common stock issued to the former DIRECTV Class B stockholders has been deducted from earnings attributable to DIRECTV Class A stockholders for purposes of calculating earnings per share in the Consolidated Statements of Operations. We included the $160 million in income attributable to Class B common stockholders. This adjustment had the effect of reducing diluted earnings per DIRECTV Class A common share by $0.18 for the year ended December 31, 2010. After the close of the Malone Transaction we allocate all net income attributable to DIRECTV to the Class A stockholders. For the years ended December 31, 2012, 2011 and 2010, there were no dilutive securities outstanding for the Class B common stock. See Note 15 for additional information regarding the Malone Transaction.

        The reconciliation of the amounts used in the basic and diluted EPS computation was as follows:

 
 
Income
 
Shares
 
Per Share
Amounts
 
 
  (Dollars and Shares in Millions,
Except Per Share Amounts)

 

Year Ended December 31, 2012:

                   

Basic EPS

                   

Net income attributable to DIRECTV common stockholders

  $ 2,949     638   $ 4.62  

Effect of Dilutive Securities

                   

Dilutive effect of stock options and restricted stock units

        6     (0.04 )
               

Diluted EPS

                   

Adjusted net income attributable to DIRECTV common stockholders

  $ 2,949     644   $ 4.58  
               

Year Ended December 31, 2011:

                   

Basic EPS

                   

Net income attributable to DIRECTV common stockholders

  $ 2,609     747   $ 3.49  

Effect of Dilutive Securities

                   

Dilutive effect of stock options and restricted stock units

        5     (0.02 )
               

Diluted EPS

                   

Adjusted net income attributable to DIRECTV common stockholders

  $ 2,609     752   $ 3.47  
               

Year Ended December 31, 2010:

                   

Class A common stock:

                   

Basic EPS

                   

Net income attributable to DIRECTV Class A common stockholders

  $ 2,014     870   $ 2.31  

Effect of Dilutive Securities

                   

Dilutive effect of stock options and restricted stock units

        6     (0.01 )
               

Diluted EPS

                   

Adjusted net income attributable to DIRECTV Class A common stockholders

  $ 2,014     876   $ 2.30  
               

Class B common stock:

                   

Basic and diluted EPS

                   

Net income attributable to DIRECTV Class B common stockholders, including $160 million exchange inducement value for the Malone Transaction

  $ 184     22   $ 8.44  
               
XML 35 R50.htm IDEA: XBRL DOCUMENT v2.4.0.6
Related-Party Transactions (Tables)
12 Months Ended
Dec. 31, 2012
Related-Party Transactions  
Schedule of sales and purchase transactions with related parties

 

 

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Sales:

                   

Liberty Media and affiliates

  $   $   $ 26  

Discovery Communications, Liberty Global and affiliates

            5  

Globo and other

    5     6     13  
               

Total

  $ 5   $ 6   $ 44  
               

Purchases:

                   

Liberty Media and affiliates

  $   $   $ 143  

Discovery Communications, Liberty Global and affiliates

            128  

Globo and other

    874     854     622  
               

Total

  $ 874   $ 854   $ 893  
               

   

Schedule of accounts receivable from and accounts payable to related parties

 

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Accounts receivable

  $ 26   $ 1  

Accounts payable

    90     96  

   

XML 36 R42.htm IDEA: XBRL DOCUMENT v2.4.0.6
Debt (Tables)
12 Months Ended
Dec. 31, 2012
Debt  
Schedule of outstanding debt

 

 

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Long-term debt

             

Senior notes

  $ 17,170   $ 13,464  

Short-term borrowings

             

Commercial paper

    358      
           

Total debt

  $ 17,528   $ 13,464  
           
Schedule of Senior notes issued on 8 March 2012

 

 

 
 
Principal
 
Proceeds, net
of discount
 
 
  (Dollars in Millions)
 

2.400% senior notes due in 2017

  $ 1,250   $ 1,249  

3.800% senior notes due in 2022

    1,500     1,499  

5.150% senior notes due in 2042

    1,250     1,248  
           

 

  $ 4,000   $ 3,996  
           

        

Schedule of Senior notes issued on 10 March 2011

 

 

 
 
Principal
 
Proceeds, net
of discount
 
 
  (Dollars in Millions)
 

3.500% senior notes due in 2016

  $ 1,500   $ 1,497  

5.000% senior notes due in 2021

    1,500     1,493  

6.375% senior notes due in 2041

    1,000     1,000  
           

 

  $ 4,000   $ 3,990  
           

     

Schedule of Senior notes issued on 11 March 2010

 

 

 
 
Principal
 
Proceeds, net
of discount
 
 
  (Dollars in Millions)
 

3.550% senior notes due in 2015

  $ 1,200   $ 1,199  

5.200% senior notes due in 2020

    1,300     1,298  

6.350% senior notes due in 2040

    500     499  
           

 

  $ 3,000   $ 2,996  
           

    

Schedule of Senior notes issued on 17 August 2010

 

 

 
 
Principal
 
Proceeds, net
of discount
 
 
  (Dollars in Millions)
 

3.125% senior notes due in 2016

  $ 750   $ 750  

4.600% senior notes due in 2021

    1,000     999  

6.000% senior notes due in 2040

    1,250     1,233  
           

 

  $ 3,000   $ 2,982  
           

   

Schedule of outstanding senior notes

 

 

 
 
Principal amount
 
Carrying value, net of
unamortized original
issue discounts or
including premiums
 
 
 
2012
 
2012
 
2011
 
 
  (Dollars in Millions)
 

4.750% senior notes due in 2014

  $ 1,000   $ 999   $ 999  

3.550% senior notes due in 2015

    1,200     1,200     1,199  

3.125% senior notes due in 2016

    750     750     750  

3.500% senior notes due in 2016

    1,500     1,498     1,498  

7.625% senior notes due in 2016

            1,500  

2.400% senior notes due in 2017

    1,250     1,249      

5.875% senior notes due in 2019

    1,000     995     994  

5.200% senior notes due in 2020

    1,300     1,298     1,298  

4.600% senior notes due in 2021

    1,000     999     999  

5.000% senior notes due in 2021

    1,500     1,495     1,494  

3.800% senior notes due in 2022

    1,500     1,499      

4.375% senior notes due in 2029 (1)

    1,219     1,206      

6.350% senior notes due in 2040

    500     500     499  

6.000% senior notes due in 2040

    1,250     1,234     1,234  

6.375% senior notes due in 2041

    1,000     1,000     1,000  

5.150% senior notes due in 2042

    1,250     1,248      
               

Total senior notes

  $ 17,219   $ 17,170   $ 13,464  
               

(1)
The amounts for the 4.375% senior notes due in 2029 reflect the remeasurement of £750 million aggregate principal and £742 million carrying value to U.S. dollars based on the exchange rate of £1.00/$1.63 at December 31, 2012.
XML 37 R75.htm IDEA: XBRL DOCUMENT v2.4.0.6
Capital Lease Obligations (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Future minimum capital lease payments      
2013 $ 100    
2014 96    
2015 90    
2016 84    
2017 79    
Thereafter 289    
Total minimum lease payments 738    
Less: Amount representing interest (210)    
Present value of net minimum lease payments 528    
Assets held under capital lease      
Interest paid on capital leases 47 51 55
Satellite
     
Assets held under capital lease      
Assets held under capital lease, gross 509 527  
Assets held under capital lease, accumulated amortization (190) (140)  
Assets held under capital lease, net 319 387  
Property and equipment
     
Assets held under capital lease      
Assets held under capital lease, gross 129 104  
Assets held under capital lease, accumulated amortization (47) (38)  
Assets held under capital lease, net $ 82 $ 66  
XML 38 R97.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidating Financial Statements (Details 3) (USD $)
In Millions, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2009
ASSETS        
Total current assets $ 5,554 $ 4,241    
Satellites, net 2,357 2,215    
Property and equipment, net 6,038 5,223    
Goodwill 4,063 4,097 4,148  
Intangible assets, net 832 909    
Other assets 1,711 1,738    
Total assets 20,555 18,423 17,909  
LIABILITIES AND STOCKHOLDERS' EQUITY (DEFICIT)        
Total current liabilities 5,541 4,743    
Long-term debt 17,170 13,464    
Deferred income taxes 1,672 1,771    
Other liabilities and deferred credits 1,203 1,287    
Redeemable noncontrolling interest 400 265    
Stockholders' equity (deficit)        
Capital stock and additional paid-in capital 4,021 4,799    
Retained earnings (accumulated deficit) (9,210) (7,750)    
Accumulated other comprehensive loss (242) (156) (27) (56)
Total stockholders' deficit (5,431) (3,107) (194) 2,911
Total liabilities and stockholders' deficit 20,555 18,423    
Parent Guarantor
       
ASSETS        
Total current assets 883 412    
Intercompany receivables 4,382 3,746    
Investment in subsidiaries (8,687) (5,510)    
Other assets 180 74    
Total assets (3,242) (1,278)    
LIABILITIES AND STOCKHOLDERS' EQUITY (DEFICIT)        
Total current liabilities 384 383    
Intercompany liabilities 1,401 895    
Other liabilities and deferred credits 404 551    
Stockholders' equity (deficit)        
Capital stock and additional paid-in capital 4,021 4,799    
Retained earnings (accumulated deficit) (9,210) (7,750)    
Accumulated other comprehensive loss (242) (156)    
Total stockholders' deficit (5,431) (3,107)    
Total liabilities and stockholders' deficit (3,242) (1,278)    
Co-Issuers
       
ASSETS        
Total current assets 844 533    
Goodwill 1,828 1,828    
Intercompany receivables 6,152 4,011    
Investment in subsidiaries 15,001 12,057    
Other assets 91 64    
Total assets 23,956 18,493    
LIABILITIES AND STOCKHOLDERS' EQUITY (DEFICIT)        
Total current liabilities 646 204    
Long-term debt 17,170 13,464    
Intercompany liabilities 16,355 11,582    
Other liabilities and deferred credits 131 82    
Stockholders' equity (deficit)        
Capital stock and additional paid-in capital 12 11    
Retained earnings (accumulated deficit) (10,341) (6,850)    
Accumulated other comprehensive loss (17)      
Total stockholders' deficit (10,346) (6,839)    
Total liabilities and stockholders' deficit 23,956 18,493    
Guarantor Subsidiaries
       
ASSETS        
Total current assets 2,788 2,514    
Satellites, net 1,795 1,724    
Property and equipment, net 3,290 3,084    
Goodwill 1,349 1,349    
Intangible assets, net 453 461    
Intercompany receivables 16,355 11,582    
Other assets 241 256    
Total assets 26,271 20,970    
LIABILITIES AND STOCKHOLDERS' EQUITY (DEFICIT)        
Total current liabilities 3,526 3,422    
Deferred income taxes 1,397 1,321    
Intercompany liabilities 6,152 4,011    
Other liabilities and deferred credits 195 159    
Stockholders' equity (deficit)        
Capital stock and additional paid-in capital 4,802 4,684    
Retained earnings (accumulated deficit) 10,199 7,373    
Total stockholders' deficit 15,001 12,057    
Total liabilities and stockholders' deficit 26,271 20,970    
Non-guarantor Subsidiaries
       
ASSETS        
Total current assets 2,039 1,397    
Satellites, net 562 491    
Property and equipment, net 2,748 2,139    
Goodwill 886 920    
Intangible assets, net 379 448    
Intercompany receivables 3,703 3,442    
Investment in subsidiaries (10,915) (7,607)    
Other assets 1,294 1,425    
Total assets 696 2,655    
LIABILITIES AND STOCKHOLDERS' EQUITY (DEFICIT)        
Total current liabilities 2,025 1,349    
Deferred income taxes 361 531    
Intercompany liabilities 6,684 6,293    
Other liabilities and deferred credits 482 495    
Redeemable noncontrolling interest 400 265    
Stockholders' equity (deficit)        
Capital stock and additional paid-in capital (6,632) (561)    
Retained earnings (accumulated deficit) (2,560) (5,703)    
Accumulated other comprehensive loss (64) (14)    
Total stockholders' deficit (9,256) (6,278)    
Total liabilities and stockholders' deficit 696 2,655    
Eliminations
       
ASSETS        
Total current assets (1,040) (615)    
Intercompany receivables (30,592) (22,781)    
Investment in subsidiaries 4,601 1,060    
Other assets (95) (81)    
Total assets (27,126) (22,417)    
LIABILITIES AND STOCKHOLDERS' EQUITY (DEFICIT)        
Total current liabilities (1,040) (615)    
Deferred income taxes (86) (81)    
Intercompany liabilities (30,592) (22,781)    
Other liabilities and deferred credits (9)      
Stockholders' equity (deficit)        
Capital stock and additional paid-in capital 1,818 (4,134)    
Retained earnings (accumulated deficit) 2,702 5,180    
Accumulated other comprehensive loss 81 14    
Total stockholders' deficit 4,601 1,060    
Total liabilities and stockholders' deficit $ (27,126) $ (22,417)    
XML 39 R37.htm IDEA: XBRL DOCUMENT v2.4.0.6
Accounts Receivable, Net (Tables)
12 Months Ended
Dec. 31, 2012
Accounts Receivable, Net  
Schedule of accounts receivable, net

 

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Subscriber

  $ 1,804   $ 1,639  

Telco

    459     512  

Trade and other

    514     402  
           

Total

    2,777     2,553  

Less: Allowance for doubtful accounts

    (81 )   (79 )
           

Accounts receivable, net

  $ 2,696   $ 2,474  
           
 
XML 40 R52.htm IDEA: XBRL DOCUMENT v2.4.0.6
Selected Quarterly Data (Unaudited) (Tables)
12 Months Ended
Dec. 31, 2012
Selected Quarterly Data (Unaudited)  
Schedule of unaudited quarterly data

 

 

 
 
1st
 
2nd
 
3rd
 
4th
 
 
  (Dollars in Millions,
Except Per Share Amounts)

 

2012 Quarters

                         

Revenues

  $ 7,046   $ 7,224   $ 7,416   $ 8,054  

Operating profit

    1,308     1,411     1,068     1,298  

Net income attributable to DIRECTV

    731     711     565     942  

Basic earnings attributable to DIRECTV common stockholders per common share

    1.08     1.09     0.91     1.57  

Diluted earnings attributable to DIRECTV common stockholders per common share

    1.07     1.09     0.90     1.55  

2011 Quarters

                         

Revenues

  $ 6,319   $ 6,600   $ 6,844   $ 7,463  

Operating profit

    1,155     1,230     1,030     1,214  

Net income attributable to DIRECTV

    674     701     516     718  

Basic earnings attributable to DIRECTV common stockholders per common share

    0.85     0.92     0.70     1.02  

Diluted earnings attributable to DIRECTV common stockholders per common share

    0.85     0.91     0.70     1.02  
XML 41 R67.htm IDEA: XBRL DOCUMENT v2.4.0.6
Debt (Details) (USD $)
In Millions, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Debt    
Long-term debt $ 17,170 $ 13,464
Short-term borrowings 358  
Total debt $ 17,528 $ 13,464
XML 42 R61.htm IDEA: XBRL DOCUMENT v2.4.0.6
Satellites, Net and Property and Equipment, Net (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended 12 Months Ended 12 Months Ended 12 Months Ended 12 Months Ended 6 Months Ended 12 Months Ended 12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2012
Land and Improvements
Dec. 31, 2011
Land and Improvements
Dec. 31, 2012
Land and Improvements
Minimum
Dec. 31, 2012
Land and Improvements
Maximum
Dec. 31, 2012
Building and Leasehold Improvements
Dec. 31, 2011
Building and Leasehold Improvements
Dec. 31, 2012
Building and Leasehold Improvements
Minimum
Dec. 31, 2012
Building and Leasehold Improvements
Maximum
Dec. 31, 2012
Machinery and equipment
Dec. 31, 2011
Machinery and equipment
Dec. 31, 2012
Machinery and equipment
Minimum
Dec. 31, 2012
Machinery and equipment
Maximum
Dec. 31, 2012
Capitalized Software
Dec. 31, 2011
Capitalized Software
Dec. 31, 2012
Subscriber leased set-top equipment
Dec. 31, 2011
Subscriber leased set-top equipment
Dec. 31, 2012
Subscriber leased set-top equipment
Minimum
Dec. 31, 2012
Subscriber leased set-top equipment
Maximum
Jun. 30, 2011
Subscriber leased set-top equipment
High definition
DIRECTV U.S.
Before change in estimate
Change in Accounting Estimate, Increase in Depreciable Lives
Dec. 31, 2011
Subscriber leased set-top equipment
High definition
DIRECTV U.S.
After change in estimate
Change in Accounting Estimate, Increase in Depreciable Lives
Dec. 31, 2012
Subscriber leased set-top equipment
High definition
DIRECTV U.S.
After change in estimate
Change in Accounting Estimate, Increase in Depreciable Lives
Dec. 31, 2012
Subscriber leased set-top equipment
High definition
DIRECTV Latin America
Dec. 31, 2011
Subscriber leased set-top equipment
High definition
DIRECTV Latin America
Dec. 31, 2010
Subscriber leased set-top equipment
High definition
DIRECTV Latin America
Dec. 31, 2012
Subscriber leased set-top equipment
Standard definition
DIRECTV U.S.
Dec. 31, 2011
Subscriber leased set-top equipment
Standard definition
DIRECTV U.S.
Dec. 31, 2010
Subscriber leased set-top equipment
Standard definition
DIRECTV U.S.
Dec. 31, 2012
Subscriber leased set-top equipment
Standard definition
DIRECTV Latin America
Dec. 31, 2011
Subscriber leased set-top equipment
Standard definition
DIRECTV Latin America
Dec. 31, 2010
Subscriber leased set-top equipment
Standard definition
DIRECTV Latin America
Dec. 31, 2012
Construction in-progress
Dec. 31, 2011
Construction in-progress
Dec. 31, 2012
Satellites
Dec. 31, 2011
Satellites
Dec. 31, 2012
Satellites
Minimum
Dec. 31, 2012
Satellites
Maximum
Dec. 31, 2012
Satellites under construction
Dec. 31, 2011
Satellites under construction
Satellites, net and property and equipment, net                                                                                  
Satellites, total $ 3,881 $ 3,508                                                                   $ 3,188 $ 3,206     $ 693 $ 302
Less: Accumulated depreciation (1,524) (1,293)                                                                              
Satellites, net 2,357 2,215                                                                              
Property and equipment, total 14,668 13,118   44 44     441 406     1,988 1,947     2,392 2,198 9,053 8,105                             750 418            
Less: Accumulated depreciation (8,630) (7,895)                               (5,040) (4,618)                                            
Property and equipment, net 6,038 5,223                               4,013 3,487                                            
Estimated useful lives 3 years         9 years 30 years     2 years 40 years     2 years 23 years 3 years       3 years 7 years 3 years 4 years 4 years 3 years 3 years 3 years 3 years 3 years 3 years 7 years 7 years 7 years         10 years 16 years    
Depreciation expense, including amortization of property and equipment and satellites held under capital leases 2,342 2,213 2,292                                                                            
Interest costs capitalized $ 24 $ 13 $ 6                                                                            
XML 43 R47.htm IDEA: XBRL DOCUMENT v2.4.0.6
Earnings Per Common Share (Tables)
12 Months Ended
Dec. 31, 2012
Earnings Per Common Share  
Schedule of reconciliation of the amounts used in the basic and diluted EPS

 

 

 
 
Income
 
Shares
 
Per Share
Amounts
 
 
  (Dollars and Shares in Millions,
Except Per Share Amounts)

 

Year Ended December 31, 2012:

                   

Basic EPS

                   

Net income attributable to DIRECTV common stockholders

  $ 2,949     638   $ 4.62  

Effect of Dilutive Securities

                   

Dilutive effect of stock options and restricted stock units

        6     (0.04 )
               

Diluted EPS

                   

Adjusted net income attributable to DIRECTV common stockholders

  $ 2,949     644   $ 4.58  
               

Year Ended December 31, 2011:

                   

Basic EPS

                   

Net income attributable to DIRECTV common stockholders

  $ 2,609     747   $ 3.49  

Effect of Dilutive Securities

                   

Dilutive effect of stock options and restricted stock units

        5     (0.02 )
               

Diluted EPS

                   

Adjusted net income attributable to DIRECTV common stockholders

  $ 2,609     752   $ 3.47  
               

Year Ended December 31, 2010:

                   

Class A common stock:

                   

Basic EPS

                   

Net income attributable to DIRECTV Class A common stockholders

  $ 2,014     870   $ 2.31  

Effect of Dilutive Securities

                   

Dilutive effect of stock options and restricted stock units

        6     (0.01 )
               

Diluted EPS

                   

Adjusted net income attributable to DIRECTV Class A common stockholders

  $ 2,014     876   $ 2.30  
               

Class B common stock:

                   

Basic and diluted EPS

                   

Net income attributable to DIRECTV Class B common stockholders, including $160 million exchange inducement value for the Malone Transaction

  $ 184     22   $ 8.44  
               
XML 44 R9.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Cash Flows From Operating Activities      
Net income $ 2,977 $ 2,636 $ 2,312
Adjustments to reconcile income from continuing operations to net cash provided by operating activities:      
Depreciation and amortization 2,437 2,349 2,482
Amortization of deferred revenues and deferred credits (75) (39) (36)
Share-based compensation expense 109 103 82
Equity in earnings from unconsolidated affiliates (131) (109) (90)
Net foreign currency transaction (gain) loss 34 50 (11)
Dividends received 79 104 78
Gain on sale of investments (122) (63) (6)
Liberty transaction and related gain     (67)
Deferred income taxes (102) 353 386
Excess tax benefit from share-based compensation (30) (25) (11)
Other 85 53 66
Change in operating assets and liabilities:      
Accounts receivable (50) (524) (391)
Inventories (206) (33) (35)
Prepaid expenses and other 58 (139) (4)
Accounts payable and accrued liabilities 370 391 437
Unearned subscriber revenues and deferred credits 28 47 52
Other, net 173 31 (38)
Net cash provided by operating activities 5,634 5,185 5,206
Cash Flows From Investing Activities      
Cash paid for property and equipment (2,960) (2,924) (2,303)
Cash paid for satellites (389) (246) (113)
Investment in companies, net of cash acquired (16) (11) (617)
Proceeds from sale of investments 24 116 9
Other, net (22) 43 (75)
Net cash used in investing activities (3,363) (3,022) (3,099)
Cash Flows From Financing Activities      
Issuance of commercial paper (maturity 90 days or less), net 156    
Proceeds from short-term borrowings 202   38
Repayment of short-term borrowings   (39)  
Proceeds from borrowings under revolving credit facility 400    
Repayment of borrowings under revolving credit facility (400)    
Proceeds from issuance of long-term debt 5,190 3,990 5,978
Debt issuance costs (36) (30) (44)
Repayment of long-term debt (1,500) (1,000) (2,323)
Repayment of collar loan and equity collars     (1,537)
Repayment of other long-term obligations (51) (184) (127)
Common shares repurchased and retired (5,175) (5,496) (5,111)
Stock options exercised 3   38
Taxes paid in lieu of shares issued for share-based compensation (61) (58) (118)
Excess tax benefit from share-based compensation 30 25 11
Dividends paid to redeemable noncontrolling interest     (15)
Net cash used in financing activities (1,242) (2,792) (3,210)
Net increase (decrease) in cash and cash equivalents 1,029 (629) (1,103)
Cash and cash equivalents at beginning of the year 873 1,502 2,605
Cash and cash equivalents at end of the year 1,902 873 1,502
Supplemental Cash Flow Information      
Cash paid for interest 781 687 460
Cash paid for income taxes $ 1,406 $ 1,042 $ 705
XML 45 R62.htm IDEA: XBRL DOCUMENT v2.4.0.6
Goodwill and Intangible Assets, Net (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Mar. 31, 2010
Changes in the carrying amounts of goodwill        
Goodwill, beginning balance $ 4,097 $ 4,148    
Foreign currency translation adjustment (34) (52)    
Acquisition accounting adjustments   1    
Goodwill, ending balance 4,063 4,097    
DIRECTV U.S.
       
Changes in the carrying amounts of goodwill        
Goodwill, beginning balance   3,176    
Acquisition accounting adjustments   1    
Goodwill, ending balance 3,177 3,177    
Sky Brasil
       
Changes in the carrying amounts of goodwill        
Goodwill, beginning balance 414 466    
Foreign currency translation adjustment (34) (52)    
Goodwill, ending balance 380 414 466  
Satellite rights        
Amount capitalized for satellite rights       116
Payments made to date for the right to use satellite for Sky Brazil   87 29  
Intangible asset amortization period   15 years    
PanAmericana
       
Changes in the carrying amounts of goodwill        
Goodwill, ending balance 211 211 211  
Sports Networks, Eliminations and Other
       
Changes in the carrying amounts of goodwill        
Goodwill, ending balance $ 295 $ 295 $ 295  
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Income Taxes (Tables)
12 Months Ended
Dec. 31, 2012
Income Taxes  
Schedule of components of provision for income tax

 

 

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Current tax expense:

                   

U.S. federal

  $ 980   $ 631   $ 391  

Foreign

    309     253     227  

State and local

    113     107     20  
               

Total

    1,402     991     638  
               

Deferred tax expense (benefit):

                   

U.S. federal

    (25 )   284     596  

Foreign

    63     59     (118 )

State and local

    25     14     86  
               

Total

    63     357     564  
               

Total income tax expense

  $ 1,465   $ 1,348   $ 1,202  
               

    

Schedule of income before income taxes, by jurisdictions

 

 

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

U.S. income

  $ 3,442   $ 3,044   $ 2,809  

Foreign income

    1,000     940     705  
               

Total

  $ 4,442   $ 3,984   $ 3,514  
               

   

Schedule of reconciliation of income tax expense

 

 

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Expected expense at U.S. federal statutory income tax rate

  $ 1,555   $ 1,394   $ 1,230  

U.S. state and local income tax expense, net of federal benefit

    87     75     106  

Liberty Transaction charges not recoverable

    1     1     4  

Change in unrecognized tax benefits

    (154 )   40     (40 )

Noncontrolling interests in partnership earnings and taxes

        2     (44 )

Foreign taxes, net of federal tax benefits

    (3 )   (82 )   9  

Change in valuation allowance

    3     (40 )   (32 )

Multistate tax planning

            (20 )

Tax credits

    (30 )   (47 )   (7 )

Other

    6     5     (4 )
               

Total income tax expense

  $ 1,465   $ 1,348   $ 1,202  
               

   

Schedule of temporary differences and carryforwards that gave rise to deferred tax assets and liabilities

 

 

 
 
2012
 
2011
 
 
 
Deferred
Tax
Assets
 
Deferred
Tax
Liabilities
 
Deferred
Tax
Assets
 
Deferred
Tax
Liabilities
 
 
  (Dollars in Millions)
 

Accruals and advances

  $ 466   $ 273   $ 418   $ 268  

Prepaid expenses

        32         34  

State taxes

    74         73      

Depreciation, amortization and asset impairment charges

        1,406         1,155  

Net operating loss and tax credit carryforwards

    626         610      

Programming contract liabilities

    46         48      

Unrealized foreign exchange gains or losses

        79         105  

Tax basis differences in investments and affiliates

    261     824     91     804  

Other

            6     5  
                   

Subtotal

    1,473     2,614     1,246     2,371  

Valuation allowance

    (432 )       (466 )    
                   

Total deferred taxes

  $ 1,041   $ 2,614   $ 780   $ 2,371  
                   

    

Schedule of reconciliation of the beginning and ending balances of the total amounts of gross unrecognized tax benefits

 

 

 
 
Gross Unrecognized
Tax Benefits
 
 
  (Dollars in Millions)
 

Balance as of January 1, 2010

  $ 527  

Increases in tax positions for prior years

    7  

Decreases in tax positions for prior years

    (207 )

Increases in tax positions for the current year

    35  
       

Balance as of December 31, 2010

    362  

Increases in tax positions for prior years

    17  

Decreases in tax positions for prior years

    (4 )

Increases in tax positions for the current year

    15  
       

Balance as of December 31, 2011

    390  

Decreases in tax positions for prior years

    (6 )

Increases in tax positions for the current year

    35  

Expiration of the statute of limitations

    (141 )
       

Balance as of December 31, 2012

  $ 278  
       

   

XML 48 R29.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Reporting
12 Months Ended
Dec. 31, 2012
Segment Reporting  
Segment Reporting

Note 20: Segment Reporting

        Our reportable segments, which are differentiated by their products and services as well as geographic location, are DIRECTV U.S., Sky Brasil and PanAmericana, which are engaged in acquiring, promoting, selling and distributing digital entertainment programming primarily via satellite to residential and commercial subscribers, and the Sports Networks, Eliminations and Other segment, which includes our three regional sports networks that provide programming devoted to local professional sports teams and college sporting events and locally produce their own programming. Sports Networks, Eliminations and Other also includes the corporate office, eliminations and other entities.

        The following table sets forth selected information for the results of operations for each of our reporting segments:

 
 
External
Revenues
 
Intersegment
Revenues
 
Total
Revenues
 
Operating
Profit (Loss)
 
Depreciation
and
Amortization
Expense
 
Operating Profit
(Loss) Before
Depreciation and
Amortization (1)
 
 
  (Dollars in Millions)
 

Year Ended December 31, 2012:

                                     

DIRECTV U.S. 

  $ 23,227   $ 8   $ 23,235   $ 4,153   $ 1,501   $ 5,654  

Sky Brasil

   
3,501
   
   
3,501
   
555
   
533
   
1,088
 

PanAmericana

    2,743         2,743     400     374     774  
                           

DIRECTV Latin America

    6,244         6,244     955     907     1,862  

Sports Networks, Eliminations and Other

   
269
   
(8

)
 
261
   
(23

)
 
29
   
6
 
                           

Total

  $ 29,740   $   $ 29,740   $ 5,085   $ 2,437   $ 7,522  
                           

Year Ended December 31, 2011:

                                     

DIRECTV U.S. 

  $ 21,864   $ 8   $ 21,872   $ 3,702   $ 1,587   $ 5,289  

Sky Brasil

   
3,020
   
   
3,020
   
542
   
449
   
991
 

PanAmericana

    2,076         2,076     374     298     672  
                           

DIRECTV Latin America

    5,096         5,096     916     747     1,663  

Sports Networks, Eliminations and Other

   
266
   
(8

)
 
258
   
11
   
15
   
26
 
                           

Total

  $ 27,226   $   $ 27,226   $ 4,629   $ 2,349   $ 6,978  
                           

Year Ended December 31, 2010:

                                     

DIRECTV U.S. 

  $ 20,261   $ 7   $ 20,268   $ 3,290   $ 1,926   $ 5,216  

Sky Brasil

   
2,013
   
   
2,013
   
383
   
298
   
681
 

PanAmericana

    1,584         1,584     240     243     483  
                           

DIRECTV Latin America

    3,597         3,597     623     541     1,164  

Sports Networks, Eliminations and Other

   
244
   
(7

)
 
237
   
(17

)
 
15
   
(2

)
                           

Total

  $ 24,102   $   $ 24,102   $ 3,896   $ 2,482   $ 6,378  
                           

(1)
Operating profit (loss) before depreciation and amortization, which is a financial measure that is not determined in accordance with GAAP can be calculated by adding amounts under the caption "Depreciation and amortization expense" to "Operating profit (loss)." This measure should be used in conjunction with GAAP financial measures and is not presented as an alternative measure of operating results, as determined in accordance with GAAP. Our management and Board of Directors use operating profit (loss) before depreciation and amortization to evaluate the operating performance of our company and our business segments and to allocate resources and capital to business segments. This metric is also used as a measure of performance for incentive compensation purposes and to measure income generated from operations that could be used to fund capital expenditures, service debt or pay taxes. Depreciation and amortization expense primarily represents an allocation to current expense of the cost of historical capital expenditures and for intangible assets resulting from prior business acquisitions. To compensate for the exclusion of depreciation and amortization expense from operating profit, our management and our Board of Directors separately measure and budget for capital expenditures and business acquisitions. We believe this measure is useful to investors, along with GAAP measures (such as revenues, operating profit and net income), to compare our operating performance to other communications, entertainment and media service providers. We believe that investors use current and projected operating profit (loss) before depreciation and amortization and similar measures to estimate our current or prospective enterprise value and make investment decisions. This metric provides investors with a means to compare operating results exclusive of depreciation and amortization. Our management believes this is useful given the significant variation in depreciation and amortization expense that can result from the timing of capital expenditures, the capitalization of intangible assets, potential variations in expected useful lives when compared to other companies and periodic changes to estimated useful lives.

        The following represents a reconciliation of operating profit before depreciation and amortization to reported net income on the Consolidated Statements of Operations:

 
 
Years Ended December 31,
 
 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Operating profit before depreciation and amortization

  $ 7,522   $ 6,978   $ 6,378  

Depreciation and amortization expense

    (2,437 )   (2,349 )   (2,482 )
               

Operating profit

    5,085     4,629     3,896  

Interest income

    59     34     39  

Interest expense

    (842 )   (763 )   (557 )

Liberty transaction and related gain

            67  

Other, net

    140     84     69  
               

Income before income taxes

    4,442     3,984     3,514  

Income tax expense

    (1,465 )   (1,348 )   (1,202 )
               

Net income

    2,977     2,636     2,312  
               

Less: Net income attributable to noncontrolling interest

    (28 )   (27 )   (114 )
               

Net income attributable to DIRECTV

  $ 2,949   $ 2,609   $ 2,198  
               

        The following table sets forth capital expenditures and segment assets for each of our reporting segments:

 
 
Years Ended and As of December 31,
 
 
 
2012
 
2011
 
2010
 
 
 
Capital
Expenditures
 
Segment
Assets
 
Capital
Expenditures
 
Segment
Assets
 
Capital
Expenditures
 
Segment
Assets
 
 
  (Dollars in Millions)
 

DIRECTV U.S. 

  $ 1,741   $ 12,490   $ 1,736   $ 11,796   $ 1,557   $ 11,400  

Sky Brasil

   
812
   
2,951
   
902
   
2,663
   
468
   
2,566
 

PanAmericana

    786     3,335     526     2,601     389     2,130  
                           

DIRECTV Latin America

    1,598     6,286     1,428     5,264     857     4,696  

Sports Networks, Eliminations and Other

   
10
   
1,779
   
6
   
1,363
   
2
   
1,813
 
                           

Total

  $ 3,349   $ 20,555   $ 3,170   $ 18,423   $ 2,416   $ 17,909  
                           

        The following table sets forth revenues earned from subscribers located in different geographic areas. Property is grouped by its physical location.

 
 
Years Ended and As of December 31,
 
 
 
2012
 
2011
 
2010
 
 
 
Revenues
 
Net Property
& Satellites
 
Revenues
 
Net Property
& Satellites
 
Revenues
 
Net Property
& Satellites
 
 
  (Dollars in Millions)
 

United States

  $ 23,678   $ 5,694   $ 22,310   $ 5,267   $ 20,684   $ 4,987  

Latin America and the Caribbean

                                     

Brazil

    3,501     1,626     3,020     1,423     2,013     1,060  

Other

    2,561     1,075     1,896     748     1,405     632  
                           

Total Latin America and the Caribbean

    6,062     2,701     4,916     2,171     3,418     1,692  
                           

Total

  $ 29,740   $ 8,395   $ 27,226   $ 7,438   $ 24,102   $ 6,679  
                           
XML 49 R28.htm IDEA: XBRL DOCUMENT v2.4.0.6
Related-Party Transactions
12 Months Ended
Dec. 31, 2012
Related-Party Transactions  
Related-Party Transactions

Note 19: Related-Party Transactions

        In the ordinary course of our operations, we enter into transactions with related parties as discussed below.

        Related parties include Globo, which provides programming and advertising to Sky Brasil, and companies in which we hold equity method investments, including Sky Mexico and GSN.

        The majority of payments under contractual arrangements with related parties are pursuant to multi-year programming contracts. Payments under these contracts are typically subject to annual rate increases and are based on the number of subscribers receiving the related programming.

Liberty Media, Liberty Global and Discovery Communications

        As discussed above in Note 15, on June 16, 2010, we completed the Malone Transaction, which resulted in the reduction of the Malones' voting interest in DIRECTV from approximately 24% to approximately 3% and Dr. Malone's resignation from our Board of Directors.

        Prior to the completion of the Malone Transaction, Dr. Malone was Chairman of the Board of Directors of DIRECTV and of Liberty Media. Dr. Malone also had an approximate 35% voting interest in Liberty Media, an approximate 31% voting interest in Discovery Communications, Inc., or Discovery Communications, an approximate 40% voting interest in Liberty Global Inc., or Liberty Global, and serves as Chairman of Liberty Global, and certain of Liberty Media's management and directors also serve as directors of Discovery Communications or Liberty Global. As a result of this common ownership and management, transactions with Liberty Media, Discovery Communications and Liberty Global and their subsidiaries or equity method investees were considered to be related party transactions through the completion of the Malone Transaction. Our transactions with Liberty Media, Discovery Communications and Liberty Global consisted primarily of purchases of programming created, owned or distributed by Liberty Media and Discovery Communications and its subsidiaries and investees.

        The following table sets forth sales and purchase transactions with related parties for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Sales:

                   

Liberty Media and affiliates

  $   $   $ 26  

Discovery Communications, Liberty Global and affiliates

            5  

Globo and other

    5     6     13  
               

Total

  $ 5   $ 6   $ 44  
               

Purchases:

                   

Liberty Media and affiliates

  $   $   $ 143  

Discovery Communications, Liberty Global and affiliates

            128  

Globo and other

    874     854     622  
               

Total

  $ 874   $ 854   $ 893  
               

        The following table sets forth the amount of accounts receivable from and accounts payable to related parties as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Accounts receivable

  $ 26   $ 1  

Accounts payable

    90     96  

        The accounts receivable balance and accounts payable balances as of December 31, 2012 and December 31, 2011 are primarily related to Globo and companies in which we hold equity method investments.

XML 50 R56.htm IDEA: XBRL DOCUMENT v2.4.0.6
Basis of Presentation and Summary of Significant Accounting Policies (Details 2) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Capitalized Software Costs      
Unamortized capitalized software costs $ 492 $ 551  
Depreciation of capitalized software costs $ 292 $ 234 $ 218
XML 51 R44.htm IDEA: XBRL DOCUMENT v2.4.0.6
Capital Lease Obligations (Tables)
12 Months Ended
Dec. 31, 2012
Capital Lease Obligations  
Schedule of future minimum capital lease payments

 

 

 
 
Minimum Lease Payments
 
 
  (Dollars in Millions)
 

2013

  $ 100  

2014

    96  

2015

    90  

2016

    84  

2017

    79  

Thereafter

    289  
       

Total minimum lease payments

    738  

Less: Amount representing interest

    (210 )
       

Present value of net minimum lease payments

  $ 528  
       

 

Schedule of assets held under capital leases

 

 

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Satellites under capital leases

  $ 509   $ 527  

Less: Accumulated amortization

    (190 )   (140 )
           

Satellites, net under capital leases

  $ 319   $ 387  
           

Property and equipment under capital leases

  $ 129   $ 104  

Less: Accumulated amortization

    (47 )   (38 )
           

Property and equipment, net under capital leases

  $ 82   $ 66  
           

  

XML 52 R30.htm IDEA: XBRL DOCUMENT v2.4.0.6
Commitments and Contingencies
12 Months Ended
Dec. 31, 2012
Commitments and Contingencies  
Commitments and Contingencies

Note 21: Commitments and Contingencies

Commitments

        At December 31, 2012, minimum future commitments under noncancelable operating leases having lease terms in excess of one year were primarily for real property and aggregated $978 million, payable as follows: $94 million in 2013, $88 million in 2014, $86 million in 2015, $88 million in 2016, $86 million in 2017 and $536 million thereafter. Certain of these leases contain escalation clauses and renewal or purchase options, which we have not considered in the amounts disclosed. Rental expenses under operating leases were $118 million in 2012, $99 million in 2011 and $78 million in 2010.

        At December 31, 2012, our minimum payments under agreements to purchase broadcast programming, regional professional team rights and the purchase of services that we have outsourced to third parties, such as billing services, and satellite telemetry, tracking and control, satellite launch contracts and broadcast center services aggregated $7,079 million, payable as follows: $2,186 million in 2013, $1,947 million in 2014, $1,145 million in 2015, $433 million in 2016, $375 million in 2017 and $993 million thereafter.

Satellite Commitments

        DIRECTV U.S. has entered into contracts for the construction and launch of two new satellites: D14, which we expect to launch in the first quarter of 2014 and D15, which we expect to launch in the fourth quarter of 2014. D14 and D15 are expected to provide additional HD, replacement, and backup capacity for DIRECTV U.S. Additionally, DIRECTV Latin America has entered into a contract for the lease of two additional satellites for PanAmericana: ISDLA-1, which we expect to launch in the fourth quarter of 2014 and ISDLA-2, which we expect to launch in the fourth quarter of 2015. ISDLA-1 will become the primary satellite for PanAmericana with a substantial increase in channel capacity from the current satellite, and ISDLA-2 is expected to serve as an in-orbit spare for ISDLA-1. As a part of the lease agreement for ISDLA-1 and ISDLA-2, which we expect to account for as a capital lease, we are required to make prepayments prior to the launch of the satellites and commencement of the lease. Prepayments related to this agreement totaled $128 million for the year ended December 31, 2012 and $104 million for the year ended December 31, 2011, and are included as "Cash paid for satellites" in the Consolidated Statements of Cash Flows.

        Total future cash payments under these agreements aggregate to $1,281 million, payable as follows: $286 million in 2013, $171 million in 2014, $116 million in 2015, $50 million in 2016, $50 million in 2017 and $608 million thereafter.

Contingencies

Redeemable Noncontrolling Interest

        In connection with our acquisition of Sky Brasil in 2006, Globo was granted the right, until January 2014, to require us to purchase all, but not less than all, of its shares in Sky Brasil. Upon exercising this right, the fair value of Sky Brasil shares will be determined by mutual agreement or by an outside valuation expert, and we have the option to elect to pay for the Sky Brasil shares in cash, shares of our common stock or a combination of both. We estimated that Globo's remaining 7% equity interest in Sky Brasil had a fair value of approximately $400 million as of December 31, 2012 and $265 million as of December 31, 2011. Adjustments to the carrying amount of the redeemable noncontrolling interest are recorded to additional paid-in-capital. We determined the fair values using significant unobservable inputs, which are Level 3 inputs under accounting guidance for measuring fair value.

Venezuela Devaluation and Foreign Currency Exchange Controls

        Companies operating in Venezuela are required to obtain Venezuelan government approval to exchange Venezuelan bolivars into U.S. dollars at the official exchange rate. Our ability to pay U.S. dollar denominated obligations and repatriate cash generated in Venezuela in excess of local operating requirements is limited, resulting in an increase in the cash balance at our Venezuelan subsidiary. At such time that exchange controls are eased, accumulated cash balances may ultimately be repatriated at less than their currently reported value. As of December 31, 2012, our Venezuelan subsidiary had Venezuelan bolivar denominated net monetary assets of $446 million, including cash of $563 million, based on the official 4.3 bolivars per U.S. dollar exchange rate at that time.

        In February 2013, the Venezuelan government announced a devaluation of the bolivar from the official exchange rate of 4.3 bolivars per U.S. dollar to an official rate of 6.3 bolivars per U.S. dollar. As a result of the devaluation, we will record a pre-tax charge in "General and administrative expenses" in the Consolidated Statements of Operations of approximately $160 million in the first quarter of 2013, related to the remeasurement of the bolivar denominated net monetary assets of our Venezuelan subsidiary as of the date of the devaluation. This devaluation did not impact our results of operations, financial position or cash flows for the year ended December 31, 2012, but may affect the growth of our Venezuelan business. There will also be ongoing impacts to our results of operations, primarily related to the translation of local financial statements at the new exchange rate. In the event of an additional devaluation of the bolivar, we will recognize a charge to earnings based on the amount of bolivar denominated net monetary assets held at the time of such devaluation.

Litigation

        Litigation is subject to uncertainties and the outcome of individual litigated matters is not predictable with assurance. Various legal actions, claims and proceedings are pending against us arising in the ordinary course of business. We have established loss provisions for matters in which losses are probable and can be reasonably estimated. Some of the matters may involve compensatory, punitive, or treble damage claims, or demands that, if granted, could require us to pay damages or make other expenditures in amounts that could not be estimated at December 31, 2012. After discussion with counsel representing us in those actions, it is the opinion of management that such litigation is not expected to have a material effect on our consolidated financial statements. We expense legal costs as incurred.

        Pegasus Development Corporation and Personalized Media Communications L.L.C.    In December, 2000, Pegasus Development Corporation and Personalized Media Communications L.L.C. filed suit in the United States District Court for the District of Delaware against DIRECTV, Inc., Hughes Electronics Corporation, Thomson Consumer Electronics, Inc., and Philips Electronics North America Corporation. The suit alleged infringement of certain claims of seven United States patents and sought an injunction and a monetary award including damages for infringement, interest, costs, and attorneys' fees. Trial is presently scheduled for November 2013. The suit now involves claims of four of the seven patents originally asserted, all of which have expired, and the validity and infringement of which are disputed by DIRECTV.

        Other Intellectual Property Litigation.    We are a defendant in several unrelated lawsuits claiming infringement of various patents relating to various aspects of our businesses. In certain of these cases other industry participants are also defendants, and also in certain of these cases we expect that at least some potential liability would be the responsibility of our equipment vendors pursuant to applicable contractual indemnification provisions. To the extent that the allegations in these lawsuits can be analyzed by us at this stage of their proceedings, we believe the claims are without merit and intend to defend the actions vigorously. We have determined that the likelihood of a material liability in such matters is remote or have made appropriate accruals. The final disposition of these claims is not expected to have a material effect on our consolidated financial position or results of operations. However, if an adverse ruling is made in a lawsuit involving key intellectual property, such ruling could result in a loss that would be material to our consolidated results of operations of any one period. No assurance can be given that any adverse outcome would not be material to our consolidated financial position.

        Early Cancellation Fees.    In 2008, a number of plaintiffs filed putative class action lawsuits in state and federal courts challenging the early cancellation fees we assess our customers when they do not fulfill their programming commitments. Several of these lawsuits are pending, some in California state court purporting to represent statewide classes, and some in federal courts purporting to represent nationwide classes. The lawsuits seek both monetary and injunctive relief. While the theories of liability vary, the lawsuits generally challenge these fees under state consumer protection laws as both unfair and inadequately disclosed to customers. Our motions to compel arbitration have been granted in all of the federal cases, except as to claims seeking injunctive relief under California statutes. The denial of our motion as to those claims is currently on appeal. We believe that our early cancellation fees are adequately disclosed, and represent reasonable estimates of the costs we incur when customers cancel service before fulfilling their programming commitments.

        ECAD.    Sky Brasil, along with other video distributors in Brazil, is disputing charges assessed by Escritorio Central de Arrecadacao, or ECAD, the organization responsible for collecting performance rights fees under Brazilian law. Sky Brasil has been withholding payments to ECAD since 2004, and has accrued amounts we and Sky Brasil believe are adequate to satisfy amounts owed to ECAD. In order to continue its opposition to ECAD's claims, Sky Brasil has provided letters of credit in the amount of approximately $103 million. Sky Brasil's dispute with ECAD is currently pending in the Superior Justice Tribunal, and there are other claims by the Brazilian pay television association, known as ABTA, against ECAD before the Brazilian antitrust board, or CADE, which may affect ECAD or the rights fees it is attempting to collect.

        Waste Disposal Inquiry.    On August 20, 2012, DIRECTV U.S. received from the State of California subpoenas and interrogatories related to our generation, handling, recordkeeping, transportation and disposal of hazardous waste, including universal waste, in the State of California, and the training of employees regarding the same. The investigation is jointly conducted by the Office of the Attorney General and the District Attorney for Alameda County and appears to be part of a broader effort to investigate waste handling and disposal processes of a number of industries. We are diligently reviewing our policies and procedures applicable to all facilities and cooperating with the investigation. As this inquiry is in its early stages, we are currently unable to reasonably estimate the outcome of this matter.

        From time to time, we receive investigative inquiries or subpoenas from state and federal authorities with respect to alleged violations of state and federal statutes. These inquiries may lead to legal proceedings in some cases. DIRECTV U.S. has received a request for information from the Federal Trade Commission, or FTC, on advertising and sales practices similar to those resolved in 2010 with a multistate group of state attorneys general. We are cooperating with the FTC by providing information about our sales and marketing practices and customer complaints.

Income Tax Matters

        We have received tax assessments from certain foreign jurisdictions and have agreed to indemnify previously divested businesses for certain tax assessments relating to periods prior to their respective divestitures. These assessments are in various stages of the administrative process or litigation. While the outcome of these assessments and other tax issues cannot be predicted with certainty, we believe that the ultimate outcome will not have a material effect on our consolidated financial position and result of operations.

Satellites

        We may purchase in-orbit and launch insurance to mitigate the potential financial impact of satellite launch and in-orbit failures if the premium costs are considered economic relative to the risk of satellite failure. The insurance generally covers the unamortized book value of covered satellites. We do not insure against lost revenues in the event of a total or partial loss of the capacity of a satellite. We generally rely on in-orbit spare satellites and excess transponder capacity at key orbital slots to mitigate the impact a satellite failure could have on our ability to provide service. At December 31, 2012, the net book value of in-orbit satellites was $1,664 million all of which was uninsured.

Other

        We are contingently liable under standby letters of credit and bonds in the aggregate amount of $167 million at December 31, 2012 primarily related to a judicial deposit in Brazil for the ECAD matter discussed above, and insurance deductibles.

XML 53 R31.htm IDEA: XBRL DOCUMENT v2.4.0.6
Selected Quarterly Data (Unaudited)
12 Months Ended
Dec. 31, 2012
Selected Quarterly Data (Unaudited)  
Selected Quarterly Data (Unaudited)

Note 22: Selected Quarterly Data (Unaudited)

        The following table presents unaudited selected quarterly data for the years presented:

 
 
1st
 
2nd
 
3rd
 
4th
 
 
  (Dollars in Millions,
Except Per Share Amounts)

 

2012 Quarters

                         

Revenues

  $ 7,046   $ 7,224   $ 7,416   $ 8,054  

Operating profit

    1,308     1,411     1,068     1,298  

Net income attributable to DIRECTV

    731     711     565     942  

Basic earnings attributable to DIRECTV common stockholders per common share

    1.08     1.09     0.91     1.57  

Diluted earnings attributable to DIRECTV common stockholders per common share

    1.07     1.09     0.90     1.55  

2011 Quarters

                         

Revenues

  $ 6,319   $ 6,600   $ 6,844   $ 7,463  

Operating profit

    1,155     1,230     1,030     1,214  

Net income attributable to DIRECTV

    674     701     516     718  

Basic earnings attributable to DIRECTV common stockholders per common share

    0.85     0.92     0.70     1.02  

Diluted earnings attributable to DIRECTV common stockholders per common share

    0.85     0.91     0.70     1.02  
XML 54 R8.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS' EQUITY (DEFICIT) AND REDEEMABLE NONCONTROLLING INTEREST 2 (USD $)
In Millions, unless otherwise specified
Total
Redeemable Noncontrolling Interest
Beginning balance, Redeemable Noncontrolling Interest at Dec. 31, 2009   $ 400
Change in the redeemable noncontrolling interest    
Net income attributable to noncontrolling interest 114 114
Dividends paid by subsidiary to redeemable noncontrolling interest   (15)
Acquisition of noncontrolling interest, including related deferred income taxes   (605)
Adjustment to the fair value of redeemable noncontrolling interest   323
Other comprehensive income   7
Ending balance, Redeemable Noncontrolling Interest at Dec. 31, 2010   224
Change in the redeemable noncontrolling interest    
Net income attributable to noncontrolling interest 27 27
Adjustment to the fair value of redeemable noncontrolling interest   24
Other comprehensive income   (10)
Ending balance, Redeemable Noncontrolling Interest at Dec. 31, 2011 265 265
Change in the redeemable noncontrolling interest    
Net income attributable to noncontrolling interest 28 28
Adjustment to the fair value of redeemable noncontrolling interest   122
Other comprehensive income   (15)
Ending balance, Redeemable Noncontrolling Interest at Dec. 31, 2012 $ 400 $ 400
XML 55 R32.htm IDEA: XBRL DOCUMENT v2.4.0.6
Subsequent Events
12 Months Ended
Dec. 31, 2012
Subsequent Events  
Subsequent Events

Note 23: Subsequent Events

2013 Financing Transactions

        On January 10, 2013, DIRECTV U.S. issued, pursuant to a registration statement, $750 million in aggregate principal of 1.750% senior notes due in 2018 with proceeds, net of an original issue discount, of $743 million. We incurred $4 million of debt issuance costs in connection with this transaction.

Venezuela Currency Devaluation

        In February 2013, the Venezuelan government announced a devaluation of the Venezuelan bolivar, which will result in a pre-tax charge in "General and administrative expenses" in the Consolidated Statements of Operations of approximately $160 million in the first quarter of 2013. See Note 21 for additional information regarding the Venezuelan devaluation and foreign currency exchange controls.

XML 56 R83.htm IDEA: XBRL DOCUMENT v2.4.0.6
Earnings Per Common Share (Details 2) (USD $)
In Millions, except Per Share data, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Basic EPS                      
Net income attributable to DIRECTV common stockholders $ 942 $ 565 $ 711 $ 731 $ 718 $ 516 $ 701 $ 674 $ 2,949 $ 2,609 $ 2,198
Weighted average number of common shares outstanding                 638 747 880
Earnings per share attributable to DIRECTV (in dollars per share) $ 1.57 $ 0.91 $ 1.09 $ 1.08 $ 1.02 $ 0.70 $ 0.92 $ 0.85 $ 4.62 $ 3.49  
Effect of dilutive securities                      
Dilutive effect of stock options and restricted stock units (in shares)                 6 5  
Dilutive effect of stock options and restricted stock units, per share amount (in dollars per share)                 $ (0.04) $ (0.02)  
Diluted EPS                      
Adjusted net income attributable to DIRECTV common stockholders                 2,949 2,609  
Weighted average number of common shares outstanding                 644 752 886
Earnings per share attributable to DIRECTV (in dollars per share) $ 1.55 $ 0.90 $ 1.09 $ 1.07 $ 1.02 $ 0.70 $ 0.91 $ 0.85 $ 4.58 $ 3.47  
Class A common stock
                     
Basic EPS                      
Net income attributable to DIRECTV common stockholders                     2,014
Weighted average number of common shares outstanding                     870
Earnings per share attributable to DIRECTV (in dollars per share)                     $ 2.31
Effect of dilutive securities                      
Dilutive effect of stock options and restricted stock units (in shares)                     6
Dilutive effect of stock options and restricted stock units, per share amount (in dollars per share)                     $ (0.01)
Diluted EPS                      
Adjusted net income attributable to DIRECTV common stockholders                     2,014
Weighted average number of common shares outstanding                     876
Earnings per share attributable to DIRECTV (in dollars per share)                     $ 2.30
Class B common stock
                     
Basic EPS                      
Net income attributable to DIRECTV common stockholders                     184
Weighted average number of common shares outstanding                     22
Diluted EPS                      
Adjusted net income attributable to DIRECTV common stockholders                     $ 184
Weighted average number of common shares outstanding                     22
Basic and diluted EPS                      
Basic and diluted earnings attributable to DIRECTV Class B stockholders per common share, including $160 million exchange inducement value for the Malone Transaction (in dollars per share)                     $ 8.44
XML 57 R40.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investments (Tables)
12 Months Ended
Dec. 31, 2012
Investments  
Schedule of carrying value of investments accounted under equity method of accounting

 

 

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Sky Mexico

  $ 510   $ 490  

GSN

    291     420  

Other equity method investments

    149     131  
           

Total investments accounted for under the equity method of accounting

  $ 950   $ 1,041  
           

  

Schedule of equity in earnings and losses of investments accounted for under the equity method of accounting

 

 

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Sky Mexico

  $ 62   $ 52   $ 33  

GSN

    42     29     33  

Other

    27     28     24  
               

Total net equity earnings for investments accounted for under the equity method of accounting

  $ 131   $ 109   $ 90  
               

   

XML 58 R53.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidating Financial Statements (Tables)
12 Months Ended
Dec. 31, 2012
Condensed Consolidating Financial Statements  
Schedule of Condensed Consolidating Statement of Operations

Condensed Consolidating Statement of Operations

For the Year Ended December 31, 2012

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Revenues

  $   $ 59   $ 23,235   $ 6,583   $ (137 ) $ 29,740  

Operating costs and expenses

                                     

Costs of revenues, exclusive of depreciation and amortization expense

                                     

Broadcast programming and other

            10,743     2,355     (70 )   13,028  

Subscriber service expenses

            1,464     673         2,137  

Broadcast operations expenses

            306     116     (8 )   414  

Selling, general and administrative expenses, exclusive of depreciation and amortization expense

                                     

Subscriber acquisition costs

            2,673     724         3,397  

Upgrade and retention costs

            1,253     174         1,427  

General and administrative expenses

    42     1     1,201     630     (59 )   1,815  

Depreciation and amortization expense

            1,501     936         2,437  
                           

Total operating costs and expenses

    42     1     19,141     5,608     (137 )   24,655  
                           

Operating profit (loss)

    (42 )   58     4,094     975         5,085  

Equity in income of consolidated subsidiaries

    2,980     2,819             (5,799 )    

Interest income

    2     1         68     (12 )   59  

Interest expense

    (2 )   (773 )   (3 )   (76 )   12     (842 )

Other, net

    (4 )   (65 )   33     176         140  
                           

Income before income tax

    2,934     2,040     4,124     1,143     (5,799 )   4,442  

Income tax benefit (expense)

    15     246     (1,305 )   (421 )       (1,465 )
                           

Net income

    2,949     2,286     2,819     722     (5,799 )   2,977  

Less: Net income attributable to noncontrolling interest

                (28 )       (28 )
                           

Net income attributable to DIRECTV

  $ 2,949   $ 2,286   $ 2,819   $ 694   $ (5,799 ) $ 2,949  
                           


Condensed Consolidating Statement of Operations

For the Year Ended December 31, 2011

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Revenues

  $   $ 682   $ 21,872   $ 5,422   $ (750 ) $ 27,226  

Operating costs and expenses

                                     

Costs of revenues, exclusive of depreciation and amortization expense

                                     

Broadcast programming and other

            9,799     1,916     (60 )   11,655  

Subscriber service expenses

            1,435     476         1,911  

Broadcast operations expenses

            300     96     (7 )   389  

Selling, general and administrative expenses, exclusive of depreciation and amortization expense

                                     

Subscriber acquisition costs

            2,794     596         3,390  

Upgrade and retention costs

            1,209     118         1,327  

General and administrative expenses

    11         1,729     519     (683 )   1,576  

Depreciation and amortization expense

            1,587     762         2,349  
                           

Total operating costs and expenses

    11         18,853     4,483     (750 )   22,597  
                           

Operating profit (loss)

    (11 )   682     3,019     939         4,629  

Equity in income of consolidated subsidiaries

    2,622     1,947             (4,569 )    

Interest income

            1     44     (11 )   34  

Interest expense

        (692 )   (4 )   (78 )   11     (763 )

Other, net

    (4 )   (25 )   60     53         84  
                           

Income before income taxes

    2,607     1,912     3,076     958     (4,569 )   3,984  

Income tax benefit (expense)

    2     13     (1,129 )   (234 )       (1,348 )
                           

Net income

    2,609     1,925     1,947     724     (4,569 )   2,636  

Less: Net income attributable to noncontrolling interest

                (27 )       (27 )
                           

Net income attributable to DIRECTV

  $ 2,609   $ 1,925   $ 1,947   $ 697   $ (4,569 ) $ 2,609  
                           


Condensed Consolidating Statement of Operations

For the Year Ended December 31, 2010

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Revenues

  $   $ 463   $ 20,268   $ 3,895   $ (524 ) $ 24,102  

Operating costs and expenses

                                     

Costs of revenues, exclusive of depreciation and amortization expense

                                     

Broadcast programming and other

            8,699     1,428     (53 )   10,074  

Subscriber service expenses

            1,340     341         1,681  

Broadcast operations expenses

            273     84     (7 )   350  

Selling, general and administrative expenses, exclusive of depreciation and amortization expense

                                     

Subscriber acquisition costs

            2,631     374         3,005  

Upgrade and retention costs

            1,106     63         1,169  

General and administrative expenses

    24         1,466     419     (464 )   1,445  

Depreciation and amortization expense

            1,926     556         2,482  
                           

Total operating costs and expenses

    24         17,441     3,265     (524 )   20,206  
                           

Operating profit (loss)

    (24 )   463     2,827     630         3,896  

Equity in income of consolidated subsidiaries

    2,219     1,835             (4,054 )    

Interest income

    1     1     4     44     (11 )   39  

Interest expense

        (480 )   (8 )   (80 )   11     (557 )

Liberty transaction and related charges

                67         67  

Other, net

    (10 )   (25 )   20     84         69  
                           

Income before income taxes

    2,186     1,794     2,843     745     (4,054 )   3,514  

Income tax benefit (expense)

    12     14     (1,008 )   (220 )       (1,202 )
                           

Net income

    2,198     1,808     1,835     525     (4,054 )   2,312  

Less: Net income attributable to noncontrolling interest

                (114 )       (114 )
                           

Net income attributable to DIRECTV

  $ 2,198   $ 1,808   $ 1,835   $ 411   $ (4,054 ) $ 2,198  
                           
Schedule of Condensed Consolidating Statement of Comprehensive Income

Condensed Consolidating Statement of Comprehensive Income

For the Year Ended December 31, 2012

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Net income

  $ 2,949   $ 2,286   $ 2,819   $ 722   $ (5,799 ) $ 2,977  

Other comprehensive income (loss), net of taxes:

                                     

Defined benefit plans:

                                     

Loss related to changes in plan experience and actuarial assumptions arising during the period

    (45 )                           (45 )

Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost

   
12
   
   
   
   
   
12
 

Cash flow hedges:

                                     

Unrealized losses arising during the period

        (10 )               (10 )

Reclassification adjustments included in net income

        (7 )               (7 )

Foreign currency translation adjustments

                (32 )       (32 )

Unrealized holding losses on securities

                (4 )       (4 )
                           

Other comprehensive loss

    (33 )   (17 )       (36 )       (86 )
                           

Comprehensive income

    2,916     2,269     2,819     686     (5,799 )   2,891  

Less: Comprehensive income attributable to noncontrolling interest

                (13 )       (13 )
                           

Comprehensive income attributable to DIRECTV

  $ 2,916   $ 2,269   $ 2,819   $ 673   $ (5,799 ) $ 2,878  
                           


Condensed Consolidating Statement of Comprehensive Income

For the Year Ended December 31, 2011

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Net income

  $ 2,609   $ 1,925   $ 1,947   $ 724   $ (4,569 ) $ 2,636  

Other comprehensive income (loss), net of taxes:

                                     

Defined benefit plans:

                                     

Loss related to changes in plan experience and actuarial assumptions arising during the period

    (39 )                           (39 )

Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost

   
9
   
   
   
   
   
9
 

Amortization of amounts resulting from changes in plan provisions recognized as periodic benefit cost

    1                     1  

Foreign currency translation adjustments

                (94 )       (94 )

Unrealized holding losses on securities

                (6 )       (6 )
                           

Other comprehensive loss

    (29 )           (100 )       (129 )
                           

Comprehensive income

    2,580     1,925     1,947     624     (4,569 )   2,507  

Less: Comprehensive income attributable to noncontrolling interest

                (17 )       (17 )
                           

Comprehensive income attributable to DIRECTV

  $ 2,580   $ 1,925   $ 1,947   $ 607   $ (4,569 ) $ 2,490  
                           


Condensed Consolidating Statement of Comprehensive Income

For the Year Ended December 31, 2010

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Net income

  $ 2,198   $ 1,808   $ 1,835   $ 525   $ (4,054 ) $ 2,312  

Other comprehensive income (loss), net of taxes:

                                     

Defined benefit plans:

                                     

Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost

   
8
   
   
   
   
   
8
 

Foreign currency translation adjustments

                20         20  

Available for sale securities:

                                   

Unrealized gains on securities

                4         4  

Reclassification adjustment for net gains recognized during period

                    (3 )         (3 )
                           

Other comprehensive income

    8             21         29  
                           

Comprehensive income

    2,206     1,808     1,835     546     (4,054 )   2,341  

Less: Comprehensive income attributable to noncontrolling interest

                (121 )       (121 )
                           

Comprehensive income attributable to DIRECTV

  $ 2,206   $ 1,808   $ 1,835   $ 425   $ (4,054 ) $ 2,220  
                           
Schedule of Condensed Consolidating Balance Sheet

Condensed Consolidating Balance Sheet

As of December 31, 2012

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

ASSETS

                                     

Total current assets

  $ 883   $ 884   $ 2,788   $ 2,039   $ (1,040 ) $ 5,554  

Satellites, net

            1,795     562         2,357  

Property and equipment, net

            3,290     2,748         6,038  

Goodwill

        1,828     1,349     886         4,063  

Intangible assets, net

            453     379         832  

Intercompany receivables

    4,382     6,152     16,355     3,703     (30,592 )    

Investment in subsidiaries

    (8,687 )   15,001         (10,915 )   4,601      

Other assets

    180     91     241     1,294     (95 )   1,711  
                           

Total assets

  $ (3,242 ) $ 23,956   $ 26,271   $ 696   $ (27,126 ) $ 20,555  
                           

LIABILITIES AND STOCKHOLDERS' EQUITY (DEFICIT)

                                     

Total current liabilities

  $ 384   $ 646   $ 3,526   $ 2,025   $ (1,040 ) $ 5,541  

Long-term debt

        17,170                 17,170  

Deferred income taxes

            1,397     361     (86 )   1,672  

Intercompany liabilities

    1,401     16,355     6,152     6,684     (30,592 )    

Other liabilities and deferred credits

    404     131     195     482     (9 )   1,203  

Redeemable noncontrolling interest

                400         400  

Stockholders' equity (deficit)

                                     

Capital stock and additional paid-in capital

    4,021     12     4,802     (6,632 )   1,818     4,021  

Retained earnings (accumulated deficit)

    (9,210 )   (10,341 )   10,199     (2,560 )   2,702     (9,210 )

Accumulated other comprehensive loss

    (242 )   (17 )       (64 )   81     (242 )
                           

Total stockholders' equity (deficit)

    (5,431 )   (10,346 )   15,001     (9,256 )   4,601     (5,431 )
                           

Total liabilities and stockholders' equity (deficit)

  $ (3,242 ) $ 23,956   $ 26,271   $ 696   $ (27,126 ) $ 20,555  
                           


Condensed Consolidating Balance Sheet

As of December 31, 2011

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

ASSETS

                                     

Total current assets

  $ 412   $ 533   $ 2,514   $ 1,397   $ (615 ) $ 4,241  

Satellites, net

            1,724     491         2,215  

Property and equipment, net

            3,084     2,139         5,223  

Goodwill

        1,828     1,349     920         4,097  

Intangible assets, net

            461     448         909  

Intercompany receivables

    3,746     4,011     11,582     3,442     (22,781 )    

Investment in subsidiaries

    (5,510 )   12,057         (7,607 )   1,060      

Other assets

    74     64     256     1,425     (81 )   1,738  
                           

Total assets

  $ (1,278 ) $ 18,493   $ 20,970   $ 2,655   $ (22,417 ) $ 18,423  
                           

LIABILITIES AND STOCKHOLDERS' EQUITY (DEFICIT)

                                     

Total current liabilities

  $ 383   $ 204   $ 3,422   $ 1,349   $ (615 ) $ 4,743  

Long-term debt

        13,464                 13,464  

Deferred income taxes

            1,321     531     (81 )   1,771  

Intercompany liabilities

    895     11,582     4,011     6,293     (22,781 )    

Other liabilities and deferred credits

    551     82     159     495         1,287  

Redeemable noncontrolling interest

                265         265  

Stockholders' equity (deficit)

                                     

Capital stock and additional paid-in capital

    4,799     11     4,684     (561 )   (4,134 )   4,799  

Retained earnings (accumulated deficit)

    (7,750 )   (6,850 )   7,373     (5,703 )   5,180     (7,750 )

Accumulated other comprehensive loss

    (156 )           (14 )   14     (156 )
                           

Total stockholders' equity (deficit)

    (3,107 )   (6,839 )   12,057     (6,278 )   1,060     (3,107 )
                           

Total liabilities and stockholders' equity (deficit)

  $ (1,278 ) $ 18,493   $ 20,970   $ 2,655   $ (22,417 ) $ 18,423  
                           
Schedule of Condensed Consolidating Statement of Cash Flows

Condensed Consolidating Statement of Cash Flows

For the Year Ended December 31, 2012

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Cash flows from operating activities

                                     

Net cash provided by operating activities

  $ 1,728   $ 2,388   $ 1,766   $ 1,877   $ (2,125 ) $ 5,634  
                           

Cash flows from investing activities

                                     

Cash paid for property and equipment

            (1,488 )   (1,472 )       (2,960 )

Cash paid for satellites

            (253 )   (136 )       (389 )

Investment in companies, net of cash acquired

            (7 )   (9 )       (16 )

Proceeds from sale of investments

            24             24  

Return of capital from subsidiary

    3,775                 (3,775 )    

Other, net

                (22 )       (22 )
                           

Net cash provided by (used in) investing activities

    3,775         (1,724 )   (1,639 )   (3,775 )   (3,363 )
                           

Cash flows from financing activities

                                     

Issuance of commercial paper (maturity 90 days or less), net

        156                 156  

Proceeds from short-term borrowings

        202                 202  

Proceeds from borrowings under revolving credit facility

        400                 400  

Repayment of borrowings under revolving credit facility

        (400 )               (400 )

Proceeds from issuance of long-term debt

        5,190                 5,190  

Debt issuance costs

        (36 )               (36 )

Repayment of long-term debt

        (1,500 )               (1,500 )

Repayment of other long-term obligations

            (21 )   (30 )       (51 )

Common shares repurchased and retired

    (5,175 )                   (5,175 )

Stock options exercised

    3                     3  

Taxes paid in lieu of shares issued for share-based compensation

            (52 )   (9 )       (61 )

Excess tax benefit from share-based compensation

            25     5         30  

Intercompany payments (funding)

    (52 )       13     39          

Cash dividend to Parent

        (5,900 )           5,900      
                           

Net cash provided by (used in) financing activities

    (5,224 )   (1,888 )   (35 )   5     5,900     (1,242 )
                           

Net increase in cash and cash equivalents

    279     500     7     243         1,029  

Cash and cash equivalents at beginning of the period

    129     228     4     512         873  
                           

Cash and cash equivalents at the end of the period

  $ 408   $ 728   $ 11   $ 755   $   $ 1,902  
                           


Condensed Consolidating Statement of Cash Flows

For the Year Ended December 31, 2011

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Cash flows from operating activities

                                     

Net cash provided by operating activities

  $ 1,831   $ 1,835   $ 1,745   $ 1,537   $ (1,763 ) $ 5,185  
                           

Cash flows from investing activities

                                     

Cash paid for property and equipment

            (1,595 )   (1,329 )       (2,924 )

Cash paid for satellites

    (1 )       (141 )   (104 )       (246 )

Investment in companies, net of cash acquired

            (11 )           (11 )

Proceeds from sale of investments

            55     61         116  

Return of capital from subsidiary

    3,487                 (3,487 )    

Other, net

            1     42         43  
                           

Net cash provided by (used in) investing activities

    3,486         (1,691 )   (1,330 )   (3,487 )   (3,022 )
                           

Cash flows from financing activities

                                     

Cash proceeds from debt issuance

        3,990                 3,990  

Debt issuance costs

        (30 )               (30 )

Repayment of long-term debt

        (1,000 )               (1,000 )

Repayment of short-term borrowings

                (39 )       (39 )

Repayment of other long-term obligations

            (66 )   (118 )       (184 )

Common shares repurchased and retired

    (5,496 )                   (5,496 )

Taxes paid in lieu of shares issued for share-based compensation

    (5 )       (29 )   (24 )       (58 )

Excess tax benefit from share-based compensation

            21     4         25  

Intercompany payments (funding)

    (134 )       20     114          

Cash dividend to Parent

        (5,250 )           5,250      
                           

Net cash used in financing activities

    (5,635 )   (2,290 )   (54 )   (63 )   5,250     (2,792 )
                           

Net increase (decrease) in cash and cash equivalents

    (318 )   (455 )       144         (629 )

Cash and cash equivalents at beginning of the period

    447     683     4     368         1,502  
                           

Cash and cash equivalents at the end of the period

  $ 129   $ 228   $ 4   $ 512   $   $ 873  
                           


Condensed Consolidating Statement of Cash Flows

For the Year Ended December 31, 2010

 
 
Parent
Guarantor
 
Co-Issuers
 
Guarantor
Subsidiaries
 
Non-Guarantor
Subsidiaries
 
Eliminations
 
DIRECTV
Consolidated
 
 
  (Dollars in Millions)
 

Cash flows from operating activities

                                     

Net cash provided by (used in) operating activities

  $ 3,952   $ 2,263   $ 1,678   $ (607 ) $ (2,080 ) $ 5,206  
                           

Cash flows from investing activities

                                     

Cash paid for property and equipment

            (1,444 )   (859 )       (2,303 )

Cash paid for satellites

            (113 )           (113 )

Investment in companies, net of cash acquired

            (1 )   (616 )       (617 )

Proceeds from sale of investments

                9         9  

Return of capital from subsidiary

    4,820                 (4,820 )    

Other, net

            3     (78 )       (75 )
                           

Net cash provided by (used in) investing activities

    4,820         (1,555 )   (1,544 )   (4,820 )   (3,099 )
                           

Cash flows from financing activities

                                     

Cash proceeds from debt issuance

        5,978                 5,978  

Debt issuance costs

        (44 )               (44 )

Repayment of long-term debt

        (2,323 )               (2,323 )

Proceeds from short-term borrowings

                38         38  

Repayment of collar loan and equity collars

                (1,537 )       (1,537 )

Repayment of other long-term obligations

            (99 )   (28 )       (127 )

Common shares repurchased and retired

    (5,111 )                   (5,111 )

Stock options exercised

    38                     38  

Taxes paid in lieu of shares issued for share-based compensation

    (58 )       (38 )   (22 )       (118 )

Excess tax benefit from share-based compensation

            9     2         11  

Dividends paid to redeemable noncontrolling interest

                (15 )       (15 )

Intercompany payments (funding)

    (3,751 )       2     3,749          

Cash dividend to Parent

        (6,900 )           6,900      
                           

Net cash provided by (used in) financing activities

    (8,882 )   (3,289 )   (126 )   2,187     6,900     (3,210 )
                           

Net increase (decrease) in cash and cash equivalents

    (110 )   (1,026 )   (3 )   36         (1,103 )

Cash and cash equivalents at beginning of the period

    557     1,709     7     332         2,605  
                           

Cash and cash equivalents at the end of the period

  $ 447   $ 683   $ 4   $ 368   $   $ 1,502  
                           
XML 59 R72.htm IDEA: XBRL DOCUMENT v2.4.0.6
Income Taxes (Details 2) (USD $)
In Millions, unless otherwise specified
Dec. 31, 2012
U.S. federal
 
Income Taxes  
Operating loss carryforward $ 17
Foreign
 
Income Taxes  
Operating loss carryforward 2,000
Tax credit carryforward 133
State and local
 
Income Taxes  
Operating loss carryforward $ 30
XML 60 R2.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED STATEMENTS OF OPERATIONS (USD $)
In Millions, except Per Share data, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Revenues $ 8,054 $ 7,416 $ 7,224 $ 7,046 $ 7,463 $ 6,844 $ 6,600 $ 6,319 $ 29,740 $ 27,226 $ 24,102
Costs of revenues, exclusive of depreciation and amortization expense                      
Broadcast programming and other                 13,028 11,655 10,074
Subscriber service expenses                 2,137 1,911 1,681
Broadcast operations expenses                 414 389 350
Selling, general and administrative expenses, exclusive of depreciation and amortization expense                      
Subscriber acquisition costs                 3,397 3,390 3,005
Upgrade and retention costs                 1,427 1,327 1,169
General and administrative expenses                 1,815 1,576 1,445
Depreciation and amortization expense                 2,437 2,349 2,482
Total operating costs and expenses                 24,655 22,597 20,206
Operating profit 1,298 1,068 1,411 1,308 1,214 1,030 1,230 1,155 5,085 4,629 3,896
Interest income                 59 34 39
Interest expense                 (842) (763) (557)
Liberty transaction and related gain                     67
Other, net                 140 84 69
Income before income taxes                 4,442 3,984 3,514
Income tax expense                 (1,465) (1,348) (1,202)
Net income                 2,977 2,636 2,312
Less: Net income attributable to noncontrolling interest                 (28) (27) (114)
Net income attributable to DIRECTV 942 565 711 731 718 516 701 674 2,949 2,609 2,198
Basic and diluted earnings attributable to DIRECTV common stockholders per common share                      
Basic earnings attributable to DIRECTV common stockholders (in dollars per share) $ 1.57 $ 0.91 $ 1.09 $ 1.08 $ 1.02 $ 0.70 $ 0.92 $ 0.85 $ 4.62 $ 3.49  
Diluted earnings attributable to DIRECTV common stockholders (in dollars per share) $ 1.55 $ 0.90 $ 1.09 $ 1.07 $ 1.02 $ 0.70 $ 0.91 $ 0.85 $ 4.58 $ 3.47  
Weighted average number of total common shares outstanding (in millions):                      
Basic (in shares)                 638 747 880
Diluted (in shares)                 644 752 886
DIRECTV Common Shares
                     
Selling, general and administrative expenses, exclusive of depreciation and amortization expense                      
Net income attributable to DIRECTV                     2,014
Basic and diluted earnings attributable to DIRECTV common stockholders per common share                      
Basic earnings attributable to DIRECTV common stockholders (in dollars per share)                     $ 2.31
Diluted earnings attributable to DIRECTV common stockholders (in dollars per share)                     $ 2.30
Weighted average number of total common shares outstanding (in millions):                      
Basic (in shares)                     870
Diluted (in shares)                     876
DIRECTV Class B Common Shares
                     
Selling, general and administrative expenses, exclusive of depreciation and amortization expense                      
Net income attributable to DIRECTV                     $ 184
Basic and diluted earnings attributable to DIRECTV common stockholders per common share                      
Basic and diluted earnings attributable to DIRECTV Class B common stockholders per common share, for the period of January 1, 2010 through June 16, 2010, including $160 million exchange inducement value for the Malone Transaction (Note 15) (in dollars per share)                     $ 8.44
Weighted average number of total common shares outstanding (in millions):                      
Basic (in shares)                     22
Diluted (in shares)                     22
XML 61 R45.htm IDEA: XBRL DOCUMENT v2.4.0.6
Pension and Other Postretirement Benefit Plans (Tables)
12 Months Ended
Dec. 31, 2012
Pension and Other Postretirement Benefit Plans  
Schedule of components of pension benefit obligation and the other postretirement benefit obligation including amounts recognized in the consolidated balance sheets

 

 

 
 
Pension
Benefits
 
Other
Postretirement
Benefits
 
 
 
2012
 
2011
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Change in Net Benefit Obligation

                         

Net benefit obligation at beginning of year

  $ 583   $ 521   $ 23   $ 21  

Service cost

    32     25     1     1  

Interest cost

    30     29     1     1  

Plan participants' contributions

    1     1          

Actuarial (gain) loss

    91     43     (3 )   1  

Benefits paid

    (37 )   (36 )   (1 )   (1 )

Settlements

    (36 )            
                   

Net benefit obligation at end of year

    664     583     21     23  
                   

Change in Plan Assets

                         

Fair value of plan assets at beginning of year

    448     429          

Actual return on plan assets

    49     14          

Employer contributions

    70     40     1     1  

Plan participants' contributions

    1     1          

Benefits paid

    (37 )   (36 )   (1 )   (1 )

Settlements

    (36 )            

Fair value of plan assets at end of year

    495     448          
                   

Funded status at end of year

  $ (169 ) $ (135 ) $ (21 ) $ (23 )
                   

Amounts recognized in the consolidated balance sheets consist of:

                         

Accounts payable and accrued liabilities

  $ (6 ) $ (6 ) $ (2 ) $ (2 )

Other liabilities and deferred credits

    (163 )   (129 )   (19 )   (21 )

Deferred tax assets

    115     94         1  

Accumulated other comprehensive loss

    184     149         2  

Amounts recognized in the accumulated other comprehensive loss consist of:

                         

Unamortized net amount resulting from changes in defined benefit plan experience and actuarial assumptions, net of taxes

    182     147         2  

Unamortized amount resulting from changes in defined benefit plan provisions, net of taxes

    2     2          
                   

Total

  $ 184   $ 149   $   $ 2  
                   

 

Schedule of amounts that will be amortized from accumulated other comprehensive loss into net periodic benefit cost during the next fiscal year

 

 

 
 
Pension
Benefits
 
 
  (Dollars in Millions)
 

Expense resulting from changes in plan experience and actuarial assumptions

  $ 27  

Expense resulting from changes in plan provisions

    1  

  

Schedule of pension plans with an accumulated benefit obligation in excess of plan assets

 

 

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Accumulated benefit obligation

  $ 93   $ 531  

Fair value of plan assets

        448  

   

Schedule of pension plans with a projected benefit obligation in excess of plan assets

 

 

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Projected benefit obligation

  $ 664   $ 583  

Fair value of plan assets

    495     448  

   

Schedule of components of net periodic benefit cost

 

 

 
 
Pension
Benefits
 
Other
Postretirement
Benefits
 
 
 
2012
 
2011
 
2010
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Components of net periodic benefit cost

                                     

Benefits earned during the year

  $ 32   $ 25   $ 19   $ 1   $ 1   $ 1  

Interest accrued on benefits earned in prior years

    30     29     28     1     1     1  

Expected return on plan assets

    (34 )   (34 )   (32 )            

Amortization components

                                     

Amount resulting from changes in plan provisions          

    1     1     1             (1 )

Net amount resulting from changes in plan experience and actuarial assumptions

    19     14     14              
                           

Net periodic benefit cost

  $ 48   $ 35   $ 30   $ 2   $ 2   $ 1  
                           
Schedule of weighted-average assumptions used to determine benefit obligations

 

 
 
Pension Benefits
 
Other Postretirement Benefits
 
 
 
2012
 
2011
 
2012
 
2011
 

Discount rate—Qualified Plans

    3.92 %   4.99 %   3.47 %   4.48 %

Discount rate—Non-Qualified Plans

    3.91 %   4.92 %        

Rate of compensation increase

    4.00 %   4.00 %   4.00 %   4.00 %

  

Schedule of weighted-average assumptions used to determine net periodic benefit cost

 

 

 
 
Pension
Benefits
 
Other
Postretirement
Benefits
 
 
 
2012
 
2011
 
2010
 
2012
 
2011
 
2010
 

Discount rate—Qualified Plan

    4.99 %   5.59 %   5.64 %   4.48 %   4.99 %   5.21 %

Discount rate—Non-Qualified Plans

    4.92 %   5.54 %   5.63 %            

Expected long-term return on plan assets

    7.75 %   8.00 %   8.25 %            

Rate of compensation increase

    4.00 %   4.00 %   4.00 %   4.00 %   4.00 %   4.00 %

  

Schedule of assumed health care costs trend rates

 

 

 
 
2012
 
2011
 
2010
 

Health care cost trend rate

    8.00 %   8.00 %   8.00 %

Rate to which the cost trend rate is assumed to decline (ultimate trend rate)

    5.00 %   5.00 %   5.00 %

Year that trend rate reaches the ultimate trend rate

    2017     2017     2017  
Schedule of fair value measurements of the plan assets

 

 

 
 
Fair Value Measurements as of December 31, 2012
 
 
 
Total
 
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
 
Significant
Observable
Inputs
(Level 2)
 
Significant
Unobservable
Inputs
(Level 3)
 
Percentage of
Plan Assets
as of
December 31,
2012
 
 
  (Dollars in millions)
 

Asset Category

                               

Common collective trusts

                               

Cash and cash equivalents

  $ 4   $   $ 4   $     1 %

Equity securities:

                               

U.S. large-cap

    87         87         18 %

U.S. mid-cap growth

    19         19         4 %

International large-cap value

    94         94         19 %

Emerging markets growth

    6         6         1 %

Domestic real estate

    26         26         5 %

Fixed income

    182         182         37 %

Partnership and joint venture interests

    31             31     6 %

Insurance contracts at contract value

    2         2          

Hedge funds

    44             44     9 %
                       

Total

  $ 495   $   $ 420   $ 75     100 %
                       

     

 
 
Fair Value Measurements as of December 31, 2011
 
 
 
Total
 
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
 
Significant
Observable
Inputs
(Level 2)
 
Significant
Unobservable
Inputs
(Level 3)
 
Percentage of
Plan Assets
as of
December 31,
2011
 
 
  (Dollars in millions)
 

Asset Category

                               

Common collective trusts

                               

Cash and cash equivalents

  $ 3   $   $ 3   $     1 %

Equity securities:

                               

U.S. large-cap

    75         75         17 %

U.S. mid-cap growth

    17         17         3 %

International large-cap value

    92         92         21 %

Domestic real estate

    23         23         5 %

Fixed income

    165         165         37 %

Partnership and joint venture interests

    30             30     7 %

Insurance contracts at contract value

    2         2          

Hedge funds

    41             41     9 %
                       

Total

  $ 448   $   $ 377   $ 71     100 %
                       
Schedule of fair value measurement of plans assets using significant unobservable inputs (Level 3)

 

 

 
 
Partnerships
and Joint
Venture
Interests
 
Hedge Funds
 
Total
 
 
  (Dollars in Millions)
 

Balance as of January 1, 2011

  $ 28   $   $ 28  

Realized losses

    (1 )       (1 )

Unrealized gains

    5     (3 )   2  

Purchases and sales

    (2 )   44     42  
               

Balance as of December 31, 2011

    30     41     71  

Unrealized gains

    1     3     4  
               

Balance as of December 31, 2012

  $ 31   $ 44   $ 75  
               
Schedule of expected benefit payments

 

 

 
 
Estimated Future Benefit
Payments
 
 
 
Pension
Benefits
 
Other
Postretirement
Benefits
 
 
  (Dollars in Millions)
 

2013

  $ 41   $ 2  

2014

    41     2  

2015

    42     2  

2016

    42     2  

2017

    41     2  

2018-2022

    218     10  

  

XML 62 R96.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidating Financial Statements (Details 2) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Condensed Consolidating Financial Statements      
Net income $ 2,977 $ 2,636 $ 2,312
Defined benefit plans:      
Loss related to changes in plan experience and actuarial assumptions arising during the period (45) (39)  
Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost 12 9 8
Amortization of amounts resulting from changes in plan provisions recognized as periodic benefit cost   1  
Cash flow hedges:      
Unrealized losses arising during the period (10)    
Reclassification adjustments included in net income (7)    
Foreign currency translation adjustments (32) (94) 20
Available for sale securities:      
Unrealized holding losses on securities (4) (6) 4
Reclassification adjustment for net gains recognized during period     (3)
Other comprehensive income (loss) (86) (129) 29
Comprehensive income 2,891 2,507 2,341
Less: Comprehensive income attributable to noncontrolling interest (13) (17) (121)
Comprehensive income attributable to DIRECTV 2,878 2,490 2,220
Parent Guarantor
     
Condensed Consolidating Financial Statements      
Net income 2,949 2,609 2,198
Defined benefit plans:      
Loss related to changes in plan experience and actuarial assumptions arising during the period (45) (39)  
Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost 12 9 8
Amortization of amounts resulting from changes in plan provisions recognized as periodic benefit cost   1  
Available for sale securities:      
Other comprehensive income (loss) (33) (29) 8
Comprehensive income 2,916 2,580 2,206
Comprehensive income attributable to DIRECTV 2,916 2,580 2,206
Co-Issuers
     
Condensed Consolidating Financial Statements      
Net income 2,286 1,925 1,808
Cash flow hedges:      
Unrealized losses arising during the period (10)    
Reclassification adjustments included in net income (7)    
Available for sale securities:      
Other comprehensive income (loss) (17)    
Comprehensive income 2,269 1,925 1,808
Comprehensive income attributable to DIRECTV 2,269 1,925 1,808
Guarantor Subsidiaries
     
Condensed Consolidating Financial Statements      
Net income 2,819 1,947 1,835
Available for sale securities:      
Comprehensive income 2,819 1,947 1,835
Comprehensive income attributable to DIRECTV 2,819 1,947 1,835
Non-guarantor Subsidiaries
     
Condensed Consolidating Financial Statements      
Net income 722 724 525
Cash flow hedges:      
Foreign currency translation adjustments (32) (94) 20
Available for sale securities:      
Unrealized holding losses on securities (4) (6) 4
Reclassification adjustment for net gains recognized during period     (3)
Other comprehensive income (loss) (36) (100) 21
Comprehensive income 686 624 546
Less: Comprehensive income attributable to noncontrolling interest (13) (17) (121)
Comprehensive income attributable to DIRECTV 673 607 425
Eliminations
     
Condensed Consolidating Financial Statements      
Net income (5,799) (4,569) (4,054)
Available for sale securities:      
Comprehensive income (5,799) (4,569) (4,054)
Comprehensive income attributable to DIRECTV $ (5,799) $ (4,569) $ (4,054)
XML 63 R6.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED BALANCE SHEETS (Parenthetical) (USD $)
Dec. 31, 2012
Dec. 31, 2011
CONSOLIDATED BALANCE SHEETS    
Common stock and additional paid-in capital, par value (in dollars per share) $ 0.01 $ 0.01
Common stock and additional paid-in capital, shares authorized 3,950,000,000 3,947,000,000
Common stock and additional paid-in capital, shares issued 586,839,817 691,306,695
Common stock and additional paid-in capital, shares outstanding 586,839,817 691,306,695
XML 64 R94.htm IDEA: XBRL DOCUMENT v2.4.0.6
Subsequent Events (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended 3 Months Ended 0 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Mar. 31, 2013
Subsequent event
Jan. 10, 2013
Subsequent event
1.750% senior notes due in 2018
Subsequent event          
Principal amount $ 17,219       $ 750
Senior note, interest rate (as a percent)         1.75%
Proceeds, net of discount 5,190 3,990 5,978   743
Debt issuance costs         4
Pre-tax charge related to remeasurement of bolivar denominated net monetary assets due to devaluation       $ 160  
XML 65 R59.htm IDEA: XBRL DOCUMENT v2.4.0.6
Acquisition (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2010
Dec. 31, 2010
Dec. 31, 2012
Acquisitions      
Net deferred tax assets related to acquisition   $ 79  
Sky Brasil
     
Acquisitions      
Noncontrolling interest, ownership percentage by noncontrolling owner 25.90% 25.90% 7.00%
Percentage of interest acquired 19.00% 19.00%  
Fair value of interest acquired 605    
Percentage of ownership interest     93.00%
Net deferred tax assets related to acquisition   $ 79  
XML 66 R99.htm IDEA: XBRL DOCUMENT v2.4.0.6
SCHEDULE II-VALUATION AND QUALIFYING ACCOUNTS (Details) (Allowance for doubtful accounts deducted from accounts receivable, USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Allowance for doubtful accounts deducted from accounts receivable
     
Valuation and Qualifying Accounts      
Balance at beginning of year $ (79) $ (76) $ (56)
Additions charged to costs and expenses (332) (309) (288)
Additions charged to other accounts (149) (130) (255)
Deductions 479 436 523
Balance at end of year $ (81) $ (79) $ (76)
XML 67 R35.htm IDEA: XBRL DOCUMENT v2.4.0.6
Basis of Presentation and Summary of Significant Accounting Policies (Policies)
12 Months Ended
Dec. 31, 2012
Basis of Presentation and Summary of Significant Accounting Policies  
Principles of Consolidation

Principles of Consolidation

        We present our accompanying financial statements on a consolidated basis and include our accounts and those of our domestic and foreign subsidiaries that we control through equity ownership or for which we are deemed to be the primary beneficiary, after elimination of intercompany accounts and transactions.

Use of Estimates in the Preparation of the Consolidated Financial Statements

Use of Estimates in the Preparation of the Consolidated Financial Statements

        We prepare our consolidated financial statements in conformity with accounting principles generally accepted in the United States of America, which requires us to make estimates and assumptions that affect amounts reported herein. We base our estimates and assumptions on historical experience and on various other factors that we believe to be reasonable under the circumstances. Due to the inherent uncertainty involved in making estimates, our actual results reported in future periods may be affected by changes in those estimates.

Revenue Recognition

Revenue Recognition

        We enter into multiple-deliverable revenue arrangements with our subscribers under which we provide DIRECTV receiving equipment, services and programming during their contract period, of up to two years. We allocate consideration to each deliverable in the arrangement based on its relative selling price. We determine the selling price of the DIRECTV receiving equipment using our best estimate. We determine the selling price for services based on prices charged by third parties. We determine the selling price of the programming using our standard programming rates. The DIRECTV receiving equipment, services and programming are each considered separate units of accounting.

        We recognize subscription and pay-per-view revenues when programming is broadcast to subscribers. We recognize subscriber fees for multiple set-top receivers and warranty services as revenue, as earned. We recognize advertising revenues when the related services are performed. We defer programming payments received from subscribers in advance of the broadcast as "Unearned subscriber revenues and deferred credits" in the Consolidated Balance Sheets until earned. We recognize revenues to be received under contractual commitments on a straight line basis over the minimum contractual period. We report revenues net of customer credits and discounted promotions.

Broadcast Programming and Other

Broadcast Programming and Other

        We recognize the costs of television programming distribution rights when we distribute the related programming. We recognize the costs of television programming rights to distribute live sporting events for a season or tournament to expense using the straight-line method over the course of the season or tournament.

        We defer advance payments in the form of cash and equity instruments from programming content providers for carriage of their signal and recognize them as a reduction of "Broadcast programming and other" in the Consolidated Statements of Operations on a straight-line basis over the related contract term. We record equity instruments at fair value based on quoted market prices or values determined by management.

Subscriber Acquisition Costs

Subscriber Acquisition Costs

        Subscriber acquisition costs consist of costs we incur to acquire new subscribers. We include the cost of set-top receivers and other equipment, commissions we pay to national retailers, independent satellite television retailers, dealers and regional telephone companies, which we refer to as telcos, and the cost of installation, advertising, marketing and customer call center expenses associated with the acquisition of new subscribers in subscriber acquisition costs. We expense these costs as incurred, or when subscribers activate the DIRECTV® service, as appropriate, except for the cost of set-top receivers leased to new subscribers, which we capitalize in "Property and equipment, net" in the Consolidated Balance Sheets and depreciate over their estimated useful lives. In certain countries in Latin America, where our customer agreements provide for the lease of the entire DIRECTV or SKY System, we also capitalize the costs of the other customer premises equipment and related installation costs in "Property and equipment, net" in the Consolidated Balance Sheets. Although paid in advance, the retailer or dealer earns substantially all commissions paid for customer acquisitions over 12 months from the date of subscriber activation. Should the subscriber cancel our service during such 12 month service period, we are reimbursed for the unearned portion of the commission by the retailer or dealer and record a decrease to subscriber acquisition costs. We include the amount of our set-top receivers capitalized each period for subscriber acquisition activities in the Consolidated Statements of Cash Flows under the caption "Cash paid for property and equipment." See Note 6 for additional information.

Upgrade and Retention Costs

Upgrade and Retention Costs

        Upgrade and retention costs consist primarily of costs we incur for upgrade efforts for existing subscribers. We include the costs of subscriber equipment upgrade programs for digital video recorder, or DVR, high-definition, or HD, and HD DVR receivers and local channels, our multiple set-top receiver offers and other similar initiatives. Retention costs also include the costs of installing and providing hardware under our movers program for subscribers relocating to a new residence. We expense these costs as incurred, except for the cost of set-top receivers leased to existing subscribers, which we capitalize in "Property and equipment, net" in the Consolidated Balance Sheets. We include the amount of our set-top receivers capitalized each period for upgrade and retention activities in the Consolidated Statements of Cash Flows under the caption "Cash paid for property and equipment." See Note 6 for additional information.

Cash and Cash Equivalents

Cash and Cash Equivalents

        Cash and cash equivalents consist of cash on deposit and highly liquid investments we purchase with original maturities of three months or less.

Inventories

Inventories

        We state inventories at the lower of average cost or market. Inventories consist of finished goods for DIRECTV System equipment and DIRECTV System access cards.

Property and Equipment, Satellites and Depreciation

Property and Equipment, Satellites and Depreciation

        We carry property and equipment, and satellites, at cost, net of accumulated depreciation. The amounts we capitalize for satellites currently being constructed and those that have been successfully launched include the costs of construction, launch, launch insurance, incentive obligations and capitalized interest. We generally compute depreciation using the straight-line method over the estimated useful lives of the assets. We amortize leasehold improvements over the lesser of the life of the asset or term of the lease.

Capitalized Software Costs

Capitalized Software Costs

        We capitalize certain software costs incurred, either from internal or external sources, as part of "Property and equipment, net" in the Consolidated Balance Sheets and depreciate these costs on a straight-line basis over the useful life of the software. We recognize planning, training, support and maintenance costs incurred either prior to or following the implementation phase as expense in the Consolidated Statements of Operations in the period in which they occur. We had unamortized capitalized software costs of $492 million as of December 31, 2012 and $551 million as of December 31, 2011. We recorded depreciation of these costs of $292 million in 2012, $234 million in 2011 and $218 million in 2010 in "Depreciation and amortization expense" in the Consolidated Statements of Operations.

Goodwill and Intangible Assets

Goodwill and Intangible Assets

        Goodwill and intangible assets with indefinite lives are carried at historical cost and are subject to write-down, as needed, based upon an impairment analysis that we must perform at least annually, or sooner if an event occurs or circumstances change that would more likely than not result in an impairment loss. We perform our annual impairment analysis in the fourth quarter of each year. We use estimates of fair value to determine the amount of impairment, if any, of goodwill and intangibles assets with indefinite lives. The goodwill evaluation requires the estimation of the fair value of reporting units where we record goodwill. We determine fair values primarily using estimated cash flows discounted at a rate commensurate with the risk involved, when appropriate. If an impairment loss results from the annual impairment test, we would record the loss as a pre-tax charge to operating income.

        We amortize other intangible assets using the straight-line method over their estimated useful lives, which range from 5 to 20 years.

Valuation of Long-Lived Assets

Valuation of Long-Lived Assets

        We evaluate the carrying value of long-lived assets to be held and used, other than goodwill and intangible assets with indefinite lives, when events and circumstances warrant such a review. We consider the carrying value of a long-lived asset impaired when the anticipated undiscounted future cash flow from such asset is separately identifiable and is less than its carrying value. In that event, we would recognize a loss based on the amount by which the carrying value exceeds the fair value of the long-lived asset. We determine fair value primarily using estimated future cash flows associated with the asset under review, discounted at a rate commensurate with the risk involved, or other valuation techniques. We determine losses on long-lived assets to be disposed of in a similar manner, except that we reduce the fair value for the cost of disposal.

Foreign Currency

Foreign Currency

        The U.S. dollar is the functional currency for most of our foreign operations. We recognize gains and losses resulting from remeasurement of these operations' foreign currency denominated assets, liabilities and transactions into the U.S. dollar in the Consolidated Statements of Operations.

        We also have foreign operations where the local currency is their functional currency. Accordingly, these foreign entities translate assets and liabilities from their local currencies to U.S. dollars using year-end exchange rates while income and expense accounts are translated at the average rates in effect during the year. We record the resulting translation adjustment as part of "Accumulated other comprehensive loss," a separate component of stockholders' deficit in the Consolidated Balance Sheets.

Investments

Investments

        We maintain investments in equity securities of unaffiliated companies. We carry non-marketable equity securities at cost. We consider marketable equity securities available-for-sale and they are carried at current fair value based on quoted market prices with unrealized gains or losses (excluding other-than-temporary losses), net of taxes, reported as part of "Accumulated other comprehensive loss" in the Consolidated Balance Sheets. We regularly review our investments to determine whether a decline in fair value below the cost basis is "other-than-temporary." We consider, among other factors: the magnitude and duration of the decline; the financial health and business outlook of the investee, including industry and sector performance, changes in technology, and operational and financing cash flow factors; and our intent and ability to hold the investment. If we judge the decline in fair value to be other-than-temporary, we write-down the cost basis of the security to fair value and recognize the amount in the Consolidated Statements of Operations as part of "Other, net" and record it as a reclassification adjustment from "Accumulated other comprehensive loss" in the Consolidated Balance Sheets.

        We account for investments in which we own at least 20% of the voting securities or have significant influence under the equity method of accounting. We record equity method investments at cost and adjust for the appropriate share of the net earnings or losses of the investee. We record investee losses up to the amount of the investment plus advances and loans made to the investee, and financial guarantees made on behalf of the investee.

Derivative Financial Instruments

Derivative Financial Instruments

        We have designated our cross-currency swaps as cash flow hedges, and accordingly, we record the effective portion of the unrealized gains and losses on the cross-currency swaps in "Accumulated other comprehensive loss" in the Consolidated Balance Sheets and reclassify those amounts to earnings in the same periods during which the hedged debt affects earnings. We record the ineffective portion of the unrealized gains and losses on these cross-currency swaps, if any, immediately in earnings.

Debt Issuance Costs

Debt Issuance Costs

        We defer costs we incur to issue debt and amortize these costs to interest expense using the straight-line method over the term of the respective obligation.

Share-Based Payment

Share-Based Payment

        We grant restricted stock units and common stock options to certain employees and shares of stock to our directors as part of their annual compensation for Board services.

        We record compensation expense equal to the fair value of stock-based awards at the grant date on a straight-line basis over the requisite service period of up to three years, reduced for estimated forfeitures and adjusted for anticipated payout percentages related to the achievement of performance targets.

Sales Taxes

Sales Taxes

        Sales taxes collected and remitted to state and local authorities are recorded on a net basis.

Income Taxes

Income Taxes

        We determine deferred tax assets and liabilities based on the difference between the financial statement and tax basis of assets and liabilities, using enacted tax rates in effect for the year in which we expect the differences to reverse. We must make certain estimates and judgments in determining income tax provisions, assessing the likelihood of recovering our deferred tax assets, and evaluating tax positions.

        We recognize a benefit in "Income tax expense" in the Consolidated Statements of Operations for uncertain tax positions that are more-likely-than-not to be sustained upon examination, measured at the largest amount that has a greater than 50% likelihood of being realized upon settlement. Unrecognized tax benefits represent tax benefits taken or expected to be taken in income tax returns, for which the benefit has not yet been recognized in "Income tax expense" in the Consolidated Statements of Operations due to the uncertainty of whether such benefits will be ultimately realized. We recognize interest and penalties accrued related to unrecognized tax benefits in "Income tax expense" in the Consolidated Statements of Operations. Unrecognized tax benefits are recorded in "Income tax expense" in the Consolidated Statements of Operations at such time that the benefit is effectively settled.

Advertising Costs

Advertising Costs

        We expense advertising costs primarily in "Subscriber acquisition costs" in the Consolidated Statements of Operations as incurred. Advertising costs for print and media related to national advertising campaigns, net of payments received from programming content providers for marketing support, were $514 million in 2012, $464 million in 2011 and $396 million in 2010.

Market Concentrations and Credit Risk

Market Concentrations and Credit Risk

        We sell programming services and extend credit, in amounts generally not exceeding $200 each, to a large number of individual residential subscribers throughout the United States and most of Latin America. As applicable, we maintain allowances for anticipated losses.

Fair Value Measurement

Fair Value Measurement

        We determine the fair value measurements of assets and liabilities based on the three level valuation hierarchy established for classification of fair value measurements. The valuation hierarchy is based on the transparency of inputs to the valuation of an asset or liability as of the measurement date. Inputs refer broadly to the assumptions that market participants would use in pricing an asset or liability and may be observable or unobservable. The three level hierarchy of inputs is as follows:

  • Level 1: Valuation is based on quoted market prices in active markets for identical assets or liabilities.

    Level 2: Valuation is based upon quoted prices for similar assets and liabilities in active markets, or other inputs that are observable, for substantially the full term of the asset or liability.

    Level 3: Valuation is based upon other unobservable inputs that are not corroborated by market data.

        The carrying value of cash and cash equivalents, accounts receivable, investments and other assets, accounts payable, short-term borrowings and amounts included in accrued liabilities and other meeting the definition of a financial instrument approximated their fair values at December 31, 2012 and 2011.

XML 68 R65.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investments (Details 2) (USD $)
In Millions, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Investments    
Non-marketable equity securities $ 68 $ 56
Marketable equity securities, carried at fair value $ 11 $ 17
XML 69 R22.htm IDEA: XBRL DOCUMENT v2.4.0.6
Capital Lease Obligations
12 Months Ended
Dec. 31, 2012
Capital Lease Obligations  
Capital Lease Obligations

Note 13: Capital Lease Obligations

        We include the current and noncurrent portions of the present value of the net minimum lease payments under capital leases for satellites and vehicles in "Accounts payable and accrued liabilities" and "Other liabilities and deferred credits" in the Consolidated Balance Sheets. The following table sets forth the present value of the net minimum lease payments under capital leases for satellites and vehicles as of December 31, 2012, along with total minimum lease payments for the each of the years ending December 31:

 
 
Minimum Lease Payments
 
 
  (Dollars in Millions)
 

2013

  $ 100  

2014

    96  

2015

    90  

2016

    84  

2017

    79  

Thereafter

    289  
       

Total minimum lease payments

    738  

Less: Amount representing interest

    (210 )
       

Present value of net minimum lease payments

  $ 528  
       

        Excluded from the table above are future payments under the contract for the lease of the ISDLA-1 and ISDLA-2 satellites currently under construction for DIRECTV Latin America, which we expect to account for as a capital lease at the time the satellites are placed into service. See Note 21 for further discussion.

        We include assets held under capitalized leases in "Satellites, net" and "Property and Equipment, net" in our Consolidated Balance Sheets. The following table sets forth assets held under capital leases as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Satellites under capital leases

  $ 509   $ 527  

Less: Accumulated amortization

    (190 )   (140 )
           

Satellites, net under capital leases

  $ 319   $ 387  
           

Property and equipment under capital leases

  $ 129   $ 104  

Less: Accumulated amortization

    (47 )   (38 )
           

Property and equipment, net under capital leases

  $ 82   $ 66  
           

        We paid interest for capital leases of $47 million in 2012, $51 million in 2011 and $55 million in 2010.

XML 70 R36.htm IDEA: XBRL DOCUMENT v2.4.0.6
Change in Accounting Estimate (Tables)
12 Months Ended
Dec. 31, 2012
Change in Accounting Estimate  
Effect of change in an accounting estimate
 
 
Years Ended
December 31,
 
 
 
2012
 
2011
 
 
  (Dollars in Millions,
Except Per Share Amounts)

 

Depreciation and amortization expense

  $ (176 ) $ (141 )

Net income attributable to DIRECTV

    109     86  

Basic earnings attributable to DIRECTV common stockholders per common share

  $ 0.17   $ 0.12  

Diluted earnings attributable to DIRECTV common stockholders per common share

  $ 0.17   $ 0.11  
XML 71 R98.htm IDEA: XBRL DOCUMENT v2.4.0.6
Condensed Consolidating Financial Statements (Details 4) (USD $)
In Millions, unless otherwise specified
1 Months Ended 12 Months Ended
Jan. 31, 2012
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Cash flows from operating activities        
Net cash provided by operating activities   $ 5,634 $ 5,185 $ 5,206
Cash flows from investing activities        
Cash paid for property and equipment   (2,960) (2,924) (2,303)
Cash paid for satellites   (389) (246) (113)
Investment in companies, net of cash acquired   (16) (11) (617)
Proceeds from sale of investments   24 116 9
Other, net   (22) 43 (75)
Net cash used in investing activities   (3,363) (3,022) (3,099)
Cash flows from financing activities        
Issuance of commercial paper (maturity 90 days or less), net   156    
Proceeds from short-term borrowings   202   38
Proceeds from borrowings under revolving credit facility   400    
Repayment of borrowings under revolving credit facility   (400)    
Proceeds from issuance of long-term debt   5,190 3,990 5,978
Debt issuance costs   (36) (30) (44)
Repayment of long-term debt   (1,500) (1,000) (2,323)
Repayment of short-term borrowings     (39)  
Repayment of collar loan and equity collars       (1,537)
Repayment of other long-term obligations   (51) (184) (127)
Common shares repurchased and retired (27) (5,175) (5,496) (5,111)
Stock options exercised   3   38
Taxes paid in lieu of shares issued for share-based compensation   (61) (58) (118)
Excess tax benefit from share-based compensation   30 25 11
Dividends paid to redeemable noncontrolling interest       (15)
Net cash used in financing activities   (1,242) (2,792) (3,210)
Net increase in cash and cash equivalents   1,029 (629) (1,103)
Cash and cash equivalents at beginning of the year 873 873 1,502 2,605
Cash and cash equivalents at end of the year   1,902 873 1,502
Parent Guarantor
       
Cash flows from operating activities        
Net cash provided by operating activities   1,728 1,831 3,952
Cash flows from investing activities        
Cash paid for satellites     (1)  
Return of capital from subsidiary   3,775 3,487 4,820
Net cash used in investing activities   3,775 3,486 4,820
Cash flows from financing activities        
Common shares repurchased and retired   (5,175) (5,496) (5,111)
Stock options exercised   3   38
Taxes paid in lieu of shares issued for share-based compensation     (5) (58)
Intercompany payments (funding)   (52) (134) (3,751)
Net cash used in financing activities   (5,224) (5,635) (8,882)
Net increase in cash and cash equivalents   279 (318) (110)
Cash and cash equivalents at beginning of the year 129 129 447 557
Cash and cash equivalents at end of the year   408 129 447
Co-Issuers
       
Cash flows from operating activities        
Net cash provided by operating activities   2,388 1,835 2,263
Cash flows from financing activities        
Issuance of commercial paper (maturity 90 days or less), net   156    
Proceeds from short-term borrowings   202    
Proceeds from borrowings under revolving credit facility   400    
Repayment of borrowings under revolving credit facility   (400)    
Proceeds from issuance of long-term debt   5,190 3,990 5,978
Debt issuance costs   (36) (30) (44)
Repayment of long-term debt   (1,500) (1,000) (2,323)
Cash dividend to Parent   (5,900) (5,250) (6,900)
Net cash used in financing activities   (1,888) (2,290) (3,289)
Net increase in cash and cash equivalents   500 (455) (1,026)
Cash and cash equivalents at beginning of the year 228 228 683 1,709
Cash and cash equivalents at end of the year   728 228 683
Guarantor Subsidiaries
       
Cash flows from operating activities        
Net cash provided by operating activities   1,766 1,745 1,678
Cash flows from investing activities        
Cash paid for property and equipment   (1,488) (1,595) (1,444)
Cash paid for satellites   (253) (141) (113)
Investment in companies, net of cash acquired   (7) (11) (1)
Proceeds from sale of investments   24 55  
Other, net     1 3
Net cash used in investing activities   (1,724) (1,691) (1,555)
Cash flows from financing activities        
Repayment of other long-term obligations   (21) (66) (99)
Taxes paid in lieu of shares issued for share-based compensation   (52) (29) (38)
Excess tax benefit from share-based compensation   25 21 9
Intercompany payments (funding)   13 20 2
Net cash used in financing activities   (35) (54) (126)
Net increase in cash and cash equivalents   7   (3)
Cash and cash equivalents at beginning of the year 4 4 4 7
Cash and cash equivalents at end of the year   11 4 4
Non-guarantor Subsidiaries
       
Cash flows from operating activities        
Net cash provided by operating activities   1,877 1,537 (607)
Cash flows from investing activities        
Cash paid for property and equipment   (1,472) (1,329) (859)
Cash paid for satellites   (136) (104)  
Investment in companies, net of cash acquired   (9)   (616)
Proceeds from sale of investments     61 9
Other, net   (22) 42 (78)
Net cash used in investing activities   (1,639) (1,330) (1,544)
Cash flows from financing activities        
Proceeds from short-term borrowings       38
Repayment of short-term borrowings     (39)  
Repayment of collar loan and equity collars       (1,537)
Repayment of other long-term obligations   (30) (118) (28)
Taxes paid in lieu of shares issued for share-based compensation   (9) (24) (22)
Excess tax benefit from share-based compensation   5 4 2
Dividends paid to redeemable noncontrolling interest       (15)
Intercompany payments (funding)   39 114 3,749
Net cash used in financing activities   5 (63) 2,187
Net increase in cash and cash equivalents   243 144 36
Cash and cash equivalents at beginning of the year 512 512 368 332
Cash and cash equivalents at end of the year   755 512 368
Eliminations
       
Cash flows from operating activities        
Net cash provided by operating activities   (2,125) (1,763) (2,080)
Cash flows from investing activities        
Return of capital from subsidiary   (3,775) (3,487) (4,820)
Net cash used in investing activities   (3,775) (3,487) (4,820)
Cash flows from financing activities        
Cash dividend to Parent   5,900 5,250 6,900
Net cash used in financing activities   $ 5,900 $ 5,250 $ 6,900
XML 72 R24.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stockholders' Deficit
12 Months Ended
Dec. 31, 2012
Stockholders' Deficit  
Stockholders' Deficit

Note 15: Stockholders' Deficit

Capital Stock and Additional Paid-In Capital

        Following completion of the Liberty Transaction in November 2009, DIRECTV had two classes of common stock outstanding: Class A common stock, par value $0.01 per share, and Class B common stock, par value $0.01 per share. There have been no Class B shares outstanding since the completion of the Malone Transaction on June 16, 2010, as discussed below. The DIRECTV Class A common stock was entitled to one vote per share and traded on the NASDAQ under the ticker "DTV" until it was reclassified as common stock pursuant to the amendment in August 2012. The DIRECTV Class B common stock was entitled to fifteen votes per common share and was not listed on any stock exchange or automated dealer quotation system.

        On August 27, 2012, our certificate of incorporation was amended to reclassify all issued and outstanding shares of Class A common stock and Class B common stock into a single class of common stock. Pursuant to this amendment, our certificate of incorporation provides for the following capital stock: common stock, par value $0.01 per share, 3,950,000,000 shares authorized, and preferred stock, par value $0.01 per share, 50,000,000 shares authorized. The DIRECTV common stock is entitled to one vote per share and trades on the NASDAQ, under the ticker "DTV". As of December 31, 2012, there were no outstanding shares of preferred stock.

Malone Transaction

        In April 2010, we entered into an agreement with Dr. John C. Malone and his family, or the Malones, under which they exchanged 21.8 million shares of high-vote Class B common stock, which was all of the outstanding Class B shares, for 26.5 million shares of Class A common stock, resulting in the reduction of the Malones' voting interest in DIRECTV from approximately 24% to approximately 3% on June 16, 2010. The number of Class A shares issued was determined as follows: one share of Class A common stock for each share of Class B common stock held, plus an additional number of Class A shares with a fair value of $160 million based on the then current market price of the Class A common stock at the time of the agreement on April 6, 2010. See Note 16 for additional information regarding the Malone Transaction.

Share Repurchase Program

        Since 2006 our Board of Directors has approved multiple authorizations for the repurchase of our common stock. As of December 31, 2012, we had approximately $1,719 million remaining under the authorization given by the Board of Directors in 2012. In February 2013 our Board of Directors terminated the remaining balance available under the 2012 authorization and authorized up to an additional $4 billion for repurchases of our common stock. The authorizations allow us to repurchase our common stock from time to time through open market purchases and negotiated transactions, or otherwise. The timing, nature and amount of such transactions will depend on a variety of factors, including market conditions, and the program may be suspended, discontinued or accelerated at any time. The sources of funds for the purchases under the remaining authorizations are our existing cash on hand, cash from operations and potential additional borrowings. Purchases are made in the open market, through block trades and other negotiated transactions. Repurchased shares are retired, but remain authorized for registration and issuance in the future.

        The following table sets forth information regarding shares repurchased and retired for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
  (Amounts in Millions,
Except Per Share Amounts)

 

Total cost of repurchased and retired shares

  $ 5,148   $ 5,455   $ 5,179  

Average price per share

  $ 48.24   $ 45.78   $ 38.20  

Number of shares repurchased and retired

    107     119     136  

        Of the $5,455 million in repurchases during the year ended December 31, 2011, $27 million were paid for in January 2012. Amounts repurchased but settled subsequent to the end of such periods are considered non-cash financing activities and are excluded from the Consolidated Statements of Cash Flows.

Other Comprehensive Income (Loss)

        The following table sets forth the components of "Other comprehensive income (loss)" in the Consolidated Statements of Comprehensive Income for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
 
Pre-tax
Amount
 
Tax
(Benefit)
Expense
 
Net
Amount
 
Pre-tax
Amount
 
Tax
(Benefit)
Expense
 
Net
Amount
 
Pre-tax
Amount
 
Tax
(Benefit)
Expense
 
Net
Amount
 
 
  (Dollars in Millions)
 

Defined benefit plans:

                                                       

Losses related to changes in plan experience and actuarial assumptions arising during the period

  $ (73 ) $ (28 ) $ (45 ) $ (64 ) $ (25 ) $ (39 ) $   $   $  

Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost

    19     7     12     15     6     9     13     5     8  

Amortization of amounts resulting from changes in plan provisions recognized as periodic benefit cost

                2     1     1              

Cash flow hedges:

                                                       

Unrealized losses arising during the period

    (16 )   (6 )   (10 )                        

Reclassification adjustments included in net income

    (11 )   (4 )   (7 )                        

Foreign currency translation adjustments

    (53 )   (21 )   (32 )   (153 )   (59 )   (94 )   32     12     20  

Available for sale securities:

                                                       

Unrealized holding gains (losses) on securities

    (7 )   (3 )   (4 )   (10 )   (4 )   (6 )   6     2     4  

Reclassification adjustment for net gains recognized during period

                            (5 )   (2 )   (3 )
                                       

Other comprehensive income (loss)

  $ (141 ) $ (55 ) $ (86 ) $ (210 ) $ (81 ) $ (129 ) $ 46   $ 17   $ 29  
                                       

Accumulated Other Comprehensive Loss

        The following represents the changes in the components of "Accumulated other comprehensive loss" in the Consolidated Balance Sheets for each of the years presented:

 
 
Defined
Benefit Plans
 
Cross-
Currency
Swaps
 
Foreign
Currency
Items
 
Unrealized
Gains
(Losses) on
Securities
 
Accumulated
Other
Comprehensive
Loss
 
 
  (Dollars in Millions)
 

Balance as of January 1, 2010

  $ (130 ) $   $ 66   $ 8   $ (56 )

Other comprehensive income

    8         20     1     29  
                       

Balance as of December 31, 2010

    (122 )       86     9     (27 )

Other comprehensive loss

    (29 )       (94 )   (6 )   (129 )
                       

Balance as of December 31, 2011

    (151 )       (8 )   3     (156 )

Other comprehensive loss

    (33 )   (17 )   (32 )   (4 )   (86 )
                       

Balance as of December 31, 2012

  $ (184 ) $ (17 ) $ (40 ) $ (1 ) $ (242 )
                       
XML 73 R68.htm IDEA: XBRL DOCUMENT v2.4.0.6
Debt (Details 2)
12 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended 3 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended 0 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended 1 Months Ended 12 Months Ended 3 Months Ended 1 Months Ended
Dec. 31, 2012
USD ($)
Dec. 31, 2011
USD ($)
Dec. 31, 2010
USD ($)
Dec. 31, 2012
VEF
Mar. 31, 2012
Total Senior notes
USD ($)
Mar. 31, 2011
Total Senior notes
USD ($)
Aug. 31, 2010
Total Senior notes
USD ($)
Mar. 31, 2010
Total Senior notes
USD ($)
Sep. 11, 2012
Total Senior notes
USD ($)
Mar. 08, 2012
Total Senior notes
USD ($)
Mar. 10, 2011
Total Senior notes
USD ($)
Aug. 17, 2010
Total Senior notes
USD ($)
Mar. 11, 2010
Total Senior notes
USD ($)
Dec. 31, 2012
Senior notes 4.750% due 2014
USD ($)
Dec. 31, 2011
Senior notes 4.750% due 2014
USD ($)
Mar. 31, 2010
Senior notes 3.550% due 2015
USD ($)
Dec. 31, 2012
Senior notes 3.550% due 2015
USD ($)
Dec. 31, 2011
Senior notes 3.550% due 2015
USD ($)
Mar. 11, 2010
Senior notes 3.550% due 2015
Aug. 31, 2010
Senior notes 3.125% due 2016
USD ($)
Dec. 31, 2012
Senior notes 3.125% due 2016
USD ($)
Dec. 31, 2011
Senior notes 3.125% due 2016
USD ($)
Aug. 17, 2010
Senior notes 3.125% due 2016
Mar. 31, 2011
Senior notes 3.500% due 2016
USD ($)
Dec. 31, 2012
Senior notes 3.500% due 2016
USD ($)
Dec. 31, 2011
Senior notes 3.500% due 2016
USD ($)
Mar. 10, 2011
Senior notes 3.500% due 2016
May 31, 2012
Senior notes 7.625% due 2016
USD ($)
Jun. 30, 2012
Senior notes 7.625% due 2016
USD ($)
May 15, 2012
Senior notes 7.625% due 2016
Dec. 31, 2011
Senior notes 7.625% due 2016
USD ($)
Mar. 31, 2012
Senior notes 2.400% due 2017
USD ($)
Dec. 31, 2012
Senior notes 2.400% due 2017
USD ($)
Mar. 08, 2012
Senior notes 2.400% due 2017
Dec. 31, 2012
Senior notes 5.875% due 2019
USD ($)
Dec. 31, 2011
Senior notes 5.875% due 2019
USD ($)
Mar. 31, 2010
Senior notes 5.200% Due 2020
USD ($)
Dec. 31, 2012
Senior notes 5.200% Due 2020
USD ($)
Dec. 31, 2011
Senior notes 5.200% Due 2020
USD ($)
Mar. 11, 2010
Senior notes 5.200% Due 2020
Aug. 31, 2010
Senior notes 4.600% due 2021
USD ($)
Dec. 31, 2012
Senior notes 4.600% due 2021
USD ($)
Dec. 31, 2011
Senior notes 4.600% due 2021
USD ($)
Aug. 17, 2010
Senior notes 4.600% due 2021
Mar. 31, 2011
Senior notes 5.000% due 2021
USD ($)
Dec. 31, 2012
Senior notes 5.000% due 2021
USD ($)
Dec. 31, 2011
Senior notes 5.000% due 2021
USD ($)
Mar. 10, 2011
Senior notes 5.000% due 2021
Mar. 31, 2012
Senior notes 3.800% due 2022
USD ($)
Dec. 31, 2012
Senior notes 3.800% due 2022
USD ($)
Mar. 08, 2012
Senior notes 3.800% due 2022
Sep. 11, 2012
Senior notes 4.375% due 2029
USD ($)
Sep. 11, 2012
Senior notes 4.375% due 2029
GBP (£)
Dec. 31, 2012
Senior notes 4.375% due 2029
USD ($)
Dec. 31, 2012
Senior notes 4.375% due 2029
GBP (£)
Mar. 31, 2010
Senior notes 6.350% due 2040
USD ($)
Dec. 31, 2012
Senior notes 6.350% due 2040
USD ($)
Dec. 31, 2011
Senior notes 6.350% due 2040
USD ($)
Mar. 11, 2010
Senior notes 6.350% due 2040
Aug. 31, 2010
Senior notes 6.000% due 2040
USD ($)
Dec. 31, 2012
Senior notes 6.000% due 2040
USD ($)
Dec. 31, 2011
Senior notes 6.000% due 2040
USD ($)
Aug. 17, 2010
Senior notes 6.000% due 2040
Mar. 31, 2011
Senior notes 6.375% due 2041
USD ($)
Dec. 31, 2012
Senior notes 6.375% due 2041
USD ($)
Dec. 31, 2011
Senior notes 6.375% due 2041
USD ($)
Mar. 10, 2011
Senior notes 6.375% due 2041
Mar. 31, 2012
Senior notes 5.150% due 2042
USD ($)
Dec. 31, 2012
Senior notes 5.150% due 2042
USD ($)
Mar. 08, 2012
Senior notes 5.150% due 2042
Jun. 30, 2011
Senior notes 6.375% due 2015
USD ($)
Mar. 31, 2011
Senior notes 6.375% due 2015
USD ($)
Dec. 31, 2011
Senior notes 6.375% due 2015
USD ($)
Jun. 15, 2011
Senior notes 6.375% due 2015
Mar. 17, 2011
Senior notes 6.375% due 2015
USD ($)
Dec. 31, 2012
Commercial Paper
USD ($)
Nov. 27, 2012
Commercial Paper
USD ($)
Mar. 31, 2010
Collar Loan
USD ($)
Mar. 31, 2010
Senior Secured Credit Facilities Term Loan C
USD ($)
Aug. 31, 2010
Senior Secured Credit Facilities Term Loans A and B
USD ($)
Debt instrument                                                                                                                                                                
Principal amount $ 17,219,000,000                         $ 1,000,000,000     $ 1,200,000,000       $ 750,000,000       $ 1,500,000,000               $ 1,250,000,000   $ 1,000,000,000     $ 1,300,000,000       $ 1,000,000,000       $ 1,500,000,000       $ 1,500,000,000       $ 1,219,000,000 £ 750,000,000   $ 500,000,000       $ 1,250,000,000       $ 1,000,000,000       $ 1,250,000,000                      
Senior notes 17,170,000,000 13,464,000,000                       999,000,000 999,000,000   1,200,000,000 1,199,000,000     750,000,000 750,000,000     1,498,000,000 1,498,000,000         1,500,000,000   1,249,000,000   995,000,000 994,000,000   1,298,000,000 1,298,000,000     999,000,000 999,000,000     1,495,000,000 1,494,000,000     1,499,000,000       1,206,000,000 742,000,000   500,000,000 499,000,000     1,234,000,000 1,234,000,000     1,000,000,000 1,000,000,000     1,248,000,000           1,002,000,000          
Senior note, interest rate (as a percent)                           4.75% 4.75%   3.55% 3.55% 3.55%   3.125% 3.125% 3.125%   3.50% 3.50% 3.50%     7.625%     2.40% 2.40% 5.875% 5.875%   5.20% 5.20% 5.20%   4.60% 4.60% 4.60%   5.00% 5.00% 5.00%   3.80% 3.80% 4.375% 4.375% 4.375% 4.375%   6.35% 6.35% 6.35%   6.00% 6.00% 6.00%   6.375% 6.375% 6.375%   5.15% 5.15%       6.375% 6.375%          
Principal                                                                                                                                                         2,500,000,000      
Principal         4,000,000,000 4,000,000,000 3,000,000,000 3,000,000,000               1,200,000,000       750,000,000       1,500,000,000               1,250,000,000         1,300,000,000       1,000,000,000       1,500,000,000       1,500,000,000     1,208,000,000 750,000,000     500,000,000       1,250,000,000       1,000,000,000       1,250,000,000                        
Proceeds, net of discount 5,190,000,000 3,990,000,000 5,978,000,000   3,996,000,000 3,990,000,000 2,982,000,000 2,996,000,000               1,199,000,000       750,000,000       1,497,000,000               1,249,000,000         1,298,000,000       999,000,000       1,493,000,000       1,499,000,000     1,194,000,000 742,000,000     499,000,000       1,233,000,000       1,000,000,000       1,248,000,000                        
Borrowings, net of repayments                                                                                                                                                       358,000,000        
U.S. dollars based exchange rate       4.3                                                                                               1.61   1.63                                                    
Debt issuance costs                 9,000,000 25,000,000 24,000,000 19,000,000 17,000,000                                                                                                                                      
Senior notes repurchased as a percentage of outstanding principal amount                                                           103.813%                                                                                       102.125% 103.313%          
Total repayment of long-term debt, including redemption premium and accrued and unpaid interest                                                       1,614,000,000                                                                                     694,000,000 358,000,000                
Pre-tax charge on repayment of remaining principal 64,000,000 25,000,000 16,000,000                                                   64,000,000                                                                                       25,000,000           9,000,000 7,000,000
After-tax charge on repayment of remaining principal                                                         40,000,000                                                                                       16,000,000           6,000,000 4,000,000
Premium paid for redemption of debt                                                         57,000,000                                                                                                      
Write-off of deferred debt issuance and other transaction costs                                                         7,000,000                                                                                                   3,000,000  
Repayment of long-term debt                                                       1,500,000,000                                                                                     659,000,000 341,000,000             985,000,000 1,220,000,000
Write-off of unamortized discount                                                                                                                                                             6,000,000  
Repayment of collar loan     1,537,000,000                                                                                                                                                     1,537,000,000    
Liberty transaction and related gain     $ 67,000,000                                                                                                                                                     $ 67,000,000    
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XML 75 R7.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS' EQUITY (DEFICIT) AND REDEEMABLE NONCONTROLLING INTEREST (USD $)
In Millions, except Share data, unless otherwise specified
Total
USD ($)
Common Stock and Additional Paid-In Capital
USD ($)
Accumulated Deficit
USD ($)
Accumulated Other Comprehensive Loss
USD ($)
DIRECTV Common Shares
USD ($)
DIRECTV Common Shares
Common Stock
DIRECTV Class B Common Shares
USD ($)
DIRECTV Class B Common Shares
Common Stock
Balance at Dec. 31, 2009 $ 2,911 $ 6,689 $ (3,722) $ (56)        
Balance (in shares) at Dec. 31, 2009           911,377,919   21,809,863
Increase (Decrease) in Stockholders' Equity                
Net income attributable to DIRECTV 2,198   2,198   2,014   184  
Net Income 2,312              
Stock repurchased and retired (5,179) (973) (4,206)          
Stock repurchased and retired (in shares) (135,528,774)         (135,528,774)    
Stock options exercised and restricted stock units vested and distributed (30) (30)            
Stock options exercised and restricted stock units vested and distributed (in shares)           6,050,275    
Malone Transaction, issued (in shares)           26,547,624    
Malone Transaction, converted (in shares)               (21,809,863)
Share-based compensation expense 82 82            
Tax benefit from share-based compensation 38 38            
Acquisition of noncontrolling interest, including related deferred income taxes 79 79            
Adjustment to the fair value of redeemable noncontrolling interest (323) (323)            
Other 1 1            
Other comprehensive loss (income) 29     29        
Balance at Dec. 31, 2010 (194) 5,563 (5,730) (27)        
Balance (in shares) at Dec. 31, 2010           808,447,044    
Increase (Decrease) in Stockholders' Equity                
Net income attributable to DIRECTV 2,609   2,609          
Net Income 2,636              
Stock repurchased and retired (5,455) (825) (4,630)          
Stock repurchased and retired (in shares) (119,132,986)         (119,132,986)    
Stock options exercised and restricted stock units vested and distributed (48) (48)            
Stock options exercised and restricted stock units vested and distributed (in shares)           1,992,637    
Share-based compensation expense 103 103            
Tax benefit from share-based compensation 30 30            
Adjustment to the fair value of redeemable noncontrolling interest (24) (24)            
Other 1   1          
Other comprehensive loss (income) (129)     (129)        
Balance at Dec. 31, 2011 (3,107) 4,799 (7,750) (156)        
Balance (in shares) at Dec. 31, 2011           691,306,695    
Increase (Decrease) in Stockholders' Equity                
Net income attributable to DIRECTV 2,949   2,949          
Net Income 2,977              
Stock repurchased and retired (5,148) (739) (4,409)          
Stock repurchased and retired (in shares) (106,691,615)         (106,691,615)    
Stock options exercised and restricted stock units vested and distributed (54) (54)            
Stock options exercised and restricted stock units vested and distributed (in shares)           2,224,737    
Share-based compensation expense 109 109            
Tax benefit from share-based compensation 30 30            
Adjustment to the fair value of redeemable noncontrolling interest (122) (122)            
Other (2) (2)            
Other comprehensive loss (income) (86)     (86)        
Balance at Dec. 31, 2012 $ (5,431) $ 4,021 $ (9,210) $ (242)        
Balance (in shares) at Dec. 31, 2012           586,839,817    
XML 76 R3.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED STATEMENTS OF OPERATIONS (Parenthetical) (DIRECTV Class B Common Shares, USD $)
In Millions, unless otherwise specified
1 Months Ended
Jun. 30, 2010
Malone Transaction
Exchange inducement value, Malone Transaction $ 160
XML 77 R17.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investments
12 Months Ended
Dec. 31, 2012
Investments  
Investments

Note 8: Investments

Equity Method Investments

        Sky Mexico.    DIRECTV accounts for the excess of the carrying value for its investment in Sky Mexico over DIRECTV's share of Sky Mexico's equity in memo accounts allocated to goodwill and definite lived intangibles attributable to affiliate and advertising relationships. We recognized $4 million in 2012, $25 million in 2011 and $25 million in 2010 of amortization on definite lived intangibles in equity earnings of Sky Mexico related to these assets.

        Game Show Network.    Due to certain governance arrangements which limit DIRECTV's ability to control GSN, we account for GSN as an equity method investment. In March 2011, we sold a 5% ownership interest in GSN to our equity partner for $60 million in cash, reducing our ownership interest to 60%. We recognized a pre-tax gain of $25 million ($16 million after tax) on the sale in "Other, net" in the Consolidated Statements of Operations, which represents the difference between the selling price and the carrying amount of the portion of our equity method investment sold.

        In December 2012, we sold an 18% interest in GSN for $234 million to our equity partner, which reduced our ownership interest from 60% to 42%. We recognized a pre-tax gain of $111 million ($68 million after tax) on the sale in "Other, net" in the Consolidated Statement of Operations, which represents the difference between the selling price and the carrying amount of the portion of our equity method investment sold. Under the terms of the purchase and sale agreement, our equity partner has the option to pay the $234 million selling price either in full in April 2013, or in two equal installments of $117 million each: one in April 2013 and the second in April 2014. All unpaid amounts will accrue interest payable to us at a rate of 10% per year. This sale was considered a non-cash investing activity for purposes of the Consolidated Statements of Cash Flows for the year ended December 31, 2012.

        DIRECTV accounts for the excess of the carrying value for its investment in GSN over DIRECTV's share of GSN's equity in memo accounts allocated to goodwill and definite lived intangibles attributable to affiliate and advertising relationships. We recognized $10 million in 2012, $10 million in 2011 and $12 million in 2010 of amortization on definite lived intangibles in equity earnings of GSN related to these assets.

        Other.    In April 2011, we sold an equity method investment for $55 million in cash. As a result of this sale, we recognized a pre-tax gain of $37 million ($23 million after tax) on the sale in "Other, net" in the Consolidated Statements of Operations, which represents the difference between the selling price and the carrying amount of the equity method investment sold.

        The following table sets forth the carrying value of our investments which we account for under the equity method of accounting as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Sky Mexico

  $ 510   $ 490  

GSN

    291     420  

Other equity method investments

    149     131  
           

Total investments accounted for under the equity method of accounting

  $ 950   $ 1,041  
           

        The following table sets forth equity in earnings and losses of our investments accounted for under the equity method of accounting for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Sky Mexico

  $ 62   $ 52   $ 33  

GSN

    42     29     33  

Other

    27     28     24  
               

Total net equity earnings for investments accounted for under the equity method of accounting

  $ 131   $ 109   $ 90  
               

        We received cash dividends of $79 million in 2012, $104 million in 2011 and $78 million in 2010 from companies that we account for under the equity method. Undistributed earnings from equity method investments were $302 million as of December 31, 2012 and $256 million as of December 31, 2011.

Equity Securities

        We had investments in non-marketable equity securities of $68 million as of December 31, 2012 and $56 million as of December 31, 2011, which were stated at cost. We also had investments in marketable equity securities of $11 million as of December 31, 2012 and $17 million as of December 31, 2011, which were carried at fair market value.

XML 78 R93.htm IDEA: XBRL DOCUMENT v2.4.0.6
Selected Quarterly Data (Unaudited) (Details) (USD $)
In Millions, except Per Share data, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Per share                      
Revenues $ 8,054 $ 7,416 $ 7,224 $ 7,046 $ 7,463 $ 6,844 $ 6,600 $ 6,319 $ 29,740 $ 27,226 $ 24,102
Operating profit 1,298 1,068 1,411 1,308 1,214 1,030 1,230 1,155 5,085 4,629 3,896
Net income attributable to DIRECTV $ 942 $ 565 $ 711 $ 731 $ 718 $ 516 $ 701 $ 674 $ 2,949 $ 2,609 $ 2,198
Basic earnings attributable to DIRECTV common stockholders (in dollars per share) $ 1.57 $ 0.91 $ 1.09 $ 1.08 $ 1.02 $ 0.70 $ 0.92 $ 0.85 $ 4.62 $ 3.49  
Diluted earnings attributable to DIRECTV common stockholders (in dollars per share) $ 1.55 $ 0.90 $ 1.09 $ 1.07 $ 1.02 $ 0.70 $ 0.91 $ 0.85 $ 4.58 $ 3.47  
XML 79 R91.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Reporting (Details 3) (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Revenue and property by geographic areas                      
Revenues $ 8,054 $ 7,416 $ 7,224 $ 7,046 $ 7,463 $ 6,844 $ 6,600 $ 6,319 $ 29,740 $ 27,226 $ 24,102
Net Property & Satellites 8,395       7,438       8,395 7,438 6,679
United States
                     
Revenue and property by geographic areas                      
Revenues                 23,678 22,310 20,684
Net Property & Satellites 5,694       5,267       5,694 5,267 4,987
Latin America and the Caribbean
                     
Revenue and property by geographic areas                      
Revenues                 6,062 4,916 3,418
Net Property & Satellites 2,701       2,171       2,701 2,171 1,692
Brazil
                     
Revenue and property by geographic areas                      
Revenues                 3,501 3,020 2,013
Net Property & Satellites 1,626       1,423       1,626 1,423 1,060
Other
                     
Revenue and property by geographic areas                      
Revenues                 2,561 1,896 1,405
Net Property & Satellites $ 1,075       $ 748       $ 1,075 $ 748 $ 632
XML 80 R1.htm IDEA: XBRL DOCUMENT v2.4.0.6
Document and Entity Information (USD $)
12 Months Ended
Dec. 31, 2012
Feb. 13, 2013
Jun. 30, 2012
Entity Registrant Name DIRECTV    
Entity Central Index Key 0001465112    
Document Type 10-K    
Document Period End Date Dec. 31, 2012    
Amendment Flag false    
Current Fiscal Year End Date --12-31    
Entity Well-known Seasoned Issuer Yes    
Entity Voluntary Filers No    
Entity Current Reporting Status Yes    
Entity Filer Category Large Accelerated Filer    
Entity Public Float     $ 31,057,152,128
Entity Common Stock, Shares Outstanding   573,118,774  
Document Fiscal Year Focus 2012    
Document Fiscal Period Focus FY    
XML 81 R18.htm IDEA: XBRL DOCUMENT v2.4.0.6
Accounts Payable and Accrued Liabilities
12 Months Ended
Dec. 31, 2012
Accounts Payable and Accrued Liabilities  
Accounts Payable and Accrued Liabilities

Note 9: Accounts Payable and Accrued Liabilities

        The following table sets forth the significant components of "Accounts payable and accrued liabilities" in our Consolidated Balance Sheets as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Programming costs

  $ 2,194   $ 2,006  

Accounts payable

    1,208     1,195  

Payroll and employee benefits

    347     307  

Other

    869     702  
           

Total accounts payable and accrued liabilities

  $ 4,618   $ 4,210  
           

        As of December 31, 2012, there were $104 million of amounts payable to vendors for property and equipment and $5 million of amounts payable for satellites in "Accounts payable and accrued liabilities" in the Consolidated Balance Sheets, which is considered a non-cash investing activity for purposes of the Consolidated Statements of Cash Flows for the year ended December 31, 2012. As of December 31, 2011 there were $68 million of amounts payable to vendors for property and equipment and $3 million of amounts payable for satellites in "Accounts payable and accrued liabilities" in the Consolidated Balance Sheets, which is considered a non-cash investing activity for purposes of the Consolidated Statements of Cash Flows for the year ended December 31, 2011.

XML 82 R80.htm IDEA: XBRL DOCUMENT v2.4.0.6
Stockholders' Deficit (Details 2) (USD $)
1 Months Ended 12 Months Ended 1 Months Ended 12 Months Ended 1 Months Ended
Jan. 31, 2012
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Apr. 30, 2010
Class B common stock
Dec. 31, 2010
Class B common stock
Jun. 16, 2010
Malone Transaction
Apr. 30, 2010
Malone Transaction
Jun. 30, 2010
Malone Transaction
Class A common stock
Apr. 30, 2010
Malone Transaction
Class A common stock
Jun. 30, 2010
Malone Transaction
Class B common stock
Apr. 30, 2010
Malone Transaction
Class B common stock
Feb. 28, 2013
Maximum
Shareholder Transaction                          
Exchange of Class B common shares for Class A common shares         21,809,863           21,809,863 21,809,863  
Exchange of Class B common shares for Class A common shares (in shares)                 26,547,624 26,547,624      
Voting interest held by shareholder, prior to conversion (as a percent)             24.00% 24.00%          
Voting interest held by shareholder, after conversion (as a percent)             3.00% 3.00%          
Number of shares of Class A common stock issued in exchange for each share of Class B common stock                 1        
Fair value of additional Class A common stock issued as conversion inducement           $ 160,000,000     $ 160,000,000   $ 160,000,000    
Information regarding shares repurchased and retired                          
Remaining authorization under share repurchase program   1,719,000,000                      
Additional stock repurchases authorized                         4,000,000,000
Total cost of repurchased shares   5,148,000,000 5,455,000,000 5,179,000,000                  
Average price per share (in dollars per share)   $ 48.24 $ 45.78 $ 38.20                  
Number of shares repurchased and retired   106,691,615 119,132,986 135,528,774                  
Amount paid for stock repurchases $ 27,000,000 $ 5,175,000,000 $ 5,496,000,000 $ 5,111,000,000                  
XML 83 R90.htm IDEA: XBRL DOCUMENT v2.4.0.6
Segment Reporting (Details 2) (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Segment Reporting                      
Operating profit before depreciation and amortization                 $ 7,522 $ 6,978 $ 6,378
Depreciation and amortization expense                 (2,437) (2,349) (2,482)
Operating profit 1,298 1,068 1,411 1,308 1,214 1,030 1,230 1,155 5,085 4,629 3,896
Interest income                 59 34 39
Interest expense                 (842) (763) (557)
Liberty transaction and related gain                     67
Other, net                 140 84 69
Income before income taxes                 4,442 3,984 3,514
Income tax expense                 (1,465) (1,348) (1,202)
Net income                 2,977 2,636 2,312
Less: Net income attributable to noncontrolling interest                 (28) (27) (114)
Net income attributable to DIRECTV $ 942 $ 565 $ 711 $ 731 $ 718 $ 516 $ 701 $ 674 $ 2,949 $ 2,609 $ 2,198
XML 84 R4.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME      
Net income $ 2,977 $ 2,636 $ 2,312
Defined benefit plans:      
Losses related to changes in plan experience and actuarial assumptions arising during the period (45) (39)  
Amortization of amounts resulting from changes in plan experience and actuarial assumptions recognized as periodic benefit cost 12 9 8
Amortization of amounts resulting from changes in plan provisions recognized as periodic benefit cost   1  
Cash flow hedges:      
Unrealized losses arising during the period (10)    
Reclassification adjustments included in net income (7)    
Foreign currency translation adjustments (32) (94) 20
Available for sale securities:      
Unrealized holding gains (losses) on securities (4) (6) 4
Reclassification adjustment for net gains recognized during period     (3)
Other comprehensive income (loss) (86) (129) 29
Comprehensive income 2,891 2,507 2,341
Less: Comprehensive income attributable to noncontrolling interests (13) (17) (121)
Comprehensive income attributable to DIRECTV $ 2,878 $ 2,490 $ 2,220
XML 85 R12.htm IDEA: XBRL DOCUMENT v2.4.0.6
Change in Accounting Estimate
12 Months Ended
Dec. 31, 2012
Change in Accounting Estimate  
Change in Accounting Estimate

Note 3: Change in Accounting Estimate

        Depreciable Lives of Leased Set-Top Receivers.    We currently lease most set-top receivers provided to new and existing subscribers and therefore capitalize the cost of those set-top receivers. We depreciate capitalized set-top receivers over the estimated useful life of the equipment. As a result of the completion of an extensive evaluation of the estimated useful life of the set-top receivers in the third quarter of 2011, including consideration of historical write-offs, improved efficiencies in our refurbishment program, improved set-top receiver failure rates over time and management's judgment of the risk of technological obsolescence, we determined that the estimated useful life of HD set-top receivers used in our DIRECTV U.S. business has increased to four years, from three years as previously estimated. We continue to depreciate standard-definition, or SD, set-top receivers at DIRECTV U.S. over a three-year estimated useful life. We accounted for this change in the useful life of the HD set-top receivers at DIRECTV U.S. as a change in an accounting estimate beginning July 1, 2011. This change had the effect of reducing depreciation and amortization expense and increasing both net income attributable to DIRECTV and earnings per share in our consolidated results of operations as follows:

 
 
Years Ended
December 31,
 
 
 
2012
 
2011
 
 
  (Dollars in Millions,
Except Per Share Amounts)

 

Depreciation and amortization expense

  $ (176 ) $ (141 )

Net income attributable to DIRECTV

    109     86  

Basic earnings attributable to DIRECTV common stockholders per common share

  $ 0.17   $ 0.12  

Diluted earnings attributable to DIRECTV common stockholders per common share

  $ 0.17   $ 0.11  
XML 86 R11.htm IDEA: XBRL DOCUMENT v2.4.0.6
Basis of Presentation and Summary of Significant Accounting Policies
12 Months Ended
Dec. 31, 2012
Basis of Presentation and Summary of Significant Accounting Policies  
Basis of Presentation and Summary of Significant Accounting Policies

Note 2: Basis of Presentation and Summary of Significant Accounting Policies

Principles of Consolidation

        We present our accompanying financial statements on a consolidated basis and include our accounts and those of our domestic and foreign subsidiaries that we control through equity ownership or for which we are deemed to be the primary beneficiary, after elimination of intercompany accounts and transactions.

Use of Estimates in the Preparation of the Consolidated Financial Statements

        We prepare our consolidated financial statements in conformity with accounting principles generally accepted in the United States of America, which requires us to make estimates and assumptions that affect amounts reported herein. We base our estimates and assumptions on historical experience and on various other factors that we believe to be reasonable under the circumstances. Due to the inherent uncertainty involved in making estimates, our actual results reported in future periods may be affected by changes in those estimates.

Revenue Recognition

        We enter into multiple-deliverable revenue arrangements with our subscribers under which we provide DIRECTV receiving equipment, services and programming during their contract period, of up to two years. We allocate consideration to each deliverable in the arrangement based on its relative selling price. We determine the selling price of the DIRECTV receiving equipment using our best estimate. We determine the selling price for services based on prices charged by third parties. We determine the selling price of the programming using our standard programming rates. The DIRECTV receiving equipment, services and programming are each considered separate units of accounting.

        We recognize subscription and pay-per-view revenues when programming is broadcast to subscribers. We recognize subscriber fees for multiple set-top receivers and warranty services as revenue, as earned. We recognize advertising revenues when the related services are performed. We defer programming payments received from subscribers in advance of the broadcast as "Unearned subscriber revenues and deferred credits" in the Consolidated Balance Sheets until earned. We recognize revenues to be received under contractual commitments on a straight line basis over the minimum contractual period. We report revenues net of customer credits and discounted promotions.

Broadcast Programming and Other

        We recognize the costs of television programming distribution rights when we distribute the related programming. We recognize the costs of television programming rights to distribute live sporting events for a season or tournament to expense using the straight-line method over the course of the season or tournament.

        We defer advance payments in the form of cash and equity instruments from programming content providers for carriage of their signal and recognize them as a reduction of "Broadcast programming and other" in the Consolidated Statements of Operations on a straight-line basis over the related contract term. We record equity instruments at fair value based on quoted market prices or values determined by management.

Subscriber Acquisition Costs

        Subscriber acquisition costs consist of costs we incur to acquire new subscribers. We include the cost of set-top receivers and other equipment, commissions we pay to national retailers, independent satellite television retailers, dealers and regional telephone companies, which we refer to as telcos, and the cost of installation, advertising, marketing and customer call center expenses associated with the acquisition of new subscribers in subscriber acquisition costs. We expense these costs as incurred, or when subscribers activate the DIRECTV® service, as appropriate, except for the cost of set-top receivers leased to new subscribers, which we capitalize in "Property and equipment, net" in the Consolidated Balance Sheets and depreciate over their estimated useful lives. In certain countries in Latin America, where our customer agreements provide for the lease of the entire DIRECTV or SKY System, we also capitalize the costs of the other customer premises equipment and related installation costs in "Property and equipment, net" in the Consolidated Balance Sheets. Although paid in advance, the retailer or dealer earns substantially all commissions paid for customer acquisitions over 12 months from the date of subscriber activation. Should the subscriber cancel our service during such 12 month service period, we are reimbursed for the unearned portion of the commission by the retailer or dealer and record a decrease to subscriber acquisition costs. We include the amount of our set-top receivers capitalized each period for subscriber acquisition activities in the Consolidated Statements of Cash Flows under the caption "Cash paid for property and equipment." See Note 6 for additional information.

Upgrade and Retention Costs

        Upgrade and retention costs consist primarily of costs we incur for upgrade efforts for existing subscribers. We include the costs of subscriber equipment upgrade programs for digital video recorder, or DVR, high-definition, or HD, and HD DVR receivers and local channels, our multiple set-top receiver offers and other similar initiatives. Retention costs also include the costs of installing and providing hardware under our movers program for subscribers relocating to a new residence. We expense these costs as incurred, except for the cost of set-top receivers leased to existing subscribers, which we capitalize in "Property and equipment, net" in the Consolidated Balance Sheets. We include the amount of our set-top receivers capitalized each period for upgrade and retention activities in the Consolidated Statements of Cash Flows under the caption "Cash paid for property and equipment." See Note 6 for additional information.

Cash and Cash Equivalents

        Cash and cash equivalents consist of cash on deposit and highly liquid investments we purchase with original maturities of three months or less.

Inventories

        We state inventories at the lower of average cost or market. Inventories consist of finished goods for DIRECTV System equipment and DIRECTV System access cards.

Property and Equipment, Satellites and Depreciation

        We carry property and equipment, and satellites, at cost, net of accumulated depreciation. The amounts we capitalize for satellites currently being constructed and those that have been successfully launched include the costs of construction, launch, launch insurance, incentive obligations and capitalized interest. We generally compute depreciation using the straight-line method over the estimated useful lives of the assets. We amortize leasehold improvements over the lesser of the life of the asset or term of the lease.

Capitalized Software Costs

        We capitalize certain software costs incurred, either from internal or external sources, as part of "Property and equipment, net" in the Consolidated Balance Sheets and depreciate these costs on a straight-line basis over the useful life of the software. We recognize planning, training, support and maintenance costs incurred either prior to or following the implementation phase as expense in the Consolidated Statements of Operations in the period in which they occur. We had unamortized capitalized software costs of $492 million as of December 31, 2012 and $551 million as of December 31, 2011. We recorded depreciation of these costs of $292 million in 2012, $234 million in 2011 and $218 million in 2010 in "Depreciation and amortization expense" in the Consolidated Statements of Operations.

Goodwill and Intangible Assets

        Goodwill and intangible assets with indefinite lives are carried at historical cost and are subject to write-down, as needed, based upon an impairment analysis that we must perform at least annually, or sooner if an event occurs or circumstances change that would more likely than not result in an impairment loss. We perform our annual impairment analysis in the fourth quarter of each year. We use estimates of fair value to determine the amount of impairment, if any, of goodwill and intangibles assets with indefinite lives. The goodwill evaluation requires the estimation of the fair value of reporting units where we record goodwill. We determine fair values primarily using estimated cash flows discounted at a rate commensurate with the risk involved, when appropriate. If an impairment loss results from the annual impairment test, we would record the loss as a pre-tax charge to operating income.

        We amortize other intangible assets using the straight-line method over their estimated useful lives, which range from 5 to 20 years.

Valuation of Long-Lived Assets

        We evaluate the carrying value of long-lived assets to be held and used, other than goodwill and intangible assets with indefinite lives, when events and circumstances warrant such a review. We consider the carrying value of a long-lived asset impaired when the anticipated undiscounted future cash flow from such asset is separately identifiable and is less than its carrying value. In that event, we would recognize a loss based on the amount by which the carrying value exceeds the fair value of the long-lived asset. We determine fair value primarily using estimated future cash flows associated with the asset under review, discounted at a rate commensurate with the risk involved, or other valuation techniques. We determine losses on long-lived assets to be disposed of in a similar manner, except that we reduce the fair value for the cost of disposal.

Foreign Currency

        The U.S. dollar is the functional currency for most of our foreign operations. We recognize gains and losses resulting from remeasurement of these operations' foreign currency denominated assets, liabilities and transactions into the U.S. dollar in the Consolidated Statements of Operations.

        We also have foreign operations where the local currency is their functional currency. Accordingly, these foreign entities translate assets and liabilities from their local currencies to U.S. dollars using year-end exchange rates while income and expense accounts are translated at the average rates in effect during the year. We record the resulting translation adjustment as part of "Accumulated other comprehensive loss," a separate component of stockholders' deficit in the Consolidated Balance Sheets.

Investments

        We maintain investments in equity securities of unaffiliated companies. We carry non-marketable equity securities at cost. We consider marketable equity securities available-for-sale and they are carried at current fair value based on quoted market prices with unrealized gains or losses (excluding other-than-temporary losses), net of taxes, reported as part of "Accumulated other comprehensive loss" in the Consolidated Balance Sheets. We regularly review our investments to determine whether a decline in fair value below the cost basis is "other-than-temporary." We consider, among other factors: the magnitude and duration of the decline; the financial health and business outlook of the investee, including industry and sector performance, changes in technology, and operational and financing cash flow factors; and our intent and ability to hold the investment. If we judge the decline in fair value to be other-than-temporary, we write-down the cost basis of the security to fair value and recognize the amount in the Consolidated Statements of Operations as part of "Other, net" and record it as a reclassification adjustment from "Accumulated other comprehensive loss" in the Consolidated Balance Sheets.

        We account for investments in which we own at least 20% of the voting securities or have significant influence under the equity method of accounting. We record equity method investments at cost and adjust for the appropriate share of the net earnings or losses of the investee. We record investee losses up to the amount of the investment plus advances and loans made to the investee, and financial guarantees made on behalf of the investee.

Derivative Financial Instruments

        We have designated our cross-currency swaps as cash flow hedges, and accordingly, we record the effective portion of the unrealized gains and losses on the cross-currency swaps in "Accumulated other comprehensive loss" in the Consolidated Balance Sheets and reclassify those amounts to earnings in the same periods during which the hedged debt affects earnings. We record the ineffective portion of the unrealized gains and losses on these cross-currency swaps, if any, immediately in earnings.

Debt Issuance Costs

        We defer costs we incur to issue debt and amortize these costs to interest expense using the straight-line method over the term of the respective obligation.

Share-Based Payment

        We grant restricted stock units and common stock options to certain employees and shares of stock to our directors as part of their annual compensation for Board services.

        We record compensation expense equal to the fair value of stock-based awards at the grant date on a straight-line basis over the requisite service period of up to three years, reduced for estimated forfeitures and adjusted for anticipated payout percentages related to the achievement of performance targets.

Sales Taxes

        Sales taxes collected and remitted to state and local authorities are recorded on a net basis.

Income Taxes

        We determine deferred tax assets and liabilities based on the difference between the financial statement and tax basis of assets and liabilities, using enacted tax rates in effect for the year in which we expect the differences to reverse. We must make certain estimates and judgments in determining income tax provisions, assessing the likelihood of recovering our deferred tax assets, and evaluating tax positions.

        We recognize a benefit in "Income tax expense" in the Consolidated Statements of Operations for uncertain tax positions that are more-likely-than-not to be sustained upon examination, measured at the largest amount that has a greater than 50% likelihood of being realized upon settlement. Unrecognized tax benefits represent tax benefits taken or expected to be taken in income tax returns, for which the benefit has not yet been recognized in "Income tax expense" in the Consolidated Statements of Operations due to the uncertainty of whether such benefits will be ultimately realized. We recognize interest and penalties accrued related to unrecognized tax benefits in "Income tax expense" in the Consolidated Statements of Operations. Unrecognized tax benefits are recorded in "Income tax expense" in the Consolidated Statements of Operations at such time that the benefit is effectively settled.

Advertising Costs

        We expense advertising costs primarily in "Subscriber acquisition costs" in the Consolidated Statements of Operations as incurred. Advertising costs for print and media related to national advertising campaigns, net of payments received from programming content providers for marketing support, were $514 million in 2012, $464 million in 2011 and $396 million in 2010.

Market Concentrations and Credit Risk

        We sell programming services and extend credit, in amounts generally not exceeding $200 each, to a large number of individual residential subscribers throughout the United States and most of Latin America. As applicable, we maintain allowances for anticipated losses.

Fair Value Measurement

        We determine the fair value measurements of assets and liabilities based on the three level valuation hierarchy established for classification of fair value measurements. The valuation hierarchy is based on the transparency of inputs to the valuation of an asset or liability as of the measurement date. Inputs refer broadly to the assumptions that market participants would use in pricing an asset or liability and may be observable or unobservable. The three level hierarchy of inputs is as follows:

  • Level 1: Valuation is based on quoted market prices in active markets for identical assets or liabilities.

    Level 2: Valuation is based upon quoted prices for similar assets and liabilities in active markets, or other inputs that are observable, for substantially the full term of the asset or liability.

    Level 3: Valuation is based upon other unobservable inputs that are not corroborated by market data.

        The carrying value of cash and cash equivalents, accounts receivable, investments and other assets, accounts payable, short-term borrowings and amounts included in accrued liabilities and other meeting the definition of a financial instrument approximated their fair values at December 31, 2012 and 2011.

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Pension and Other Postretirement Benefit Plans
12 Months Ended
Dec. 31, 2012
Pension and Other Postretirement Benefit Plans  
Pension and Other Postretirement Benefit Plans

Note 14: Pension and Other Postretirement Benefit Plans

        Most of our employees are eligible to participate in our funded non-contributory defined benefit pension plan, which provides defined benefits based on either years of service and final average salary, or eligible compensation while employed by us. Additionally, we maintain a funded contributory defined benefit plan for employees who elected to participate prior to 1991, and an unfunded, nonqualified pension plan for certain eligible employees. For participants in the contributory pension plan, we also maintain a postretirement benefit plan for those retirees eligible to participate in health care and life insurance benefits generally until they reach age 65. Participants may become eligible for these health care and life insurance benefits if they retire from our company between the ages of 55 and 65. The health care plan is contributory with participants' contributions subject to adjustment annually; the life insurance plan is non-contributory.

        The components of the pension benefit obligation and the other postretirement benefit obligation, including amounts recognized in the Consolidated Balance Sheets, are shown below for the years ended December 31:

 
 
Pension
Benefits
 
Other
Postretirement
Benefits
 
 
 
2012
 
2011
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Change in Net Benefit Obligation

                         

Net benefit obligation at beginning of year

  $ 583   $ 521   $ 23   $ 21  

Service cost

    32     25     1     1  

Interest cost

    30     29     1     1  

Plan participants' contributions

    1     1          

Actuarial (gain) loss

    91     43     (3 )   1  

Benefits paid

    (37 )   (36 )   (1 )   (1 )

Settlements

    (36 )            
                   

Net benefit obligation at end of year

    664     583     21     23  
                   

Change in Plan Assets

                         

Fair value of plan assets at beginning of year

    448     429          

Actual return on plan assets

    49     14          

Employer contributions

    70     40     1     1  

Plan participants' contributions

    1     1          

Benefits paid

    (37 )   (36 )   (1 )   (1 )

Settlements

    (36 )            

Fair value of plan assets at end of year

    495     448          
                   

Funded status at end of year

  $ (169 ) $ (135 ) $ (21 ) $ (23 )
                   

Amounts recognized in the consolidated balance sheets consist of:

                         

Accounts payable and accrued liabilities

  $ (6 ) $ (6 ) $ (2 ) $ (2 )

Other liabilities and deferred credits

    (163 )   (129 )   (19 )   (21 )

Deferred tax assets

    115     94         1  

Accumulated other comprehensive loss

    184     149         2  

Amounts recognized in the accumulated other comprehensive loss consist of:

                         

Unamortized net amount resulting from changes in defined benefit plan experience and actuarial assumptions, net of taxes

    182     147         2  

Unamortized amount resulting from changes in defined benefit plan provisions, net of taxes

    2     2          
                   

Total

  $ 184   $ 149   $   $ 2  
                   

        We estimate that the following amounts will be amortized from "Accumulated other comprehensive loss" in the Consolidated Balance Sheets into net periodic benefit cost during the year ending December 31, 2013:

 
 
Pension
Benefits
 
 
  (Dollars in Millions)
 

Expense resulting from changes in plan experience and actuarial assumptions

  $ 27  

Expense resulting from changes in plan provisions

    1  

        The accumulated benefit obligation for all pension plans was $583 million at December 31, 2012 and $531 million as of December 31, 2011.

        Information for pension plans with an accumulated benefit obligation in excess of plan assets as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Accumulated benefit obligation

  $ 93   $ 531  

Fair value of plan assets

        448  

        Information for pension plans with a projected benefit obligation in excess of plan assets as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Projected benefit obligation

  $ 664   $ 583  

Fair value of plan assets

    495     448  

        Components of net periodic benefit cost for the years ended December 31:

 
 
Pension
Benefits
 
Other
Postretirement
Benefits
 
 
 
2012
 
2011
 
2010
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Components of net periodic benefit cost

                                     

Benefits earned during the year

  $ 32   $ 25   $ 19   $ 1   $ 1   $ 1  

Interest accrued on benefits earned in prior years

    30     29     28     1     1     1  

Expected return on plan assets

    (34 )   (34 )   (32 )            

Amortization components

                                     

Amount resulting from changes in plan provisions          

    1     1     1             (1 )

Net amount resulting from changes in plan experience and actuarial assumptions

    19     14     14              
                           

Net periodic benefit cost

  $ 48   $ 35   $ 30   $ 2   $ 2   $ 1  
                           

Assumptions

        Weighted-average assumptions used to determine benefit obligations at December 31:

 
 
Pension Benefits
 
Other Postretirement Benefits
 
 
 
2012
 
2011
 
2012
 
2011
 

Discount rate—Qualified Plans

    3.92 %   4.99 %   3.47 %   4.48 %

Discount rate—Non-Qualified Plans

    3.91 %   4.92 %        

Rate of compensation increase

    4.00 %   4.00 %   4.00 %   4.00 %

        Weighted-average assumptions used to determine net periodic benefit cost for the years ended December 31:

 
 
Pension
Benefits
 
Other
Postretirement
Benefits
 
 
 
2012
 
2011
 
2010
 
2012
 
2011
 
2010
 

Discount rate—Qualified Plan

    4.99 %   5.59 %   5.64 %   4.48 %   4.99 %   5.21 %

Discount rate—Non-Qualified Plans

    4.92 %   5.54 %   5.63 %            

Expected long-term return on plan assets

    7.75 %   8.00 %   8.25 %            

Rate of compensation increase

    4.00 %   4.00 %   4.00 %   4.00 %   4.00 %   4.00 %

        We base our expected long-term return on plan assets assumption on a periodic review and modeling of the plans' asset allocation and liability structure over a long-term horizon. Expectations of returns for each asset class are the most important of the assumptions used in the review and modeling and are based on the forward looking expectations for asset class returns, historical data and economic/financial market theory.

        The following table provides assumed health care costs trend rates:

 
 
2012
 
2011
 
2010
 

Health care cost trend rate

    8.00 %   8.00 %   8.00 %

Rate to which the cost trend rate is assumed to decline (ultimate trend rate)

    5.00 %   5.00 %   5.00 %

Year that trend rate reaches the ultimate trend rate

    2017     2017     2017  

Plan Assets

        Our investment policy includes various guidelines and procedures designed to ensure we invest assets in a manner necessary to meet expected future benefits earned by participants. The investment guidelines consider a broad range of economic conditions. Central to the policy are target allocation ranges by major asset categories. The policy range for plan assets are 20% to 60% equity securities, 30% to 50% debt securities, 0% to 40% alternatives and other types of investments.

        The objectives of the target allocations are to maintain investment portfolios that diversify risk through prudent asset allocation parameters, achieve asset returns that meet or exceed the plans' actuarial assumptions, and achieve asset returns that are competitive with like institutions employing similar investment strategies.

        The investment policy is periodically reviewed by us and a designated third-party fiduciary for investment matters. We establish and administer the policy in a manner so as to comply at all times with applicable government regulations.

        The fair value measurements of the plan assets as of December 31, 2012 were as follows:

 
 
Fair Value Measurements as of December 31, 2012
 
 
 
Total
 
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
 
Significant
Observable
Inputs
(Level 2)
 
Significant
Unobservable
Inputs
(Level 3)
 
Percentage of
Plan Assets
as of
December 31,
2012
 
 
  (Dollars in millions)
 

Asset Category

                               

Common collective trusts

                               

Cash and cash equivalents

  $ 4   $   $ 4   $     1 %

Equity securities:

                               

U.S. large-cap

    87         87         18 %

U.S. mid-cap growth

    19         19         4 %

International large-cap value

    94         94         19 %

Emerging markets growth

    6         6         1 %

Domestic real estate

    26         26         5 %

Fixed income

    182         182         37 %

Partnership and joint venture interests

    31             31     6 %

Insurance contracts at contract value

    2         2          

Hedge funds

    44             44     9 %
                       

Total

  $ 495   $   $ 420   $ 75     100 %
                       

        The fair value measurements of the plan assets as of December 31, 2011 were as follows:

 
 
Fair Value Measurements as of December 31, 2011
 
 
 
Total
 
Quoted Prices
in Active
Markets for
Identical
Assets
(Level 1)
 
Significant
Observable
Inputs
(Level 2)
 
Significant
Unobservable
Inputs
(Level 3)
 
Percentage of
Plan Assets
as of
December 31,
2011
 
 
  (Dollars in millions)
 

Asset Category

                               

Common collective trusts

                               

Cash and cash equivalents

  $ 3   $   $ 3   $     1 %

Equity securities:

                               

U.S. large-cap

    75         75         17 %

U.S. mid-cap growth

    17         17         3 %

International large-cap value

    92         92         21 %

Domestic real estate

    23         23         5 %

Fixed income

    165         165         37 %

Partnership and joint venture interests

    30             30     7 %

Insurance contracts at contract value

    2         2          

Hedge funds

    41             41     9 %
                       

Total

  $ 448   $   $ 377   $ 71     100 %
                       

        There were no shares of our common stock included in plan assets as of December 31, 2012 and 2011.

        The fair value measurement of plan assets using significant unobservable inputs (Level 3) changed during 2011 and 2012 due to the following:

 
 
Partnerships
and Joint
Venture
Interests
 
Hedge Funds
 
Total
 
 
  (Dollars in Millions)
 

Balance as of January 1, 2011

  $ 28   $   $ 28  

Realized losses

    (1 )       (1 )

Unrealized gains

    5     (3 )   2  

Purchases and sales

    (2 )   44     42  
               

Balance as of December 31, 2011

    30     41     71  

Unrealized gains

    1     3     4  
               

Balance as of December 31, 2012

  $ 31   $ 44   $ 75  
               

Cash Flows

  • Contributions

        We expect to contribute approximately $15 million to our qualified pension plans and make payments of $6 million to our nonqualified pension plan participants in 2013.

  • Estimated Future Benefit Payments

        We expect the following benefit payments, which reflect expected future service, as appropriate, to be paid by the plans during the years ending December 31:

 
 
Estimated Future Benefit
Payments
 
 
 
Pension
Benefits
 
Other
Postretirement
Benefits
 
 
  (Dollars in Millions)
 

2013

  $ 41   $ 2  

2014

    41     2  

2015

    42     2  

2016

    42     2  

2017

    41     2  

2018-2022

    218     10  

        We maintain 401(k) plans for qualified employees. We match a portion of our employee contributions and our match amounted to $30 million in 2012, $28 million in 2011 and $23 million in 2010.

        We have disclosed certain amounts associated with estimated future postretirement benefits other than pensions and characterized such amounts as "other postretirement benefit obligation." Notwithstanding the recording of such amounts and the use of these terms, we do not admit or otherwise acknowledge that such amounts or existing postretirement benefit plans of our company (other than pensions) represent legally enforceable liabilities of us.

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Debt
12 Months Ended
Dec. 31, 2012
Debt  
Debt

Note 10: Debt

        The following table sets forth our outstanding debt as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Long-term debt

             

Senior notes

  $ 17,170   $ 13,464  

Short-term borrowings

             

Commercial paper

    358      
           

Total debt

  $ 17,528   $ 13,464  
           

2012 Financing Transactions

        In the first quarter of 2012, DIRECTV U.S. borrowed and repaid $400 million under its $2 billion revolving credit facility, which was terminated on September 28, 2012, and replaced with a three and one-half year, $1 billion revolving credit facility and a five year, $1.5 billion revolving credit facility.

        On March 8, 2012, DIRECTV U.S. issued the following senior notes in private placement transactions:

 
 
Principal
 
Proceeds, net
of discount
 
 
  (Dollars in Millions)
 

2.400% senior notes due in 2017

  $ 1,250   $ 1,249  

3.800% senior notes due in 2022

    1,500     1,499  

5.150% senior notes due in 2042

    1,250     1,248  
           

 

  $ 4,000   $ 3,996  
           

        We incurred $25 million of debt issuance costs in connection with this transaction.

        On May 15, 2012, DIRECTV U.S. redeemed, pursuant to the terms of its indenture, all of its then outstanding $1,500 million of 7.625% senior notes due in 2016, at a price of 103.813%, plus accrued and unpaid interest, for a total of $1,614 million. We recorded a pre-tax charge of $64 million ($40 million after tax) during the second quarter of 2012, of which $57 million resulted from the premium paid for the redemption and $7 million resulted from the write-off of deferred debt issuance and other transaction costs. The charge was recorded in "Other, net" in our Consolidated Statements of Operations.

        On September 11, 2012, DIRECTV U.S. issued, pursuant to a registration statement, £750 million ($1,208 million) in aggregate principal of 4.375% senior notes due in 2029 resulting in proceeds, net of an original issue discount, of £742 million ($1,194 million). The U.S. dollar amounts reflect the conversion of the £750 million aggregate principal and the £742 million proceeds, net of discount, to U.S. dollars based on the exchange rate of £1.00/ $1.61 at September 11, 2012. In connection with the issuance of these senior notes, DIRECTV U.S. entered into cross-currency swaps to effectively convert its fixed-rate British pound sterling denominated debt, including annual interest payments and the payment of principal at maturity, to fixed-rate U.S. dollar denominated debt, as further discussed in Note 11. We incurred $9 million of debt issuance costs in connection with this transaction.

        On November 27, 2012, DIRECTV U.S. established a $2.5 billion commercial paper program backed by its revolving credit facilities, as discussed in further detail below. For the year ended December 31, 2012, borrowings under the commercial paper program, net of repayments, were $358 million.

2011 Financing Transactions

        On March 10, 2011, DIRECTV U.S. issued the following senior notes:

 
 
Principal
 
Proceeds, net
of discount
 
 
  (Dollars in Millions)
 

3.500% senior notes due in 2016

  $ 1,500   $ 1,497  

5.000% senior notes due in 2021

    1,500     1,493  

6.375% senior notes due in 2041

    1,000     1,000  
           

 

  $ 4,000   $ 3,990  
           

        We incurred $24 million of debt issuance costs in connection with this transaction.

        On March 17, 2011, DIRECTV U.S. purchased, pursuant to a tender offer, $341 million of its then outstanding $1,002 million of 6.375% senior notes due in 2015 at a price of 103.313%, plus accrued and unpaid interest, for a total of $358 million. On June 15, 2011, DIRECTV U.S. redeemed, pursuant to the terms of its indenture, the remaining $659 million of its outstanding 6.375% senior notes due 2015, at a price of 102.125%, plus accrued and unpaid interest, for a total of $694 million. The redemption of the 6.375% senior notes resulted in a 2011 pre-tax charge of $25 million, $16 million after tax, primarily for the premiums paid. The charge was recorded in "Other, net" in our Consolidated Statements of Operations.

2010 Financing Transactions

        On March 11, 2010, DIRECTV U.S. issued the following senior notes:

 
 
Principal
 
Proceeds, net
of discount
 
 
  (Dollars in Millions)
 

3.550% senior notes due in 2015

  $ 1,200   $ 1,199  

5.200% senior notes due in 2020

    1,300     1,298  

6.350% senior notes due in 2040

    500     499  
           

 

  $ 3,000   $ 2,996  
           

        We incurred $17 million of debt issuance costs in connection with these transactions.

        On March 16, 2010, DIRECTV U.S. repaid the $985 million of remaining principal on Term Loan C of its senior secured credit facility. The repayment of Term Loan C resulted in a 2010 pre-tax charge of $9 million ($6 million after tax), of which $6 million resulted from the write-off of unamortized discount and $3 million resulted from the write-off of deferred debt issuance and other transaction costs. The charge was recorded in "Other, net" in our Consolidated Statements of Operations.

        On August 17, 2010, pursuant to a registration statement, DIRECTV U.S. issued the following senior notes:

 
 
Principal
 
Proceeds, net
of discount
 
 
  (Dollars in Millions)
 

3.125% senior notes due in 2016

  $ 750   $ 750  

4.600% senior notes due in 2021

    1,000     999  

6.000% senior notes due in 2040

    1,250     1,233  
           

 

  $ 3,000   $ 2,982  
           

        We incurred $19 million of debt issuance costs in connection with these transactions.

        On August 20, 2010, DIRECTV U.S. repaid the $1,220 million of remaining principal on Term Loans A and B of its senior secured credit facility. The repayment of Term Loans A and B resulted in a 2010 pre-tax charge of $7 million ($4 million after tax) resulting from the write-off of deferred debt issuance and other transaction costs. The charge was recorded in "Other, net" in our Consolidated Statements of Operations.

Senior Notes

        The following table sets forth our outstanding senior notes balance as of December 31:

 
 
Principal amount
 
Carrying value, net of
unamortized original
issue discounts or
including premiums
 
 
 
2012
 
2012
 
2011
 
 
  (Dollars in Millions)
 

4.750% senior notes due in 2014

  $ 1,000   $ 999   $ 999  

3.550% senior notes due in 2015

    1,200     1,200     1,199  

3.125% senior notes due in 2016

    750     750     750  

3.500% senior notes due in 2016

    1,500     1,498     1,498  

7.625% senior notes due in 2016

            1,500  

2.400% senior notes due in 2017

    1,250     1,249      

5.875% senior notes due in 2019

    1,000     995     994  

5.200% senior notes due in 2020

    1,300     1,298     1,298  

4.600% senior notes due in 2021

    1,000     999     999  

5.000% senior notes due in 2021

    1,500     1,495     1,494  

3.800% senior notes due in 2022

    1,500     1,499      

4.375% senior notes due in 2029 (1)

    1,219     1,206      

6.350% senior notes due in 2040

    500     500     499  

6.000% senior notes due in 2040

    1,250     1,234     1,234  

6.375% senior notes due in 2041

    1,000     1,000     1,000  

5.150% senior notes due in 2042

    1,250     1,248      
               

Total senior notes

  $ 17,219   $ 17,170   $ 13,464  
               

(1)
The amounts for the 4.375% senior notes due in 2029 reflect the remeasurement of £750 million aggregate principal and £742 million carrying value to U.S. dollars based on the exchange rate of £1.00/$1.63 at December 31, 2012.

        The fair value of our senior notes was approximately $18,598 million at December 31, 2012 and $14,512 million at December 31, 2011. We calculated the fair values based on quoted market prices of our senior notes, which is a Level 1 input under the accounting guidance for fair value measurements of assets and liabilities.

        All of our senior notes were issued by DIRECTV Holdings LLC and DIRECTV Financing Co., Inc., or the Co-Issuers, and have been registered under the Securities Act of 1933, as amended.

        Our senior notes payable mature as follows: $1,000 million in 2014, $1,200 million in 2015, $2,250 million in 2016, $1,250 million in 2017 and $11,519 million thereafter. The amount of interest accrued related to our outstanding debt was $246 million at December 31, 2012 and $201 million at December 31, 2011.

Collar Loan

        On November 19, 2009, The DIRECTV Group, Inc., now a wholly owned subsidiary of DIRECTV, and Liberty Media Corporation completed a series of transactions, which we refer to collectively as the Liberty Transaction. As part of the Liberty Transaction, we assumed a credit facility and related equity collars, which we refer to as the Collar Loan. During the first quarter of 2010, we paid $1,537 million to repay the remaining principal balance and accrued interest on the credit facility, and to settle the equity collars. As a result, we recorded a gain of $67 million in "Liberty transaction and related gain" in the Consolidated Statements of Operations in the first quarter of 2010 related to the Collar Loan.

Commercial Paper

        On November 27, 2012, DIRECTV U.S. established a commercial paper program backed by its revolving credit facilities, which provides for the issuance of short-term commercial paper in the United States up to a maximum aggregate principal of $2.5 billion. As of December 31, 2012, we had $358 million of short-term commercial paper outstanding, with a weighted average maturity of 90 days, at a weighted average yield of 0.54%, which may be refinanced on a periodic basis as borrowings mature. Aggregate amounts outstanding under the revolving credit facilities and commercial paper program are limited to $2.5 billion.

Revolving Credit Facilities

        On September 28, 2012, DIRECTV U.S.' five year, $2.0 billion revolving credit facility dated February 7, 2011 was terminated and replaced with a three and one-half year, $1.0 billion revolving credit facility and a five year, $1.5 billion revolving credit facility. We pay a commitment fee of 0.15% per year for the unused commitment under the revolving credit facilities. Borrowings currently bear interest at a rate equal to the London Interbank Offer Rate (LIBOR) plus 1.25%. Both the commitment fee and the annual interest rate may increase or decrease under certain conditions due to changes in DIRECTV U.S.' long-term, unsecured debt ratings. Under certain conditions, DIRECTV U.S. may increase the borrowing capacity of the revolving credit facilities by an aggregate amount of up to $500 million. Aggregate amounts outstanding under the revolving credit facilities and the commercial paper program are limited to $2.5 billion. As of December 31, 2012, there were no borrowings under the new revolving credit facilities.

        Borrowings under the revolving credit facilities are unsecured senior obligations of DIRECTV U.S. and will rank equally in right of payment with all of DIRECTV U.S.' existing and future senior debt and will rank senior in right of payment to all of DIRECTV U.S.' future subordinated debt, if any.

Covenants and Restrictions

        The revolving credit facilities require DIRECTV U.S. to maintain at the end of each fiscal quarter a specified ratio of indebtedness to earnings before interest, taxes and depreciation and amortization. The revolving credit facilities also include covenants that restrict DIRECTV U.S.' ability to, among other things, (i) incur additional subsidiary indebtedness, (ii) incur liens, (iii) enter into certain transactions with affiliates, (iv) merge or consolidate with another entity, (v) sell, assign, lease or otherwise dispose of all or substantially all of its assets, and (vi) change its lines of business. Additionally, the senior notes contain restrictive covenants that are similar. Should DIRECTV U.S. fail to comply with these covenants, all or a portion of its borrowings under the senior notes could become immediately payable and its revolving credit facilities could be terminated. At December 31, 2012, management believes DIRECTV U.S. was in compliance with all such covenants. The senior notes and revolving credit facilities also provide that the borrowings may be required to be prepaid if certain change-in-control events, coupled with a ratings decline, occur.

        DIRECTV Guarantors.    On November 14, 2011, we entered into a series of Supplemental Indentures whereby DIRECTV agreed to fully guarantee all of the senior notes then outstanding, jointly and severally with substantially all of DIRECTV Holdings LLC's domestic subsidiaries. The Supplemental Indentures provide that DIRECTV unconditionally guarantees that the principal and interest on the respective senior notes will be paid in full when due and that the obligations of the Co-Issuers to the holders of the outstanding senior notes will be performed. All of the senior notes issued since November 14, 2011, the revolving credit facilities and the commercial paper program are also similarly fully guaranteed by DIRECTV.

        As a result of the guarantees, holders of the senior notes, the revolving credit debt and the commercial paper have the benefit of DIRECTV's interests in the assets and related earnings of our operations that are not held through DIRECTV Holdings LLC and its subsidiaries. Those operations are primarily our DTH digital television services throughout Latin America which are held by DIRECTV Latin America Holdings, Inc. and its subsidiaries, and our regional sports networks which are held by DIRECTV Sports Networks LLC and its subsidiaries. However, the subsidiaries that own and operate the DIRECTV Latin America business and the regional sports networks have not guaranteed the senior notes, the revolving credit facilities and the commercial paper.

        The guarantees are unsecured senior obligations of DIRECTV and rank equally in right of payment with all of DIRECTV's existing and future senior debt and rank senior in right of payment to all of DIRECTV's future subordinated debt, if any. The guarantees are effectively subordinated to all existing and future secured obligations, if any, of DIRECTV to the extent of the value of the assets securing the obligations. DIRECTV will not be subject to the covenants contained in each indenture of the senior notes and our guarantees will terminate and be released on the terms set forth in each of the indentures.

Restricted Cash

        Restricted cash of $6 million as of December 31, 2012 and $30 million as of December 31, 2011 was included as part of "Prepaid expenses and other" in our Consolidated Balance Sheets. These amounts secure our letter of credit obligations and restrictions on the cash will be removed as the letters of credit expire.

XML 89 R84.htm IDEA: XBRL DOCUMENT v2.4.0.6
Share-Based Compensation (Details) (USD $)
In Millions, except Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2012
Maximum
Dec. 31, 2012
Restricted Stock Units
Dec. 31, 2011
Restricted Stock Units
Dec. 31, 2010
Restricted Stock Units
Dec. 31, 2012
Restricted Stock Units
Maximum
Dec. 31, 2012
Unrecognized Expense Expected to be Recognized In 2013
Dec. 31, 2012
Unrecognized Expense Expected to be Recognized In 2014
Dec. 31, 2012
Unrecognized Expense Expected to be Recognized In 2015
Jun. 03, 2010
DIRECTV Plan
Share-Based Payment                        
Number of shares authorized under stock-based compensation plan                       20,000,000
Vesting period under stock plans         3 years              
Performance period       3 years       3 years        
Share-based compensation expense                        
Share-based compensation expense recognized $ 109 $ 103 $ 82                  
Tax benefits associated with share-based compensation expense 41 40 31                  
Actual tax benefits realized for the deduction of share-based compensation expense 60 54 60                  
Total unrecognized compensation expense related to unvested restricted stock units and stock options 107               66 37 4  
Changes in the status of outstanding restricted stock units                        
Nonvested at the beginning of the period (in shares)         7,595,892              
Granted (in shares)         2,847,076              
Vested and distributed (in shares)         (3,122,772)              
Forfeited (in shares)         (247,450)              
Nonvested at the end of the period (in shares)         7,072,746 7,595,892            
Vested and expected to vest at the end of year (in shares)         6,819,177              
Weighted-average grant date fair value                        
Nonvested units outstanding, at beginning of the period (in dollars per share)         $ 31.35              
Granted (in dollars per share)         $ 41.72 $ 41.14 $ 30.83          
Vested and Distributed (in dollars per share)         $ 21.78              
Forfeited (in dollars per share)         $ 40.38              
Non-vested at the end of the period (in dollars per share)         $ 39.50 $ 31.35            
Expected to vest weighted-average grant date fair value (in dollars per share)         $ 39.26              
Additional General Disclosures                        
Total fair value of awards vested and distributed         $ 139 $ 125 $ 81          
XML 90 R15.htm IDEA: XBRL DOCUMENT v2.4.0.6
Satellites, Net and Property and Equipment, Net
12 Months Ended
Dec. 31, 2012
Satellites, Net and Property and Equipment, Net  
Satellites, Net and Property and Equipment, Net

Note 6: Satellites, Net and Property and Equipment, Net

        The following table sets forth the amounts recorded for "Satellites, net" and "Property and equipment, net" in our Consolidated Balance Sheets as of December 31:

 
 
Estimated
Useful Lives
(years)
 
2012
 
2011
 
 
   
  (Dollars in Millions)
 

Satellites

    10-16   $ 3,188   $ 3,206  

Satellites under construction

        693     302  
                 

Total

          3,881     3,508  

Less: Accumulated depreciation

          (1,524 )   (1,293 )
                 

Satellites, net

        $ 2,357   $ 2,215  
                 

Land and improvements

    9-30   $ 44   $ 44  

Buildings and leasehold improvements

    2-40     441     406  

Machinery and equipment

    2-23     1,988     1,947  

Capitalized software

    3     2,392     2,198  

Subscriber leased set-top equipment

    3-7     9,053     8,105  

Construction in-progress

        750     418  
                 

Total

          14,668     13,118  

Less: Accumulated depreciation

          (8,630 )   (7,895 )
                 

Property and equipment, net

        $ 6,038   $ 5,223  
                 

        We capitalized interest costs of $24 million in 2012, $13 million in 2011 and $6 million in 2010 as part of the cost of our property and satellites under construction. Depreciation expense, including amortization of property and equipment and satellites held under capital leases, was $2,342 million in 2012, $2,213 million in 2011 and $2,292 million in 2010.

        The following table sets forth property and equipment leased to our subscribers as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Subscriber leased set-top equipment

  $ 9,053   $ 8,105  

Less: Accumulated depreciation of subscriber leased equipment

    (5,040 )   (4,618 )
           

Subscriber leased set-top equipment, net

  $ 4,013   $ 3,487  
           

        As discussed above in Note 3, effective July 1, 2011, we began depreciating capitalized HD set-top receivers at DIRECTV U.S. over a four-year estimated useful life. Previously, we depreciated HD set-top receivers at DIRECTV U.S. over a three-year estimated useful life. We continue to depreciate SD set-top receivers at DIRECTV U.S. over a three-year useful life. At DIRECTV Latin America, we depreciate capitalized subscriber leased equipment, which includes the cost of the set-top receiver, installation and the dish. HD set-top-receivers have a three-year estimated useful life and SD set-top receivers have a seven-year estimated useful life. The useful life used to depreciate capitalized set-top receivers is based on, among other things, management's judgment of the risk of technological obsolescence. Changes in the estimated useful lives of set-top receivers capitalized could result in significant changes to the amounts recorded as depreciation expense. We regularly evaluate the estimate useful life of our capitalized set-top receivers.

XML 91 R60.htm IDEA: XBRL DOCUMENT v2.4.0.6
Accounts Receivable, Net (Details) (USD $)
In Millions, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Accounts Receivable    
Accounts receivable, gross $ 2,777 $ 2,553
Less: Allowance for doubtful accounts (81) (79)
Accounts receivable, net 2,696 2,474
Subscriber
   
Accounts Receivable    
Accounts receivable, gross 1,804 1,639
Telco
   
Accounts Receivable    
Accounts receivable, gross 459 512
Trade and other
   
Accounts Receivable    
Accounts receivable, gross $ 514 $ 402
XML 92 R13.htm IDEA: XBRL DOCUMENT v2.4.0.6
Acquisition
12 Months Ended
Dec. 31, 2012
Acquisition  
Acquisition

Note 4: Acquisition

Globo Transaction

        In connection with our acquisition of Sky Brasil in 2006, our partner who holds the remaining 7% interest, Globo Comunicações e Participações S.A., or Globo, was granted the right, until January 2014, to require us to purchase all or a portion (but not less than half) of its 25.9% interest in Sky Brasil. Upon the exercise of this right in the fourth quarter of 2010, we paid $605 million in cash, which was the fair value of the approximate 19% interest purchased, and recorded a reduction to "Redeemable noncontrolling interest" in the Consolidated Balance Sheets. In addition, we recorded $79 million of net deferred tax assets related to the acquisition of this interest as an offset to "Common stock and additional paid-in capital" in the Consolidated Balance Sheets. We and our subsidiaries now own 93% of Sky Brasil and Globo owns the remaining 7%.

        In accordance with our agreement, Globo will have the right to exchange all (but not less than all) of its remaining equity interest in Sky Brasil until January 2014.

XML 93 R14.htm IDEA: XBRL DOCUMENT v2.4.0.6
Accounts Receivable, Net
12 Months Ended
Dec. 31, 2012
Accounts Receivable, Net  
Accounts Receivable, Net

Note 5: Accounts Receivable, Net

        The following table sets forth the amounts recorded for "Accounts receivable, net" in our Consolidated Balance Sheets as of December 31:

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Subscriber

  $ 1,804   $ 1,639  

Telco

    459     512  

Trade and other

    514     402  
           

Total

    2,777     2,553  

Less: Allowance for doubtful accounts

    (81 )   (79 )
           

Accounts receivable, net

  $ 2,696   $ 2,474  
           
XML 94 R16.htm IDEA: XBRL DOCUMENT v2.4.0.6
Goodwill and Intangible Assets, Net
12 Months Ended
Dec. 31, 2012
Goodwill and Intangible Assets, Net  
Goodwill and Intangible Assets, Net

Note 7: Goodwill and Intangible Assets, Net

        The following table sets forth the changes in the carrying amounts of "Goodwill" in the Consolidated Balance Sheets by segment for the years ended December 31, 2012 and 2011:

 
   
 
DIRECTV Latin America
 
Sports
Networks,
Eliminations
and Other
   
 
 
 
DIRECTV
U.S.
 
Sky Brasil
 
PanAmericana
 
Total
 
 
  (Dollars in Millions)
 

Balance as of January 1, 2011

  $ 3,176   $ 466   $ 211   $ 295   $ 4,148  

Foreign currency translation adjustment

        (52 )           (52 )

Acquisition accounting adjustments

    1                 1  
                       

Balance as of December 31, 2011

    3,177     414     211     295     4,097  

Foreign currency translation adjustment

        (34 )           (34 )
                       

Balance as of December 31, 2012

  $ 3,177   $ 380   $ 211   $ 295   $ 4,063  
                       

        The following table sets forth the components for "Intangible assets, net" in the Consolidated Balance Sheets as of:

 
   
 
December 31, 2012
 
December 31, 2011
 
 
 
Estimated
Useful
Lives
(years)
 
Gross
Amount
 
Accumulated
Amortization
 
Net
Amount
 
Gross
Amount
 
Accumulated
Amortization
 
Net
Amount
 
 
   
  (Dollars in Millions)
 

Orbital slots

    Indefinite   $ 432   $   $ 432   $ 432   $   $ 432  

Satellite rights

    15     101     19     82     110     12     98  

Subscriber related

    5-10     383     371     12     402     353     49  

Dealer network

    15     130     117     13     130     108     22  

Trade name and other

    5-20     174     46     128     159     37     122  

Distribution agreements

    6-20     208     43     165     208     22     186  
                                 

Total intangible assets

        $ 1,428   $ 596   $ 832   $ 1,441   $ 532   $ 909  
                                 

        Amortization expense of intangible assets was $95 million in 2012, $136 million in 2011 and $190 million in 2010.

        Estimated amortization expense for intangible assets in each of the next five years and thereafter is as follows: $58 million in 2013, $50 million in 2014, $45 million in 2015, $24 million in 2016, $24 million in 2017 and $199 million thereafter.

        We performed our annual impairment tests for goodwill and orbital slots in the fourth quarters of 2012, 2011 and 2010. The estimated fair values for each reporting unit and the orbital slots exceeded our carrying values, and accordingly, no impairment losses were recorded during 2012, 2011 or 2010. Additionally, there are no accumulated impairment losses as of December 31, 2012 and 2011.

Satellite Rights

        Sky Brasil has an agreement for the right to use a satellite should its existing leased satellite suffer a significant failure and replacement capacity is needed. During the first quarter of 2010, the satellite was launched and successfully placed into its assigned orbit, and we recorded the total obligation for the right to use the satellite of $116 million in "Intangible assets, net" in the Consolidated Balance Sheets. We made a $29 million payment during 2010 and we made the remaining $87 million payment during 2011. The intangible asset is being amortized on a straight line basis over the 15-year term of the agreement.

XML 95 R64.htm IDEA: XBRL DOCUMENT v2.4.0.6
Investments (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended 1 Months Ended 12 Months Ended 1 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2012
Sky Mexico
Dec. 31, 2011
Sky Mexico
Dec. 31, 2010
Sky Mexico
Dec. 31, 2012
GSN
item
Mar. 31, 2011
GSN
Dec. 31, 2012
GSN
item
Dec. 31, 2011
GSN
Dec. 31, 2010
GSN
Dec. 31, 2012
Other equity method investments
Dec. 31, 2011
Other equity method investments
Dec. 31, 2010
Other equity method investments
Apr. 30, 2011
Other equity method investment, sold in 2011
Equity Method Investments                              
Investments accounted for under the equity method of accounting $ 950 $ 1,041   $ 510 $ 490   $ 291   $ 291 $ 420   $ 149 $ 131    
Cash proceeds from sale of equity method investment               60             55
Gain on sale of equity method investment, before tax             111 25             37
Gain on sale of equity method investment, after tax             68 16             23
Equity in earnings from unconsolidated affiliates 131 109 90 62 52 33     42 29 33 27 28 24  
Amortization of definite lived intangibles in equity earnings       4 25 25     10 10 12        
Equity method investment, ownership percentage       41.00%     42.00% 60.00% 42.00%            
Sale of ownership interest in GSN (as a percent)             18.00% 5.00%              
Exercise price purchase of additional interest by parties             234                
Dividends received 79 104 78                        
Undistributed earnings from equity method investments 302 256                          
Number of equal installments             2   2            
Installment amount for payment of purchase price             $ 117   $ 117            
Interest payable (as a percent)             10.00%   10.00%            
XML 96 R85.htm IDEA: XBRL DOCUMENT v2.4.0.6
Share-Based Compensation (Details 2) (Stock Options, USD $)
In Millions, except Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Shares Under Option      
Outstanding at the beginning of the period (in shares) 3,364,510    
Granted (in shares) 995,964    
Exercised (in shares) (1,260,629)    
Forfeited or expired (in shares) (4,000)    
Outstanding at the end of the period (in shares) 3,095,845 3,364,510  
Vested and expected to vest at the end of the period (in shares) 3,095,845    
Exercisable at the end of the period (in shares) 2,196,293    
Weighted-average exercise price      
Outstanding at the beginning of the period (in dollars per share) $ 23.21    
Granted (in dollars per share) $ 48.18    
Exercised (in dollars per share) $ 30.62    
Forfeited or expired (in dollars per share) $ 16.23    
Outstanding at the end of the period (in dollars per share) $ 28.24 $ 23.21  
Vested and expected to vest at the end of the period (in dollars per share) $ 28.24    
Exercisable at the end of the period (in dollars per share) $ 19.93    
Weighted-Average Remaining Contractual Term      
Outstanding at the end of the period 4 years 7 months 6 days    
Vested and expected to vest, Weighted-Average Remaining Contractual Term 4 years 7 months 6 days    
Exercisable, Weighted-Average Remaining Contractual Term 2 years 6 months    
Aggregate Intrinsic Value      
Outstanding at the end of the period (in dollars) $ 68    
Vested and expected to vest at the end of the period (in dollars) 68    
Exercisable at the end of the period (in dollars) 66    
Total intrinsic value of options exercised in the period $ 26 $ 24 $ 221
Non Qualified
     
Share-Based Payment      
Expiration period under stock plans 10 years    
Non Qualified | Minimum
     
Share-Based Payment      
Vesting period under stock plans 1 year    
Non Qualified | Maximum
     
Share-Based Payment      
Vesting period under stock plans 3 years    
XML 97 R66.htm IDEA: XBRL DOCUMENT v2.4.0.6
Accounts Payable and Accrued Liabilities (Details) (USD $)
In Millions, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Accounts payable and accrued liabilities    
Programming costs $ 2,194 $ 2,006
Accounts payable 1,208 1,195
Payroll and employee benefits 347 307
Other 869 702
Total accounts payable and accrued liabilities 4,618 4,210
Accounts payable to vendors for property and equipment 104 68
Accounts payable to vendors for satellites $ 5 $ 3
XML 98 R63.htm IDEA: XBRL DOCUMENT v2.4.0.6
Goodwill and Intangible Assets, Net (Details 2) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Intangible assets      
Finite-lived intangible assets, accumulated amortization $ 596 $ 532  
Intangible assets, gross amount 1,428 1,441  
Intangible assets, net amount 832 909  
Amortization expense of intangible assets 95 136 190
Estimated amortization expense for intangible assets      
2013 58    
2014 50    
2015 45    
2016 24    
2017 24    
Thereafter 199    
Minimum
     
Intangible assets      
Estimated useful lives 5 years    
Maximum
     
Intangible assets      
Estimated useful lives 20 years    
Satellite rights
     
Intangible assets      
Estimated useful lives 15 years    
Finite-lived intangible assets, gross amount 101 110  
Finite-lived intangible assets, accumulated amortization 19 12  
Finite-lived intangible assets, net amount 82 98  
Subscriber related
     
Intangible assets      
Finite-lived intangible assets, gross amount 383 402  
Finite-lived intangible assets, accumulated amortization 371 353  
Finite-lived intangible assets, net amount 12 49  
Subscriber related | Minimum
     
Intangible assets      
Estimated useful lives 5 years    
Subscriber related | Maximum
     
Intangible assets      
Estimated useful lives 10 years    
Dealer network
     
Intangible assets      
Estimated useful lives 15 years    
Finite-lived intangible assets, gross amount 130 130  
Finite-lived intangible assets, accumulated amortization 117 108  
Finite-lived intangible assets, net amount 13 22  
Trade names and other
     
Intangible assets      
Finite-lived intangible assets, gross amount 174 159  
Finite-lived intangible assets, accumulated amortization 46 37  
Finite-lived intangible assets, net amount 128 122  
Trade names and other | Minimum
     
Intangible assets      
Estimated useful lives 5 years    
Trade names and other | Maximum
     
Intangible assets      
Estimated useful lives 20 years    
Distribution agreements
     
Intangible assets      
Finite-lived intangible assets, gross amount 208 208  
Finite-lived intangible assets, accumulated amortization 43 22  
Finite-lived intangible assets, net amount 165 186  
Distribution agreements | Minimum
     
Intangible assets      
Estimated useful lives 6 years    
Distribution agreements | Maximum
     
Intangible assets      
Estimated useful lives 20 years    
Orbital slots
     
Intangible assets      
Indefinite intangible assets $ 432 $ 432  
XML 99 R92.htm IDEA: XBRL DOCUMENT v2.4.0.6
Commitments and Contingencies (Details)
In Millions, unless otherwise specified
12 Months Ended 3 Months Ended 12 Months Ended 12 Months Ended
Dec. 31, 2012
USD ($)
Dec. 31, 2011
USD ($)
Dec. 31, 2010
USD ($)
Dec. 31, 2012
VEF
Mar. 31, 2013
Subsequent event
USD ($)
Feb. 28, 2013
Subsequent event
VEF
Dec. 31, 2012
DIRECTV U.S.
item
Dec. 31, 2012
DIRECTV Latin America
USD ($)
item
Dec. 31, 2011
DIRECTV Latin America
USD ($)
Dec. 31, 2012
Sky Brasil
USD ($)
Dec. 31, 2011
Sky Brasil
USD ($)
Oct. 31, 2011
Sky Brasil
USD ($)
Dec. 31, 2012
Pegasus Development Corporation and Personalized Media Communications L.L.C
item
Dec. 31, 2012
Standby letters of credit
USD ($)
Noncancelable operating leases                            
Minimum future commitments under noncancelable operating leases $ 978                          
2013 94                          
2014 88                          
2015 86                          
2016 88                          
2017 86                          
Thereafter 536                          
Rental expenses 118 99 78                      
Unrecorded purchase commitments                            
Minimum payments under agreements to purchase 7,079                          
2013 2,186                          
2014 1,947                          
2015 1,145                          
2016 433                          
2017 375                          
Thereafter 993                          
Satellite Commitments payments                            
Total cash payment under lease agreements 1,281                          
Cash payments under lease agreements payable in 2013 286                          
Cash payments under lease agreements payable in 2014 171                          
Cash payments under lease agreements payable in 2015 116                          
Cash payments under lease agreements payable in 2016 50                          
Cash payments under lease agreements payable in 2017 50                          
Cash payments under lease agreements payable thereafter 608                          
Commitments                            
Number of construction and launch satellites contracts             2 2            
Prepayments related to capital lease               128 104          
Noncontrolling interest, ownership percentage                   7.00% 7.00%      
Estimated fair value of Globo's interest in Sky Brasil 400 265               400 265      
Exchange rate set by the Venezuelan government (in bolivars fuerte per U.S. dollar)       4.3   6.3                
Pre-tax charge related to remeasurement of bolivar denominated net monetary assets due to devaluation         160                  
Venezuelan bolivars fuerte denominated cash 563                          
Venezuelan bolivar fuerte denominated assets in excess liabilities 466                          
Number of patents included in suit for claims                         4  
Number of patents alleged for Infringement                         7  
In-orbit satellites, net book value 1,664                          
Other                            
Contingent liability for standby letters of credit                       $ 103   $ 167
XML 100 R34.htm IDEA: XBRL DOCUMENT v2.4.0.6
SCHEDULE II-VALUATION AND QUALIFYING ACCOUNTS
12 Months Ended
Dec. 31, 2012
SCHEDULE II-VALUATION AND QUALIFYING ACCOUNTS  
SCHEDULE II-VALUATION AND QUALIFYING ACCOUNTS

SCHEDULE II—VALUATION AND QUALIFYING ACCOUNTS

Description  
Balance at
beginning of year
 
Additions charged
to costs and expenses
 
Additions charged
to other accounts (a)
 
Deductions (b)
 
Balance at
end of year
 
 
  (Dollars in Millions)
 

Year Ended December 31, 2012:

                               

Allowance for doubtful accounts deducted from accounts receivable

  $ (79 ) $ (332 ) $ (149 ) $ 479   $ (81 )

Year Ended December 31, 2011:

                               

Allowance for doubtful accounts deducted from accounts receivable

    (76 )   (309 )   (130 )   436     (79 )

Year Ended December 31, 2010:

                               

Allowance for doubtful accounts deducted from accounts receivable

    (56 )   (288 )   (255 )   523     (76 )

(a)
Primarily reflects the recovery of accounts previously written-off.

(b)
Primarily relates to accounts written-off.
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Segment Reporting (Tables)
12 Months Ended
Dec. 31, 2012
Segment Reporting  
Selected information for operating segments
 
 
External
Revenues
 
Intersegment
Revenues
 
Total
Revenues
 
Operating
Profit (Loss)
 
Depreciation
and
Amortization
Expense
 
Operating Profit
(Loss) Before
Depreciation and
Amortization (1)
 
 
  (Dollars in Millions)
 

Year Ended December 31, 2012:

                                     

DIRECTV U.S. 

  $ 23,227   $ 8   $ 23,235   $ 4,153   $ 1,501   $ 5,654  

Sky Brasil

   
3,501
   
   
3,501
   
555
   
533
   
1,088
 

PanAmericana

    2,743         2,743     400     374     774  
                           

DIRECTV Latin America

    6,244         6,244     955     907     1,862  

Sports Networks, Eliminations and Other

   
269
   
(8

)
 
261
   
(23

)
 
29
   
6
 
                           

Total

  $ 29,740   $   $ 29,740   $ 5,085   $ 2,437   $ 7,522  
                           

Year Ended December 31, 2011:

                                     

DIRECTV U.S. 

  $ 21,864   $ 8   $ 21,872   $ 3,702   $ 1,587   $ 5,289  

Sky Brasil

   
3,020
   
   
3,020
   
542
   
449
   
991
 

PanAmericana

    2,076         2,076     374     298     672  
                           

DIRECTV Latin America

    5,096         5,096     916     747     1,663  

Sports Networks, Eliminations and Other

   
266
   
(8

)
 
258
   
11
   
15
   
26
 
                           

Total

  $ 27,226   $   $ 27,226   $ 4,629   $ 2,349   $ 6,978  
                           

Year Ended December 31, 2010:

                                     

DIRECTV U.S. 

  $ 20,261   $ 7   $ 20,268   $ 3,290   $ 1,926   $ 5,216  

Sky Brasil

   
2,013
   
   
2,013
   
383
   
298
   
681
 

PanAmericana

    1,584         1,584     240     243     483  
                           

DIRECTV Latin America

    3,597         3,597     623     541     1,164  

Sports Networks, Eliminations and Other

   
244
   
(7

)
 
237
   
(17

)
 
15
   
(2

)
                           

Total

  $ 24,102   $   $ 24,102   $ 3,896   $ 2,482   $ 6,378  
                           

(1)
Operating profit (loss) before depreciation and amortization, which is a financial measure that is not determined in accordance with GAAP can be calculated by adding amounts under the caption "Depreciation and amortization expense" to "Operating profit (loss)." This measure should be used in conjunction with GAAP financial measures and is not presented as an alternative measure of operating results, as determined in accordance with GAAP. Our management and Board of Directors use operating profit (loss) before depreciation and amortization to evaluate the operating performance of our company and our business segments and to allocate resources and capital to business segments. This metric is also used as a measure of performance for incentive compensation purposes and to measure income generated from operations that could be used to fund capital expenditures, service debt or pay taxes. Depreciation and amortization expense primarily represents an allocation to current expense of the cost of historical capital expenditures and for intangible assets resulting from prior business acquisitions. To compensate for the exclusion of depreciation and amortization expense from operating profit, our management and our Board of Directors separately measure and budget for capital expenditures and business acquisitions. We believe this measure is useful to investors, along with GAAP measures (such as revenues, operating profit and net income), to compare our operating performance to other communications, entertainment and media service providers. We believe that investors use current and projected operating profit (loss) before depreciation and amortization and similar measures to estimate our current or prospective enterprise value and make investment decisions. This metric provides investors with a means to compare operating results exclusive of depreciation and amortization. Our management believes this is useful given the significant variation in depreciation and amortization expense that can result from the timing of capital expenditures, the capitalization of intangible assets, potential variations in expected useful lives when compared to other companies and periodic changes to estimated useful lives.

 

Reconciliation of operating profit before depreciation and amortization to reported net income

 

 

 
 
Years Ended December 31,
 
 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Operating profit before depreciation and amortization

  $ 7,522   $ 6,978   $ 6,378  

Depreciation and amortization expense

    (2,437 )   (2,349 )   (2,482 )
               

Operating profit

    5,085     4,629     3,896  

Interest income

    59     34     39  

Interest expense

    (842 )   (763 )   (557 )

Liberty transaction and related gain

            67  

Other, net

    140     84     69  
               

Income before income taxes

    4,442     3,984     3,514  

Income tax expense

    (1,465 )   (1,348 )   (1,202 )
               

Net income

    2,977     2,636     2,312  
               

Less: Net income attributable to noncontrolling interest

    (28 )   (27 )   (114 )
               

Net income attributable to DIRECTV

  $ 2,949   $ 2,609   $ 2,198  
               

   

Schedule of capital expenditures and segment assets

 

 

 
 
Years Ended and As of December 31,
 
 
 
2012
 
2011
 
2010
 
 
 
Capital
Expenditures
 
Segment
Assets
 
Capital
Expenditures
 
Segment
Assets
 
Capital
Expenditures
 
Segment
Assets
 
 
  (Dollars in Millions)
 

DIRECTV U.S. 

  $ 1,741   $ 12,490   $ 1,736   $ 11,796   $ 1,557   $ 11,400  

Sky Brasil

   
812
   
2,951
   
902
   
2,663
   
468
   
2,566
 

PanAmericana

    786     3,335     526     2,601     389     2,130  
                           

DIRECTV Latin America

    1,598     6,286     1,428     5,264     857     4,696  

Sports Networks, Eliminations and Other

   
10
   
1,779
   
6
   
1,363
   
2
   
1,813
 
                           

Total

  $ 3,349   $ 20,555   $ 3,170   $ 18,423   $ 2,416   $ 17,909  
                           

 

Schedule of revenue and property, by geographical areas

 

 

 
 
Years Ended and As of December 31,
 
 
 
2012
 
2011
 
2010
 
 
 
Revenues
 
Net Property
& Satellites
 
Revenues
 
Net Property
& Satellites
 
Revenues
 
Net Property
& Satellites
 
 
  (Dollars in Millions)
 

United States

  $ 23,678   $ 5,694   $ 22,310   $ 5,267   $ 20,684   $ 4,987  

Latin America and the Caribbean

                                     

Brazil

    3,501     1,626     3,020     1,423     2,013     1,060  

Other

    2,561     1,075     1,896     748     1,405     632  
                           

Total Latin America and the Caribbean

    6,062     2,701     4,916     2,171     3,418     1,692  
                           

Total

  $ 29,740   $ 8,395   $ 27,226   $ 7,438   $ 24,102   $ 6,679  
                           
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Income Taxes
12 Months Ended
Dec. 31, 2012
Income Taxes  
Income Taxes

Note 12: Income Taxes

        We base our income tax expense or benefit on reported "Income before income taxes." Deferred income tax assets and liabilities reflect the impact of temporary differences between the amounts of assets and liabilities recognized for financial reporting purposes and such amounts recognized for tax purposes, as measured by applying currently enacted tax laws.

        "Income tax expense" in the Consolidated Statements of Operations consisted of the following for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Current tax expense:

                   

U.S. federal

  $ 980   $ 631   $ 391  

Foreign

    309     253     227  

State and local

    113     107     20  
               

Total

    1,402     991     638  
               

Deferred tax expense (benefit):

                   

U.S. federal

    (25 )   284     596  

Foreign

    63     59     (118 )

State and local

    25     14     86  
               

Total

    63     357     564  
               

Total income tax expense

  $ 1,465   $ 1,348   $ 1,202  
               

        "Income before income taxes" in the Consolidated Statements of Operations included the following components for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

U.S. income

  $ 3,442   $ 3,044   $ 2,809  

Foreign income

    1,000     940     705  
               

Total

  $ 4,442   $ 3,984   $ 3,514  
               

        Our income tax expense was different than the amount computed using the U.S. federal statutory income tax rate for the reasons set forth in the following table for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Expected expense at U.S. federal statutory income tax rate

  $ 1,555   $ 1,394   $ 1,230  

U.S. state and local income tax expense, net of federal benefit

    87     75     106  

Liberty Transaction charges not recoverable

    1     1     4  

Change in unrecognized tax benefits

    (154 )   40     (40 )

Noncontrolling interests in partnership earnings and taxes

        2     (44 )

Foreign taxes, net of federal tax benefits

    (3 )   (82 )   9  

Change in valuation allowance

    3     (40 )   (32 )

Multistate tax planning

            (20 )

Tax credits

    (30 )   (47 )   (7 )

Other

    6     5     (4 )
               

Total income tax expense

  $ 1,465   $ 1,348   $ 1,202  
               

        Temporary differences and carryforwards that gave rise to deferred tax assets and liabilities at December 31 were as follows:

 
 
2012
 
2011
 
 
 
Deferred
Tax
Assets
 
Deferred
Tax
Liabilities
 
Deferred
Tax
Assets
 
Deferred
Tax
Liabilities
 
 
  (Dollars in Millions)
 

Accruals and advances

  $ 466   $ 273   $ 418   $ 268  

Prepaid expenses

        32         34  

State taxes

    74         73      

Depreciation, amortization and asset impairment charges

        1,406         1,155  

Net operating loss and tax credit carryforwards

    626         610      

Programming contract liabilities

    46         48      

Unrealized foreign exchange gains or losses

        79         105  

Tax basis differences in investments and affiliates

    261     824     91     804  

Other

            6     5  
                   

Subtotal

    1,473     2,614     1,246     2,371  

Valuation allowance

    (432 )       (466 )    
                   

Total deferred taxes

  $ 1,041   $ 2,614   $ 780   $ 2,371  
                   

        Included in "Investments and other assets" in the Consolidated Balance Sheets are $116 million at December 31, 2012 and $210 million at December 31, 2011 of noncurrent deferred tax assets. Also included in "Accounts payable and accrued liabilities" in the Consolidated Balance Sheets are $90 million at December 31, 2012 and $92 million at December 31, 2011 of current deferred tax liabilities.

        We assessed the deferred tax assets for the respective periods for recoverability and, where applicable, we recorded a valuation allowance to reduce the total deferred tax assets to an amount that will, more likely than not, be realized in the future.

        The valuation allowance balances of $432 million at December 31, 2012 and $466 million at December 31, 2011, are primarily attributable to unused foreign operating losses and unused capital losses, both of which are available for carry forward. For the year ended December 31, 2012, the decrease in the valuation allowance was primarily attributable to a reduction in the deferred tax asset on capital loss carryforwards.

        Although realization is not assured, we have concluded that it is more likely than not that our unreserved deferred tax assets will be realized in the ordinary course of operations based on available positive and negative evidence, including scheduling of deferred tax liabilities and projected income from operating activities. The underlying assumptions we use in forecasting future taxable income require significant judgment and take into account our recent performance.

        As of December 31, 2012, we have $17 million of federal net operating loss carryforward which expires between 2027 and 2028. The utilization of the federal net operating loss carryforward is subject to an annual limitation under Section 382 of the Internal Revenue Code, however we believe that we will have sufficient taxable income during the limitation period to utilize all of the carryforward. We also have foreign tax credit carryovers of $133 million which expire between 2020 and 2022, state net operating loss carryforwards of $30 million which expire between 2029 and 2030, and approximately $2 billion of foreign net operating losses that are primarily attributable to operations in Brazil with varying expiration dates.

        As a result of the currency exchange process in Venezuela since 2010, exclusive of the payment of some intercompany obligations, we have been unable to repatriate excess cash balances. As of December 31, 2012, the cumulative amount of earnings upon which U.S. income taxes have not been provided is approximately $536 million. Should these earnings be distributed in the form of dividends, the distributions would be subject to U.S. federal income tax at the statutory rate of 35 percent, less foreign tax credits available to offset such distributions. Because the time or manner of repatriation is uncertain, we cannot determine the impact of local taxes, withholding taxes and foreign tax credits associated with the future repatriation of such earnings and therefore cannot quantify the potential tax liability.

        No income tax provision has been made for the portion of undistributed earnings of foreign subsidiaries, excluding Venezuela, deemed permanently reinvested that amounted to approximately $11 million in 2012. It is not practicable to determine the amount of the unrecognized deferred tax liability related to the investments in these foreign subsidiaries.

        A reconciliation of the beginning and ending balances of the total amounts of gross unrecognized tax benefits is as follows:

 
 
Gross Unrecognized
Tax Benefits
 
 
  (Dollars in Millions)
 

Balance as of January 1, 2010

  $ 527  

Increases in tax positions for prior years

    7  

Decreases in tax positions for prior years

    (207 )

Increases in tax positions for the current year

    35  
       

Balance as of December 31, 2010

    362  

Increases in tax positions for prior years

    17  

Decreases in tax positions for prior years

    (4 )

Increases in tax positions for the current year

    15  
       

Balance as of December 31, 2011

    390  

Decreases in tax positions for prior years

    (6 )

Increases in tax positions for the current year

    35  

Expiration of the statute of limitations

    (141 )
       

Balance as of December 31, 2012

  $ 278  
       

        As of December 31, 2012, our unrecognized tax benefits totaled $278 million, including $227 million of tax positions the recognition of which would affect the annual effective income tax rate. The decrease in the unrecognized tax benefits is primarily attributable to the expiration of the statute of limitations in federal and foreign tax jurisdictions.

        We recorded interest and penalties accrued related to unrecognized tax benefits of $12 million in 2012, $16 million in 2011 and $21 million in 2010 in "Income tax expense" in the Consolidated Statements of Operations. We have accrued, as part of our liability for unrecognized tax benefits, interest and penalties of $32 million as of December 31, 2012, and $67 million as of December 31, 2011.

        We file numerous consolidated and separate income tax returns in the U.S. federal jurisdiction and in many state and foreign jurisdictions. For U.S. federal tax purposes, the tax years 2010 and 2011 remain open for examination. The California tax years 2001 through 2011 remain open to examination and the income tax returns in the other state and foreign tax jurisdictions in which we have operations are generally subject to examination for a period of three to five years after filing of the respective return.

        We engage in continuous discussions and negotiations with federal, state, and foreign taxing authorities and reevaluate our uncertain tax positions, and, while it is often difficult to predict the final outcome or the timing of resolution of any particular tax matter or tax position, we believe that it is reasonably possible that our unrecognized tax benefits could decrease by up to approximately $40 million during the next twelve months.

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Share-Based Compensation
12 Months Ended
Dec. 31, 2012
Share-Based Compensation  
Share-Based Compensation

Note 17: Share-Based Compensation

        Under the DIRECTV 2010 Stock Plan, or the DIRECTV Plan, as approved by DIRECTV stockholders on June 3, 2010, shares, rights or options to acquire up to 20 million shares of common stock plus the number of shares that were authorized but not granted under former plans and shares granted under those plans which, after June 3, 2010, are forfeited, expire or are canceled without the delivery of shares of common stock or otherwise result in the return of such shares to us, were authorized for grant through June 2, 2020, subject to the approval of the Compensation Committee of our Board of Directors. Under the DIRECTV Plan, we issue new shares of our common stock when restricted stock units are distributed and when stock options are exercised.

        The following table presents amounts recorded related to share-based compensation:

 
 
For the Years Ended
December 31,
 
 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Share-based compensation expense recognized

  $ 109   $ 103   $ 82  

Tax benefits associated with share-based compensation expense

    41     40     31  

Actual tax benefits realized for the deduction of share-based compensation expense

    60     54     60  

        As of December 31, 2012, there was $107 million of total unrecognized compensation expense related to unvested restricted stock units and stock options that we expect to recognize as follows: $66 million in 2013, $37 million in 2014 and $4 million in 2015.

Restricted Stock Units

        The Compensation Committee has granted restricted stock units under our stock plan to certain of our employees and executives. Annual awards are mostly performance based, generally vest over three years and provide for final payments in shares of our common stock. Final payment can be increased or decreased from the target award amounts based on our performance over a three-year performance period in comparison with pre-established targets. We determine the fair value of restricted stock units based on the closing stock price of our common shares on the date of grant.

        Changes in the status of outstanding restricted stock units were as follows:

 
 
Stock Units
 
Weighted-Average
Grant-Date
Fair Value
 

Nonvested at January 1, 2012

    7,595,892   $ 31.35  

Granted

    2,847,076     41.72  

Vested and distributed

    (3,122,772 )   21.78  

Forfeited

    (247,450 )   40.38  
             

Nonvested at December 31, 2012

    7,072,746   $ 39.50  
             

Vested and expected to vest at December 31, 2012

    6,819,177   $ 39.26  
             

        The weighted-average grant-date fair value of restricted stock units granted during the year ended December 31, 2011 was $41.14. The weighted-average grant-date fair value of restricted stock units granted during the year ended December 31, 2010 was $30.83.

        The total fair value of restricted stock units vested and distributed was $139 million during the year ended December 31, 2012, $125 million during the year ended December 31, 2011 and $81 million during the year ended December 31, 2010.

Stock Options

        The Compensation Committee has also granted stock options to acquire our common stock under our stock plan to certain of our executives. The exercise price of options granted is equal to the per share closing price of the common stock on the date the options were granted. These nonqualified options generally vest over one to three years, expire ten years from date of grant and are subject to earlier termination under certain conditions.

        Changes in the status of outstanding options were as follows:

 
 
Shares
Under
Option
 
Weighted-
Average
Exercise
Price
 
Weighted-
Average
Remaining
Contractual
Term
 
Aggregate
Intrinsic
Value
 
 
   
   
  (in years)
  (in millions)
 

Outstanding at January 1, 2012

    3,364,510   $ 23.21              

Granted

    995,964     48.18              

Exercised

    (1,260,629 )   30.62              

Forfeited or expired

    (4,000 )   16.23              
                         

Outstanding at December 31, 2012

    3,095,845   $ 28.24     4.6   $ 68  
                         

Vested and expected to vest at December 31, 2012

    3,095,845   $ 28.24     4.6   $ 68  
                         

Exercisable at December 31, 2012

    2,196,293   $ 19.93     2.5   $ 66  
                         

        The total intrinsic value of options exercised was $26 million during the year ended December 31, 2012, $24 million during the year ended December 31, 2011 and $221 million during the year ended December 31, 2010, based on the intrinsic value of individual awards on the date of exercise.

        The following table presents the estimated weighted-average grant-date fair value for the stock options granted during the years ended December 31, 2012 and December 31, 2010 under the DIRECTV Plan using the Black-Scholes valuation model along with the weighted-average assumptions used in the fair value calculations. Expected stock volatility is based primarily on the historical volatility of our common stock. The risk-free rate for periods within the contractual life of the option is based on the U.S. Treasury yield curve in effect at the time of grant. The expected option life is based on historical exercise behavior and other factors.

 
 
2012
 
2010
 

Estimated grant-date fair value

  $15.83   $ 12.36  

Expected stock volatility

  29.0 %   26.9 %

Risk-free interest rate

  1.08% - 1.41 %   3.35 %

Expected option life (in years)

  7.0     7.0  

        There were no stock options granted under the DIRECTV Plan during the year ended December 31, 2011.

        As part of the Liberty Transaction on November 19, 2009, we assumed 16.7 million stock options and stock appreciation rights, and issued 1.1 million shares of common stock to holders of restricted stock units. The holders of the majority of the equity instruments assumed as a result of the Liberty Transaction did not become DIRECTV employees or directors. Accordingly, we recognize those equity instruments as a liability that is subject to fair value measurement at each reporting date pursuant to accounting rules for non-employee awards. We include that liability within "Other liabilities and deferred credits" in our Consolidated Balance Sheets. Of the 16.7 million equity instruments assumed, 8.8 million were held by persons other than employees or directors. As of December 31, 2012, 0.4 million non-employee awards remained outstanding with a fair value of approximately $12 million. As of December 31, 2011, there were 0.6 million non-employee awards outstanding with a fair value of approximately $15 million. We recorded net losses of $4 million during the year ended December 31, 2012, $4 million during the year ended December 31, 2011 and $11 million during the year ended December 31, 2010 to "Other, net" in the Consolidated Statements of Operations for gains and losses recognized for exercised options and the adjustment of the liability to fair value.

        The following table presents the estimated weighted-average fair value as of December 31, 2012, 2011 and 2010 for the equity instruments issued to persons other than employees and directors carried as a liability using the Black-Scholes valuation model along with the weighted-average assumptions used in the fair value calculations. Expected stock volatility is based primarily on the historical volatility of our common stock. The risk-free rates for periods within the contractual lives of the options are based on the U.S. Treasury yield curve in effect at the measurement date. The expected option life is based on the contractual life of the awards.

 
 
December 31,
2012
 
December 31,
2011
 
December 31,
2010
 

Estimated fair value

  $34.59   $26.63   $22.52  

Expected stock volatility

  22.8 % 27.5 % 26.5 %

Range of risk-free interest rates

  0.02 - 0.36 % 0.06 - 0.83 % 0.07 - 2.01 %

Range of expected option lives (in years)

  0.2 - 4.4   0.5 - 5.4   0.1 - 6.4  

        The intrinsic value of awards assumed as part of the Liberty Transaction carried as a liability that were exercised was $3 million during the year ended December 31, 2012, $8 million during the year ended December 31, 2011 and $145 million during the year ended December 31, 2010, based on the intrinsic value of individual awards on the date of exercise.

        Beginning in 2009, we implemented a net exercise plan pursuant to which we only issue new shares in connection with employee option exercises equal to the intrinsic value of the exercised award on the exercise date reduced by the sum of (i) the amount of statutory employee withholding taxes and (ii) the option exercise price, divided by the current market price of the our common stock. As a result, we no longer receive cash in connection with the exercise of most stock options, but rather issue significantly fewer shares. We do receive cash for the exercise of certain non-employee stock options. We received cash for the settlement of stock options of $3 million during the year ended December 31, 2012 and $38 million during the year ended December 31, 2010, and did not receive any cash for the settlement of stock options during the year ended December 31, 2011. In addition, the company is required to pay the employee withholding taxes to taxing authorities, the cash payments for which are reported in "Taxes paid in lieu of shares issued for share-based compensation" in the Consolidated Statements of Cash Flows.

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Condensed Consolidating Financial Statements (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Condensed Consolidating Financial Statements                      
Revenues $ 8,054 $ 7,416 $ 7,224 $ 7,046 $ 7,463 $ 6,844 $ 6,600 $ 6,319 $ 29,740 $ 27,226 $ 24,102
Costs of revenues, exclusive of depreciation and amortization expense                      
Broadcast programming and other                 13,028 11,655 10,074
Subscriber service expenses                 2,137 1,911 1,681
Broadcast operations expenses                 414 389 350
Selling, general and administrative expenses, exclusive of depreciation and amortization expense                      
Subscriber acquisition costs                 3,397 3,390 3,005
Upgrade and retention costs                 1,427 1,327 1,169
General and administrative expenses                 1,815 1,576 1,445
Depreciation and amortization expense                 2,437 2,349 2,482
Total operating costs and expenses                 24,655 22,597 20,206
Operating profit 1,298 1,068 1,411 1,308 1,214 1,030 1,230 1,155 5,085 4,629 3,896
Interest income                 59 34 39
Interest expense                 (842) (763) (557)
Liberty transaction and related gains (charges)                     67
Other, net                 140 84 69
Income before income taxes                 4,442 3,984 3,514
Income tax benefit (expense)                 (1,465) (1,348) (1,202)
Net income                 2,977 2,636 2,312
Less: Net income attributable to noncontrolling interest                 (28) (27) (114)
Net income attributable to DIRECTV 942 565 711 731 718 516 701 674 2,949 2,609 2,198
Parent Guarantor
                     
Selling, general and administrative expenses, exclusive of depreciation and amortization expense                      
General and administrative expenses                 42 11 24
Total operating costs and expenses                 42 11 24
Operating profit                 (42) (11) (24)
Equity in income of consolidated subsidiaries                 2,980 2,622 2,219
Interest income                 2   1
Interest expense                 (2)    
Other, net                 (4) (4) (10)
Income before income taxes                 2,934 2,607 2,186
Income tax benefit (expense)                 15 2 12
Net income                 2,949 2,609 2,198
Net income attributable to DIRECTV                 2,949 2,609 2,198
Co-Issuers
                     
Condensed Consolidating Financial Statements                      
Revenues                 59 682 463
Selling, general and administrative expenses, exclusive of depreciation and amortization expense                      
General and administrative expenses                 1    
Total operating costs and expenses                 1    
Operating profit                 58 682 463
Equity in income of consolidated subsidiaries                 2,819 1,947 1,835
Interest income                 1   1
Interest expense                 (773) (692) (480)
Other, net                 (65) (25) (25)
Income before income taxes                 2,040 1,912 1,794
Income tax benefit (expense)                 246 13 14
Net income                 2,286 1,925 1,808
Net income attributable to DIRECTV                 2,286 1,925 1,808
Guarantor Subsidiaries
                     
Condensed Consolidating Financial Statements                      
Revenues                 23,235 21,872 20,268
Costs of revenues, exclusive of depreciation and amortization expense                      
Broadcast programming and other                 10,743 9,799 8,699
Subscriber service expenses                 1,464 1,435 1,340
Broadcast operations expenses                 306 300 273
Selling, general and administrative expenses, exclusive of depreciation and amortization expense                      
Subscriber acquisition costs                 2,673 2,794 2,631
Upgrade and retention costs                 1,253 1,209 1,106
General and administrative expenses                 1,201 1,729 1,466
Depreciation and amortization expense                 1,501 1,587 1,926
Total operating costs and expenses                 19,141 18,853 17,441
Operating profit                 4,094 3,019 2,827
Interest income                   1 4
Interest expense                 (3) (4) (8)
Other, net                 33 60 20
Income before income taxes                 4,124 3,076 2,843
Income tax benefit (expense)                 (1,305) (1,129) (1,008)
Net income                 2,819 1,947 1,835
Net income attributable to DIRECTV                 2,819 1,947 1,835
Non-guarantor Subsidiaries
                     
Condensed Consolidating Financial Statements                      
Revenues                 6,583 5,422 3,895
Costs of revenues, exclusive of depreciation and amortization expense                      
Broadcast programming and other                 2,355 1,916 1,428
Subscriber service expenses                 673 476 341
Broadcast operations expenses                 116 96 84
Selling, general and administrative expenses, exclusive of depreciation and amortization expense                      
Subscriber acquisition costs                 724 596 374
Upgrade and retention costs                 174 118 63
General and administrative expenses                 630 519 419
Depreciation and amortization expense                 936 762 556
Total operating costs and expenses                 5,608 4,483 3,265
Operating profit                 975 939 630
Interest income                 68 44 44
Interest expense                 (76) (78) (80)
Liberty transaction and related gains (charges)                     67
Other, net                 176 53 84
Income before income taxes                 1,143 958 745
Income tax benefit (expense)                 (421) (234) (220)
Net income                 722 724 525
Less: Net income attributable to noncontrolling interest                 (28) (27) (114)
Net income attributable to DIRECTV                 694 697 411
Eliminations
                     
Condensed Consolidating Financial Statements                      
Revenues                 (137) (750) (524)
Costs of revenues, exclusive of depreciation and amortization expense                      
Broadcast programming and other                 (70) (60) (53)
Broadcast operations expenses                 (8) (7) (7)
Selling, general and administrative expenses, exclusive of depreciation and amortization expense                      
General and administrative expenses                 (59) (683) (464)
Total operating costs and expenses                 (137) (750) (524)
Equity in income of consolidated subsidiaries                 (5,799) (4,569) (4,054)
Interest income                 (12) (11) (11)
Interest expense                 12 11 11
Income before income taxes                 (5,799) (4,569) (4,054)
Net income                 (5,799) (4,569) (4,054)
Net income attributable to DIRECTV                 $ (5,799) $ (4,569) $ (4,054)

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Other Income and Expenses (Tables)
12 Months Ended
Dec. 31, 2012
Other Income and Expenses  
Schedule of other income and expenses

 

 

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Equity in earnings from unconsolidated affiliates

  $ 131   $ 109   $ 90  

Net foreign currency transaction gain (loss)

    (34 )   (50 )   11  

Fair value adjustment loss on non-employee stock awards

    (4 )   (4 )   (11 )

Loss on early extinguishment of debt

    (64 )   (25 )   (16 )

Gain on sale of investments

    122     63     6  

Other

    (11 )   (9 )   (11 )
               

Total other, net

  $ 140   $ 84   $ 69  
               

 

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Accounts Payable and Accrued Liabilities (Tables)
12 Months Ended
Dec. 31, 2012
Accounts Payable and Accrued Liabilities  
Significant components of Accounts payable and accrued liabilities

 

 

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Programming costs

  $ 2,194   $ 2,006  

Accounts payable

    1,208     1,195  

Payroll and employee benefits

    347     307  

Other

    869     702  
           

Total accounts payable and accrued liabilities

  $ 4,618   $ 4,210  
           

   

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CONSOLIDATED BALANCE SHEETS (USD $)
In Millions, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Current assets    
Cash and cash equivalents $ 1,902 $ 873
Accounts receivable, net 2,696 2,474
Inventories 412 280
Deferred income taxes 73 62
Prepaid expenses and other 471 552
Total current assets 5,554 4,241
Satellites, net 2,357 2,215
Property and equipment, net 6,038 5,223
Goodwill 4,063 4,097
Intangible assets, net 832 909
Investments and other assets 1,711 1,738
Total assets 20,555 18,423
Current liabilities    
Accounts payable and accrued liabilities 4,618 4,210
Unearned subscriber revenues and deferred credits 565 533
Short-term borrowings 358  
Total current liabilities 5,541 4,743
Long-term debt 17,170 13,464
Deferred income taxes 1,672 1,771
Other liabilities and deferred credits 1,203 1,287
Commitments and contingencies      
Redeemable noncontrolling interest 400 265
Stockholders' deficit    
Common stock and additional paid-in capital-$0.01 par value, 3,950,000,000 and 3,947,000,000 shares authorized, 586,839,817 and 691,306,695 shares issued and outstanding of DIRECTV common stock at December 31, 2012 and December 31, 2011, respectively 4,021 4,799
Accumulated deficit (9,210) (7,750)
Accumulated other comprehensive loss (242) (156)
Total stockholders' deficit (5,431) (3,107)
Total liabilities and stockholders' deficit $ 20,555 $ 18,423
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Related-Party Transactions (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended 1 Months Ended 12 Months Ended 1 Months Ended 12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Jun. 30, 2010
Liberty Media and affiliates
Dec. 31, 2010
Liberty Media and affiliates
Dec. 31, 2010
Discovery Communications, Liberty Global and affiliates
Jun. 30, 2010
Discovery Communications
Jun. 30, 2010
Liberty Global
Dec. 31, 2012
Globo and other
Dec. 31, 2011
Globo and other
Dec. 31, 2010
Globo and other
Jun. 16, 2010
Malone Transaction
Apr. 30, 2010
Malone Transaction
Related party transactions                          
Voting interest held by shareholder, prior to conversion (as a percent)                       24.00% 24.00%
Voting interest held by shareholder, after conversion (as a percent)                       3.00% 3.00%
Voting interest held by Chairman prior to completion of transaction (as a percent)       35.00%     31.00% 40.00%          
Sales $ 5 $ 6 $ 44   $ 26 $ 5     $ 5 $ 6 $ 13    
Purchases 874 854 893   143 128     874 854 622    
Accounts receivable 26 1                      
Accounts payable $ 90 $ 96                      
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Description of Business
12 Months Ended
Dec. 31, 2012
Description of Business  
Description of Business

Note 1: Description of Business

        DIRECTV, which we sometimes refer to as the company, we, or us, is a leading provider of digital television entertainment in the United States and Latin America. We operate two direct-to-home, or DTH, business units: DIRECTV U.S. and DIRECTV Latin America, which are differentiated by their geographic locations and are engaged in acquiring, promoting, selling and distributing digital entertainment programming primarily via satellite to residential and commercial subscribers. In addition, we own and operate three regional sports networks and own a 42% interest in Game Show Network LLC, or GSN, a television network dedicated to game-related programming and Internet interactive game playing. We account for our investment in GSN using the equity method of accounting.

  • DIRECTV U.S.   DIRECTV Holdings LLC and its subsidiaries, which we refer to as DIRECTV U.S., is the largest provider of DTH digital television services and the second largest provider in the multi-channel video programming distribution industry in the United States.

    DIRECTV Latin America.  DIRECTV Latin America Holdings Inc. and its subsidiaries, or DIRECTV Latin America, is a leading provider of DTH digital television services throughout Latin America. DIRECTV Latin America is comprised of: PanAmericana, which provides services in Argentina, Chile, Colombia, Ecuador, Puerto Rico, Venezuela and certain other countries in the region, and Sky Brasil Servicos Ltda., which we refer to as Sky Brasil, which is a 93% owned subsidiary. DIRECTV Latin America also includes our 41% equity method investment in Innova, S. de R.L. de C.V., or Sky Mexico, which we include in the PanAmericana segment.

    DIRECTV Sports Networks.  DIRECTV Sports Networks LLC and its subsidiaries, or DSN, is comprised primarily of three regional sports networks based in Seattle, Washington, Denver, Colorado and Pittsburgh, Pennsylvania, each of which operates under the brand name ROOT SPORTS®. The operating results of DSN are reported as part of the "Sports Networks, Eliminations and Other" reporting segment.

        During the first quarter of 2012, we revised our reportable segments. As further discussed in Note 20, our DIRECTV Latin America business unit, which was previously reported as a single segment, is now being reported as two segments, Sky Brasil and PanAmericana. We have restated certain prior period amounts to conform to the current year presentation of reporting segments.

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Change in Accounting Estimate (Details) (USD $)
In Millions, except Per Share data, unless otherwise specified
3 Months Ended 12 Months Ended 6 Months Ended 12 Months Ended
Dec. 31, 2012
Sep. 30, 2012
Jun. 30, 2012
Mar. 31, 2012
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2012
Change in Accounting Estimate, Increase in Depreciable Lives
Dec. 31, 2011
Change in Accounting Estimate, Increase in Depreciable Lives
Dec. 31, 2012
DIRECTV U.S.
Dec. 31, 2011
DIRECTV U.S.
Dec. 31, 2010
DIRECTV U.S.
Jun. 30, 2011
Subscriber leased equipment - set-top receivers
High definition
DIRECTV U.S.
Before change in estimate
Change in Accounting Estimate, Increase in Depreciable Lives
Dec. 31, 2011
Subscriber leased equipment - set-top receivers
High definition
DIRECTV U.S.
After change in estimate
Change in Accounting Estimate, Increase in Depreciable Lives
Dec. 31, 2012
Subscriber leased equipment - set-top receivers
High definition
DIRECTV U.S.
After change in estimate
Change in Accounting Estimate, Increase in Depreciable Lives
Dec. 31, 2012
Subscriber leased equipment - set-top receivers
Standard definition
DIRECTV U.S.
Dec. 31, 2011
Subscriber leased equipment - set-top receivers
Standard definition
DIRECTV U.S.
Dec. 31, 2010
Subscriber leased equipment - set-top receivers
Standard definition
DIRECTV U.S.
Change in Accounting Estimate                                            
Estimated useful lives                 3 years               3 years 4 years 4 years 3 years 3 years 3 years
Depreciation and amortization expense                 $ 2,437 $ 2,349 $ 2,482 $ (176) $ (141) $ 1,501 $ 1,587 $ 1,926            
Net income attributable to DIRECTV $ 942 $ 565 $ 711 $ 731 $ 718 $ 516 $ 701 $ 674 $ 2,949 $ 2,609 $ 2,198 $ 109 $ 86                  
Basic earnings attributable to DIRECTV common stockholders (in dollars per share) $ 1.57 $ 0.91 $ 1.09 $ 1.08 $ 1.02 $ 0.70 $ 0.92 $ 0.85 $ 4.62 $ 3.49   $ 0.17 $ 0.12                  
Diluted earnings attributable to DIRECTV common stockholders (in dollars per share) $ 1.55 $ 0.90 $ 1.09 $ 1.07 $ 1.02 $ 0.70 $ 0.91 $ 0.85 $ 4.58 $ 3.47   $ 0.17 $ 0.11                  
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Earnings Per Common Share (Details) (USD $)
In Millions, except Share data, unless otherwise specified
12 Months Ended 1 Months Ended 12 Months Ended 1 Months Ended 12 Months Ended 1 Months Ended
Dec. 31, 2012
Apr. 30, 2010
Class B common stock
Dec. 31, 2010
Class B common stock
Jun. 30, 2010
Malone Transaction
Class A common stock
Apr. 30, 2010
Malone Transaction
Class A common stock
Dec. 31, 2010
Malone Transaction
Class A common stock
Jun. 30, 2010
Malone Transaction
Class B common stock
Apr. 30, 2010
Malone Transaction
Class B common stock
Earnings Per Common Share                
Common stock options excluded (in shares) 1,000,000              
Related party transactions                
Exchange of Class B common shares for Class A common shares   21,809,863         21,809,863 21,809,863
Malone Transaction, issued (in shares)       26,547,624 26,547,624      
Exchange inducement value, Malone Transaction     $ 160 $ 160     $ 160  
Reduction in diluted earnings per Class A share as a result of conversion inducement (in dollars per share)           $ 0.18    
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Debt (Details 3) (USD $)
12 Months Ended 1 Months Ended 3 Months Ended 12 Months Ended 1 Months Ended 1 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2012
Commercial Paper
Nov. 27, 2012
Commercial Paper
Sep. 30, 2012
Previous Revolving Credit Facility
Mar. 31, 2012
Previous Revolving Credit Facility
Sep. 28, 2012
Previous Revolving Credit Facility
Dec. 31, 2012
Revolving Credit Facility
Sep. 28, 2012
Revolving Credit Facility
Sep. 30, 2012
Revolving Credit Facility, Series One
Dec. 31, 2012
Revolving Credit Facility, Series One
Sep. 28, 2012
Revolving Credit Facility, Series One
Sep. 30, 2012
Revolving Credit Facility, Series Two
Dec. 31, 2012
Revolving Credit Facility, Series Two
Sep. 28, 2012
Revolving Credit Facility, Series Two
Dec. 31, 2012
Revolving credit facilities and commercial paper program
Debt instrument                                
Senior notes, fair value $ 18,598,000,000 $ 14,512,000,000                            
2014 1,000,000,000                              
2015 1,200,000,000                              
2016 2,250,000,000                              
2017 1,250,000,000                              
Thereafter 11,519,000,000                              
Interest accrued on outstanding debt 246,000,000 201,000,000                            
Amount borrowed           400,000,000                    
Repayment of long-term debt           400,000,000                    
Borrowing capacity under credit facility       2,500,000,000     2,000,000,000       1,000,000,000 1,000,000,000   1,500,000,000 1,500,000,000  
Borrowing capacity under credit facility                               2,500,000,000
Term of line of credit facility         5 years         3 years 6 months     5 years      
Commitment fee for unused commitment for revolving credit facility (as a percent)               0.15%                
Senior secured credit facility, basis for variable interest rate               London interbank offer rate (LIBOR)                
Senior secured credit facility, interest rate added to variable base rate (as a percent)               1.25%                
Outstanding borrowing     358,000,000                          
Weighted average maturity period     90 days                          
Weighted average yield (as a percent)     0.54%                          
Additional borrowing capacity                 500,000,000              
Restricted cash $ 6,000,000 $ 30,000,000                            
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Other Income and Expenses
12 Months Ended
Dec. 31, 2012
Other Income and Expenses  
Other Income and Expenses

Note 18: Other Income and Expenses

        The following table sets forth the components of "Other, net" in our Consolidated Statements of Operations for the years ended December 31:

 
 
2012
 
2011
 
2010
 
 
  (Dollars in Millions)
 

Equity in earnings from unconsolidated affiliates

  $ 131   $ 109   $ 90  

Net foreign currency transaction gain (loss)

    (34 )   (50 )   11  

Fair value adjustment loss on non-employee stock awards

    (4 )   (4 )   (11 )

Loss on early extinguishment of debt

    (64 )   (25 )   (16 )

Gain on sale of investments

    122     63     6  

Other

    (11 )   (9 )   (11 )
               

Total other, net

  $ 140   $ 84   $ 69  
               

        See Note 8 regarding equity method investments and net gains and losses recorded on the sale of investments.

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Income Taxes (Details 4) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Reconciliation of unrecognized tax benefits      
Balance at the beginning of the period $ 390 $ 362 $ 527
Increase in tax positions for prior years   17 7
Decreases in tax positions for prior years (6) (4) (207)
Increases in tax positions for the current year 35 15 35
Expiration of the statute of limitations (141)    
Balance at the end of the period 278 390 362
Portion of Unrecognized tax benefits which would affect the annual effective income tax rate 227    
Interest and penalties related to unrecognized tax benefits in income tax expense 12 16 21
Accrued interest and penalties for unrecognized tax benefits 32 67  
Income tax examination      
Unrecognized tax benefits $ 40    
Minimum
     
Income tax examination      
Period for which income tax returns are subject to examination in other state and foreign tax jurisdictions 3 years    
Maximum
     
Income tax examination      
Period for which income tax returns are subject to examination in other state and foreign tax jurisdictions 5 years    
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Satellites, Net and Property and Equipment, Net (Tables)
12 Months Ended
Dec. 31, 2012
Satellites, Net and Property and Equipment, Net  
Schedule of Satellites, net and Property and Equipment, net
 
 
Estimated
Useful Lives
(years)
 
2012
 
2011
 
 
   
  (Dollars in Millions)
 

Satellites

    10-16   $ 3,188   $ 3,206  

Satellites under construction

        693     302  
                 

Total

          3,881     3,508  

Less: Accumulated depreciation

          (1,524 )   (1,293 )
                 

Satellites, net

        $ 2,357   $ 2,215  
                 

Land and improvements

    9-30   $ 44   $ 44  

Buildings and leasehold improvements

    2-40     441     406  

Machinery and equipment

    2-23     1,988     1,947  

Capitalized software

    3     2,392     2,198  

Subscriber leased set-top equipment

    3-7     9,053     8,105  

Construction in-progress

        750     418  
                 

Total

          14,668     13,118  

Less: Accumulated depreciation

          (8,630 )   (7,895 )
                 

Property and equipment, net

        $ 6,038   $ 5,223  
                 
Schedule of capitalized subscriber leased equipment

 

 

 
 
2012
 
2011
 
 
  (Dollars in Millions)
 

Subscriber leased set-top equipment

  $ 9,053   $ 8,105  

Less: Accumulated depreciation of subscriber leased equipment

    (5,040 )   (4,618 )
           

Subscriber leased set-top equipment, net

  $ 4,013   $ 3,487  
           

 

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Derivative Financial Instruments
12 Months Ended
Dec. 31, 2012
Derivative Financial Instruments  
Derivative Financial Instruments

Note 11: Derivative Financial Instruments

Cross-Currency Swaps

        In connection with the issuance of the £750 million of 4.375% senior notes due in 2029 discussed in Note 10, DIRECTV U.S. entered into cross-currency swap agreements to manage the related foreign exchange risk by effectively converting all of the fixed-rate British pound sterling denominated debt, including annual interest payments and the payment of principal at maturity, to fixed-rate U.S. dollar denominated debt. These cross-currency swaps are designated and qualify as cash flow hedges. The terms of the cross-currency swap agreements correspond to the related hedged senior notes and the cross-currency swaps have maturities extending through September 2029.

        We record unrealized gains on cross-currency swaps at fair value as assets and unrealized losses on cross-currency swaps at fair value as liabilities. As of December 31, 2012, we recorded the fair value of unrealized losses on cross-currency swaps in the amount of $17 million in "Other liabilities and deferred credits" in the Consolidated Balance Sheets. We calculated the fair value of the cross-currency swap contracts using an income-approach model (discounted cash flow analysis), the use of which is considered a Level 2 valuation technique, using observable inputs, such as foreign currency exchange rates, swap rates, cross-currency basis swap spreads and incorporating counterparty credit risk. These cross-currency swaps have been designated as cash flow hedges, and accordingly, the effective portion of the unrealized gains and losses on the cross-currency swaps is reported in "Accumulated other comprehensive loss" in the Consolidated Balance Sheets and reclassified to earnings in the same periods during which the hedged debt affects earnings. The ineffective portion of the unrealized gains and losses on these cross-currency swaps, if any, is recorded immediately in earnings. During the year ended December 31, 2012, DIRECTV U.S. reclassified $11 million ($7 million after tax) from "Accumulated other comprehensive loss" in the Consolidated Balance Sheets, into "Other, net" in the Consolidated Statements of Operations, to offset $11 million of remeasurement loss on the British pound sterling denominated debt. We evaluate the effectiveness of our cross-currency swaps on a quarterly basis. We measured no ineffectiveness for the year ended December 31, 2012.

        Collateral Arrangements.    We have agreements with our cross-currency swap counterparties that include collateral provisions which require a party with an unrealized loss position in excess of certain thresholds to post cash collateral for the amount in excess of the threshold. The threshold levels in our collateral agreements are based on each party's credit ratings. As of December 31, 2012, neither we nor any of our counterparties were required to post collateral under the terms of the cross-currency swap agreements. We do not offset the fair value of collateral, whether the right to reclaim cash collateral (a receivable) or the obligation to return cash collateral (a payable), against the fair value of the derivative instruments.