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Borrowings - Schedule of Borrowings (Details)
$ in Millions, $ in Millions
Mar. 31, 2022
USD ($)
Mar. 31, 2022
AUD ($)
Feb. 28, 2022
Jun. 30, 2021
USD ($)
Debt and Financial Instruments [Line Items]        
Total borrowings $ 2,802     $ 2,313
Finance lease and other liabilities 78     100
Less: current portion (306)     (28)
Long-term borrowings 2,496     2,285
Finance lease liabilities, current 27     28
Credit facility 2019 | Foxtel        
Debt and Financial Instruments [Line Items]        
Total borrowings $ 225     232
Interest rate 2.76% 2.76%    
Term loan facility 2019 | Foxtel        
Debt and Financial Instruments [Line Items]        
Total borrowings $ 188     190
Interest rate 6.25% 6.25%    
Working Capital Facility 2017 | Foxtel        
Debt and Financial Instruments [Line Items]        
Debt instrument unused borrowing capacity   $ 339    
Working Capital Facility 2017 | New Foxtel        
Debt and Financial Instruments [Line Items]        
Total borrowings $ 0     0
Interest rate 2.76% 2.76%    
Telstra Facility | Foxtel        
Debt and Financial Instruments [Line Items]        
Total borrowings $ 91     60
Interest rate 7.87% 7.87%    
US Private Placement 2012 - USD Portion -Tranche 2 | New Foxtel        
Debt and Financial Instruments [Line Items]        
Total borrowings $ 203     202
Interest rate 4.27% 4.27%    
US Private Placement 2012 - USD Portion -Tranche 3 | New Foxtel        
Debt and Financial Instruments [Line Items]        
Total borrowings $ 152     152
Interest rate 4.42% 4.42%    
US Private Placement 2012 - AUD Portion | New Foxtel        
Debt and Financial Instruments [Line Items]        
Total borrowings $ 76     78
Interest rate 7.04% 7.04%    
Bridge Facility 2021 | REA Group        
Debt and Financial Instruments [Line Items]        
Total borrowings $ 0     314
Interest rate 0.00% 0.00%    
2022 Credit Facility | REA Group        
Debt and Financial Instruments [Line Items]        
Debt instrument unused borrowing capacity   $ 187    
2022 Credit facility — tranche 1 | REA Group        
Debt and Financial Instruments [Line Items]        
Total borrowings $ 301     0
Interest rate 1.20% 1.20%    
2022 Credit facility — tranche 2 | REA Group        
Debt and Financial Instruments [Line Items]        
Total borrowings $ 9     0
Interest rate 1.35% 1.35%    
2021 Senior notes | 2022 Senior notes        
Debt and Financial Instruments [Line Items]        
Total borrowings $ 492     0
Interest rate 5.125% 5.125% 5.125%  
2021 Senior notes | 2021 Senior notes        
Debt and Financial Instruments [Line Items]        
Total borrowings $ 987     $ 985
Interest rate 3.875% 3.875%