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Borrowings - Schedule of Borrowings (Detail) - USD ($)
$ in Millions
Jun. 30, 2022
Feb. 28, 2022
Jun. 30, 2021
Debt and Financial Instruments [Line Items]      
Finance lease liability $ 67   $ 100
Total borrowings 3,069   2,313
Less: current portion (293)   (28)
Long-term borrowings $ 2,776   $ 2,285
Finance Lease, Liability, Noncurrent, Statement of Financial Position [Extensible Enumeration] Long-term borrowings   Long-term borrowings
2019 Credit facility | Foxtel      
Debt and Financial Instruments [Line Items]      
Total borrowings $ 68   $ 232
Interest rate 4.11%    
2019 Term loan facility | Foxtel      
Debt and Financial Instruments [Line Items]      
Total borrowings $ 171   190
Interest rate 6.25%    
2017 Working capital facility | New Foxtel      
Debt and Financial Instruments [Line Items]      
Total borrowings $ 0   0
Interest rate 4.11%    
Telstra facility | Foxtel      
Debt and Financial Instruments [Line Items]      
Total borrowings $ 90   60
Interest rate 8.16%    
2012 US private placement - USD portion - tranche 2 | New Foxtel      
Debt and Financial Instruments [Line Items]      
Total borrowings $ 198   202
Interest rate 4.27%    
2012 US private placement - USD portion - tranche 3 | New Foxtel      
Debt and Financial Instruments [Line Items]      
Total borrowings $ 147   152
Interest rate 4.42%    
2012 US private placement - AUD portion | New Foxtel      
Debt and Financial Instruments [Line Items]      
Total borrowings $ 68   78
Interest rate 7.04%    
Credit Facility 2022 Tranche 1 | REA Group      
Debt and Financial Instruments [Line Items]      
Total borrowings $ 273   0
Interest rate 2.79%    
Credit Facility 2022 Tranche 2 | REA Group      
Debt and Financial Instruments [Line Items]      
Total borrowings $ 8   0
Interest rate 2.94%    
2021 Bridge Facility | REA Group      
Debt and Financial Instruments [Line Items]      
Total borrowings $ 0   314
Interest rate 0.00%    
Unsecured Debt | 2022 Term loan A      
Debt and Financial Instruments [Line Items]      
Total borrowings $ 500   0
Interest rate 3.529%    
Senior Notes | 2022 Senior notes      
Debt and Financial Instruments [Line Items]      
Total borrowings $ 492   0
Interest rate 5.125% 5.125%  
Senior Notes | 2021 Senior notes      
Debt and Financial Instruments [Line Items]      
Total borrowings $ 987   $ 985
Interest rate 3.875%