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FAIR VALUE MEASUREMENTS (Tables)
12 Months Ended
Dec. 31, 2023
Fair Value Disclosures [Abstract]  
Schedule of Carrying and Estimated Fair Value Amounts
The carrying amounts and estimated fair values of our financial assets and liabilities, which are required for disclosure, were as follows:
December 31, 2023
Fair Value
($ in millions)
Carrying
Amount
Level 1Level 3
Assets:
Timeshare financing receivables, net(1)
$2,113 $— $2,289 
Liabilities:   
Debt, net(2)
3,049 2,496 483 
Non-recourse debt, net(2)
1,466 867 592 
December 31, 2022
Fair Value
($ in millions)
Carrying
Amount
Level 1Level 3
Assets:
Timeshare financing receivables, net(1)
$1,767 $— $1,910 
Liabilities:
Debt, net(2)
2,651 2,413 76 
Non-recourse debt, net(2)
1,102 957 97 
(1)Carrying amount net of allowance for financing receivables losses.
(2)Carrying amount net of unamortized deferred financing costs and discounts