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Fair Value of Financial Instruments (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2013
Jun. 30, 2013
Dec. 31, 2012
Assets      
Fair value of investments and fixed income securities $ 277 $ 277 $ 398
Investment maturity range (current)   1 year  
Available-for-sale Securities, Debt Maturities, Date Jun. 17, 2016    
Other Current Assets
     
Assets      
Available-for-sale Securities, Current 146 146 120
Other Assets
     
Assets      
Available-for-sale Securities, Noncurrent 131 131 128
Long-term debt
     
Liabilities      
Long-term debt, carrying value 5,957 5,957 6,384
Carrying value
     
Liabilities      
Long-term debt, carrying value 4,820 4,820 4,820
Level 1 | Long-term debt
     
Liabilities      
Long-term debt, carrying value 1,665 1,665 1,112
Level 2 | Long-term debt
     
Liabilities      
Long-term debt, carrying value 4,292 4,292 5,272
Level 3
     
Assets      
Fair value of investments and fixed income securities 0 0 0
Liabilities      
Long-term debt, carrying value 0 0 0
US treasuries
     
Assets      
Fair value of investments and fixed income securities 0 0 150
US treasuries | Level 1
     
Assets      
Fair value of investments and fixed income securities 0 0 150
US treasuries | Level 2
     
Assets      
Fair value of investments and fixed income securities 0 0 0
Other
     
Assets      
Fair value of investments and fixed income securities 277 277 248
Other | Level 1
     
Assets      
Fair value of investments and fixed income securities 0 0 0
Other | Level 2
     
Assets      
Fair value of investments and fixed income securities 277 277 248
Total
     
Assets      
Fair value of investments and fixed income securities 277 277 398
Total | Level 1
     
Assets      
Fair value of investments and fixed income securities 0 0 150
Total | Level 2
     
Assets      
Fair value of investments and fixed income securities $ 277 $ 277 $ 248