XML 46 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
Debt (Tables)
3 Months Ended
Mar. 31, 2014
Debt Instrument [Line Items]  
Components Of Long-Term Debt
Long-term debt and capital lease obligations included in the condensed consolidated balance sheets consisted of (in millions):
 
March 31,
2014
 
December 31, 2013
Secured
 
 
 
American
 
 
 
Secured indebtedness, fixed and variable interest rates ranging from 1.43% to 8.10%, maturing from 2014 to 2023
$
1,966

 
$
2,140

Aircraft enhanced equipment trust certificates (EETCs), fixed interest rates ranging from 4.00% to 7.00%, maturing from 2017 to 2025
3,415

 
3,516

Special facility revenue bonds, fixed interest rates ranging from 7.125% to 8.50%, maturing from 2016 to 2031
1,313

 
1,313

7.50% senior secured notes, interest only payments until due in 2016
900

 
1,000

Senior secured credit facility, variable interest rate of 3.75%, installments through 2019
1,886

 
1,891

AAdvantage Miles advance purchase, effective rate of 8.30%, installments through 2017
568

 
611

Other secured obligations, fixed interest rates ranging from 5.20% to 12.20%, maturing from 2014 to 2035
532

 
380

Total American secured debt
10,580

 
10,851

US Airways Group
 
 
 
2013 Citicorp Credit Facility tranche B-1, variable interest rate of 3.50%, installments through 2019
1,000

 
1,000

2013 Citicorp Credit Facility tranche B-2, variable interest rate of 3.00%, installments through 2016
600

 
600

Aircraft enhanced equipment trust certificates (EETCs), fixed interest rates ranging from 3.95% to 11.00%, maturing from 2014 to 2025
2,703

 
2,515

Equipment loans and other notes payable, fixed and variable interest rates ranging from 1.55% to 8.48%, maturing from 2015 to 2029
1,297

 
1,330

Other secured obligations, fixed interest rates ranging from 5.20% to 8.00%, maturing from 2015 to 2028
46

 
47

Total US Airways Group secured debt
5,646

 
5,492

Total AAG secured debt
16,226

 
16,343

Unsecured
 
 
 
US Airways Group
 
 
 
6.125% senior notes, interest only payments until due in 2018
500

 
500

7.25% convertible senior notes, interest only payments until due in 2014
22

 
22

Industrial development bonds, fixed interest rate of 6.30%, interest only payments until due in 2023
29

 
29

Total US Airways Group unsecured debt
551

 
551

Total AAG unsecured debt
551

 
551

Total long-term debt and capital lease obligations
16,777

 
16,894

Less: total unamortized debt discount
92

 
95

Less: current maturities
1,441

 
1,446

Long-term debt and capital lease obligations, net of current maturities
$
15,244

 
$
15,353

AA [Member]
 
Debt Instrument [Line Items]  
Components Of Long-Term Debt
Long-term debt and capital lease obligations included in the condensed consolidated balance sheets consisted of (in millions):
 
March 31,
2014
 
December 31, 2013
Secured
 
 
 
Secured indebtedness, fixed and variable interest rates ranging from 1.43% to 8.10%, maturing from 2014 to 2023
$
1,966

 
$
2,140

Aircraft enhanced equipment trust certificates (EETCs), fixed interest rates ranging from 4.00% to 7.00%, maturing from 2017 to 2025
3,415

 
3,516

Special facility revenue bonds, fixed interest rates ranging from 7.125% to 8.50%, maturing from 2016 to 2031
1,313

 
1,313

7.50% senior secured notes, interest only payments until due in 2016
900

 
1,000

Senior secured credit facility, variable interest rate of 3.75%, installments through 2019
1,886

 
1,891

AAdvantage Miles advance purchase, effective rate of 8.30%, installments through 2017
568

 
611

Other secured obligations, fixed interest rates ranging from 5.20% to 12.20%, maturing from 2014 to 2035
532

 
380

 
10,580

 
10,851

Unsecured
 
 
 
Affiliate unsecured obligations
27

 
27

 
27

 
27

Total long-term debt and capital lease obligations
10,607

 
10,878

Less: total unamortized debt discount
66

 
69

Less: current maturities
951

 
957

Long-term debt and capital lease obligations, net of current maturities
$
9,590

 
$
9,852