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Debt (Tables)
6 Months Ended
Jun. 30, 2011
Debt
                 
    June 30,     December 31,  
    2011     2010  
Secured
               
Citicorp North America loan, variable interest rate of 2.69%, installments due through 2014
  $ 1,136     $ 1,152  
Equipment loans and other notes payable, fixed and variable interest rates ranging from 1.59% to 10.26%, maturing from 2011 to 2029
    1,643       1,920  
Aircraft enhanced equipment trust certificates (“EETCs”), fixed interest rates ranging from 6.25% to 10.88%, maturing from 2014 to 2023
    1,068       809  
Other secured obligations, fixed interest rate of 8%, maturing from 2015 to 2021
    79       85  
 
           
 
    3,926       3,966  
Unsecured
               
Barclays prepaid miles, variable interest rate of 4.94%, interest only payments
    200       200  
Airbus advance, repayments through 2018
    186       222  
7.25% convertible senior notes, interest only payments until due in 2014
    172       172  
7% senior convertible notes, interest only payments until due in 2020
    5       5  
Industrial development bonds, fixed interest rate of 6.30%, interest only payments until due in 2023
    29       29  
Other unsecured obligations, maturing from 2011 to 2012
    17       23  
 
           
 
    609       651  
 
           
Total long-term debt and capital lease obligations
    4,535       4,617  
Less: Total unamortized discount on debt
    (193 )     (217 )
Current maturities
    (450 )     (397 )
 
           
Long-term debt and capital lease obligations, net of current maturities
  $ 3,892     $ 4,003  
 
           
US Airways, Inc. [Member]
 
Debt
                 
    June 30,     December 31,  
    2011     2010  
Secured
               
Equipment loans and other notes payable, fixed and variable interest rates ranging from 1.59% to 10.26%, maturing from 2011 to 2021
  $ 1,613     $ 1,890  
Aircraft enhanced equipment trust certificates (“EETCs”), fixed interest rates ranging from 6.25% to 10.88%, maturing from 2014 to 2023
    1,068       809  
Other secured obligations, fixed interest rate of 8%, maturing from 2015 to 2021
    79       85  
 
           
 
    2,760       2,784  
 
               
Unsecured
               
Airbus advance, repayments through 2018
    186       222  
Industrial development bonds, fixed interest rate of 6.30%, interest only payments until due in 2023
    29       29  
Other unsecured obligations, maturing from 2011 to 2012
    17       23  
 
           
 
    232       274  
 
           
Total long-term debt and capital lease obligations
    2,992       3,058  
Less: Total unamortized discount on debt
    (76 )     (81 )
Current maturities
    (384 )     (381 )
 
           
Long-term debt and capital lease obligations, net of current maturities
  $ 2,532     $ 2,596