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Revenues and Contract Costs (Tables)
3 Months Ended
Mar. 31, 2020
Revenue from Contract with Customer [Abstract]  
Schedule of Receivables from Contracts with Customers
The following table presents information about receivables from contracts with customers:
 
At March 31,

 
At January 1,

 
At March 31,

 
At January 1,

(dollars in millions)
2020

 
2020

 
2019

 
2019

Receivables(1)
$
11,273

 
$
12,078

 
$
11,601

 
$
12,104

Device payment plan agreement receivables(2)
10,955

 
11,741

 
9,687

 
8,940

(1) 
Balances do not include receivables related to the following contracts: leasing arrangements (such as towers), captive reinsurance arrangements primarily related to wireless device insurance and the interest on equipment financed on a device payment plan agreement when sold to the customer by an authorized agent.
(2) 
Included in device payment plan agreement receivables presented in Note 6. Balances do not include receivables related to contracts completed prior to January 1, 2018 and receivables derived from the sale of equipment on a device payment plan through an authorized agent.
Contract with Customer, Asset and Liability
The following table presents information about contract balances:
 
At March 31,

 
At January 1,

 
At March 31,

 
At January 1,

(dollars in millions)
2020

 
2020

 
2019

 
2019

Contract asset
$
1,135

 
$
1,150

 
$
1,021

 
$
1,003

Contract liability (1)
5,347

 
5,307

 
4,973

 
4,943


(1) Revenue recognized related to contract liabilities existing at January 1, 2020 and January 1, 2019 were $3.8 billion and $3.7 billion, for the three months ended March 31, 2020 and March 31, 2019, respectively.

The balance of contract assets and contract liabilities recorded in our condensed consolidated balance sheets were as follows:


At March 31,

 
At December 31,

(dollars in millions)
2020

 
2019

Assets
 
 
 
Prepaid expenses and other
$
844

 
$
848

Other assets
291

 
302

Total
$
1,135

 
$
1,150

 
 
 
 
Liabilities
 
 
 
Other current liabilities
$
4,675

 
$
4,651

Other liabilities
672

 
656

Total
$
5,347

 
$
5,307


Capitalized Contract Cost
The balances of deferred contract costs included in our condensed consolidated balance sheets were as follows:


At March 31,

 
At December 31,

(dollars in millions)
2020

 
2019

Assets
 
 
 
Prepaid expenses and other
$
2,523

 
$
2,578

Other assets
1,835

 
1,911

Total
$
4,358

 
$
4,489