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Debt (Tables)
12 Months Ended
Dec. 31, 2020
Debt Disclosure [Abstract]  
Schedule of Debt
December 31, 2020December 31, 2019
Carrying AmountFair ValueCarrying AmountFair Value
Secured debt
Revolving credit facilities$3,733 $3,735 $6,152 $6,160 
Securitization notes payable 36,249 36,645 33,807 34,000 
Total secured debt39,982 40,380 39,959 40,160 
Unsecured debt
Senior notes46,798 48,922 43,679 44,937 
Credit facilities1,535 1,531 1,936 1,936 
Other unsecured debt4,110 4,115 3,364 3,366 
Total unsecured debt52,443 54,568 48,979 50,239 
Total secured and unsecured debt$92,425 $94,948 $88,938 $90,399 
Fair value utilizing Level 2 inputs$92,922 $88,481 
Fair value utilizing Level 3 inputs$2,026 $1,918 
Schedule of Maturities of Long-term Debt The following table presents the expected scheduled principal and interest payments under our contractual debt obligations:
Years Ending December 31,
20212022202320242025ThereafterTotal
Secured debt$21,040 $10,884 $5,493 $2,375 $256 $— $40,048 
Unsecured debt14,702 8,428 9,774 5,433 6,353 7,277 51,967 
Interest payments2,072 1,359 970 605 350 443 5,799 
$37,814 $20,671 $16,237 $8,413 $6,959 $7,720 $97,814