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Debt (Tables)
12 Months Ended
Dec. 31, 2022
Debt Disclosure [Abstract]  
Schedule of Debt
December 31, 2022December 31, 2021
Carrying AmountFair ValueCarrying AmountFair Value
Secured debt
Revolving credit facilities$3,931 $3,931 $3,497 $3,495 
Securitization notes payable 38,200 37,537 35,841 35,906 
Total secured debt42,131 41,467 39,338 39,401 
Unsecured debt
Senior notes46,111 43,676 45,386 46,539 
Credit facilities1,473 1,448 1,229 1,211 
Other unsecured debt7,139 7,146 6,608 6,607 
Total unsecured debt54,723 52,270 53,223 54,357 
Total secured and unsecured debt$96,854 $93,738 $92,561 $93,758 
Fair value utilizing Level 2 inputs$91,545 $92,250 
Fair value utilizing Level 3 inputs$2,192 $1,508 
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,
20232024202520262027ThereafterTotal
Secured debt$21,650 $12,565 $4,999 $1,785 $232 $965 $42,196 
Unsecured debt15,261 8,578 10,341 6,032 6,273 9,165 55,651 
Interest payments3,083 1,848 1,097 651 392 618 7,688 
$39,995 $22,992 $16,437 $8,468 $6,897 $10,748 $105,535