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Long-Term Debt and Revolving Promissory Notes (Tables)
6 Months Ended
Jun. 30, 2013
Long-Term Debt and Revolving Promissory Notes  
Schedule of long-term debt, including unamortized discounts and premiums

 

 

 
  Interest Rates   Maturities   June 30,
2013
  December 31,
2012
 
   
   
  (Dollars in millions)

Qwest Communications International Inc.

                   

Senior notes

  7.125%   2018     $ 800       800  

Unamortized premiums

            45       49  

Qwest Capital Funding

                   

Senior notes

  6.500% - 7.750%   2018 - 2031     981       981  

Unamortized premiums, net

            26       27  

Qwest Corporation

                   

Senior notes

  6.125% - 8.375%   2014 - 2053     7,411       7,386  

Capital lease and other obligations

  Various   Various     95       113  

Unamortized premiums, net

            98       127  

Qwest Communications Company, LLC

                   

Capital lease and other obligations

  Various   Various     130       145  
                 

Total long-term debt

            9,586       9,628  

Less current maturities

            (100)       (856)  
                 

Long-term debt, excluding current maturities

            $ 9,486       8,772