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Supplemental Condensed Consolidating Statements of Cash Flows (Detail) (USD $)
In Millions
12 Months Ended9 Months Ended
Dec. 31, 2010
Sep. 09, 2011
HOST HOTELS & RESORTS L.P.
Sep. 10, 2010
HOST HOTELS & RESORTS L.P.
Sep. 09, 2011
HOST HOTELS & RESORTS L.P.
Company Parent Member
Sep. 10, 2010
HOST HOTELS & RESORTS L.P.
Company Parent Member
Sep. 09, 2011
HOST HOTELS & RESORTS L.P.
Guarantor Subsidiaries
Sep. 10, 2010
HOST HOTELS & RESORTS L.P.
Guarantor Subsidiaries
Sep. 09, 2011
HOST HOTELS & RESORTS L.P.
Non-Guarantor Subsidiaries
Sep. 10, 2010
HOST HOTELS & RESORTS L.P.
Non-Guarantor Subsidiaries
OPERATING ACTIVITIES         
Cash provided by operations $ 399$ 328$ 164$ 52$ 84$ 114$ 151$ 162
INVESTING ACTIVITIES         
Proceeds from sales of assets, net1261263 9  
Proceeds from transfer of Le Méridien Piccadilly to the Euro JV Fund II 40     40 
Acquisitions (1,047)(292)(11) (283)(165)(753)(127)
Deposits for acquisitions (15) (15)     
Purchase of mortgage note on a portfolio of hotels  (53)   (53)  
Investment in affiliates (18) (18)     
Capital expenditures (335)(149)(20)(9)(163)(74)(152)(66)
Change in furniture, fixtures and equipment ("FF&E") replacement fund 5(20)242(10)(7)(9)(15)
Property insurance proceeds 7     7 
Change in FF&E replacement funds designated as restricted cash  4 21   (17)
Cash used in investing activities (1,357)(498)(34)17(456)(290)(867)(225)
FINANCING ACTIVITIES         
Financing costs (9) (9)     
Issuances of debt 576 496   80 
Draw on credit facility 153565056103   
Repayment on credit facility (90) (50)   (40) 
Repayments/redemption of senior notes, including exchangeable debentures (370)(571)(370)(571)    
Mortgage debt prepayments and scheduled maturities (132)(124)  (132)  (124)
Scheduled principal repayments (4)(8)(1)  (1)(3)(7)
Common OP unit issuance 289158289158    
Redemption of preferred OP units  (101) (101)    
Distributions on common OP units (42)(14)(42)(14)    
Distributions on preferred OP units  (6) (6)    
Contributions from non-controlling interests  7     7
Distributions to non-controlling interests (4)(3)    (4)(3)
Change in restricted cash for financing activities 2(28)(1)3 (1)3(30)
Transfers to/from Parent   (853)(345)384171469174
Cash provided by (used in) financing activities 369(634)(491)(820)35516950517
DECREASE IN CASH AND CASH EQUIVALENTS $ (589)$ (804)$ (361)$ (751)$ (17)$ (7)$ (211)$ (46)