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FAIR VALUE MEASUREMENTS - Financial Assets and Liabilities Carried at Fair Value (Details) - USD ($)
$ in Millions
3 Months Ended 9 Months Ended
Sep. 30, 2021
Sep. 30, 2020
Mar. 31, 2020
Sep. 30, 2021
Sep. 30, 2020
Dec. 31, 2020
LIABILITIES:            
Impairment of investment [1] $ 0 $ 0   $ 0 $ 100  
Goodwill 1,872     1,872   $ 1,895
Impairment of goodwill 0 573   0 1,062  
OpenTable And KAYAK            
LIABILITIES:            
Goodwill   1,000 $ 1,500   $ 1,000  
Impairment of goodwill   $ 573 489      
DiDi Global Inc. | Investment in private company equity securities | Long-term Investments            
LIABILITIES:            
Impairment of investment     100      
Recurring Basis            
ASSETS:            
Assets at fair value 14,859     14,859   14,054
Recurring Basis | Money market fund investments | Cash Equivalents and Restricted Cash Equivalents            
ASSETS:            
Assets at fair value 11,074     11,074   10,208
Recurring Basis | Time deposits and certificates of deposit | Cash Equivalents and Restricted Cash Equivalents            
ASSETS:            
Assets at fair value 41     41   32
Recurring Basis | Investments in private company debt securities | Long-term Investments            
ASSETS:            
Assets at fair value 330     330   200
Recurring Basis | Equity securities | Long-term Investments            
ASSETS:            
Assets at fair value 2,884     2,884   3,080
Recurring Basis | Trip.com Group | Convertible Debt Securities | Short-term Investments            
ASSETS:            
Assets at fair value 522     522   501
Recurring Basis | Trip.com Group | Convertible Debt Securities | Long-term Investments            
ASSETS:            
Assets at fair value           24
Recurring Basis | Not Designated as Hedging Instrument | Foreign currency exchange derivatives            
ASSETS:            
Assets at fair value 8     8   9
LIABILITIES:            
Liabilities at fair value 11     11   7
Nonrecurring Basis            
ASSETS:            
Assets at fair value           1,404
Nonrecurring Basis | Investment in private company equity securities | Long-term Investments            
ASSETS:            
Assets at fair value 18     18   404 [2]
Nonrecurring Basis | Goodwill | OpenTable And KAYAK            
ASSETS:            
Assets at fair value [3]           1,000
Nonrecurring Basis | DiDi Global Inc. | Investment in private company equity securities | Long-term Investments            
ASSETS:            
Assets at fair value     $ 400      
Level 1 | Recurring Basis            
ASSETS:            
Assets at fair value 13,999     13,999   13,320
Level 1 | Recurring Basis | Money market fund investments | Cash Equivalents and Restricted Cash Equivalents            
ASSETS:            
Assets at fair value 11,074     11,074   10,208
Level 1 | Recurring Basis | Time deposits and certificates of deposit | Cash Equivalents and Restricted Cash Equivalents            
ASSETS:            
Assets at fair value 41     41   32
Level 1 | Recurring Basis | Investments in private company debt securities | Long-term Investments            
ASSETS:            
Assets at fair value 0     0   0
Level 1 | Recurring Basis | Equity securities | Long-term Investments            
ASSETS:            
Assets at fair value 2,884     2,884   3,080
Level 1 | Recurring Basis | Trip.com Group | Convertible Debt Securities | Short-term Investments            
ASSETS:            
Assets at fair value 0     0   0
Level 1 | Recurring Basis | Trip.com Group | Convertible Debt Securities | Long-term Investments            
ASSETS:            
Assets at fair value           0
Level 1 | Recurring Basis | Not Designated as Hedging Instrument | Foreign currency exchange derivatives            
ASSETS:            
Assets at fair value 0     0   0
LIABILITIES:            
Liabilities at fair value 0     0   0
Level 1 | Nonrecurring Basis            
ASSETS:            
Assets at fair value           0
Level 1 | Nonrecurring Basis | Investment in private company equity securities | Long-term Investments            
ASSETS:            
Assets at fair value 0     0   0 [2]
Level 1 | Nonrecurring Basis | Goodwill | OpenTable And KAYAK            
ASSETS:            
Assets at fair value [3]           0
Level 2 | Recurring Basis            
ASSETS:            
Assets at fair value 530     530   534
Level 2 | Recurring Basis | Money market fund investments | Cash Equivalents and Restricted Cash Equivalents            
ASSETS:            
Assets at fair value 0     0   0
Level 2 | Recurring Basis | Time deposits and certificates of deposit | Cash Equivalents and Restricted Cash Equivalents            
ASSETS:            
Assets at fair value 0     0   0
Level 2 | Recurring Basis | Investments in private company debt securities | Long-term Investments            
ASSETS:            
Assets at fair value 0     0   0
Level 2 | Recurring Basis | Equity securities | Long-term Investments            
ASSETS:            
Assets at fair value 0     0   0
Level 2 | Recurring Basis | Trip.com Group | Convertible Debt Securities | Short-term Investments            
ASSETS:            
Assets at fair value 522     522   501
Level 2 | Recurring Basis | Trip.com Group | Convertible Debt Securities | Long-term Investments            
ASSETS:            
Assets at fair value           24
Level 2 | Recurring Basis | Not Designated as Hedging Instrument | Foreign currency exchange derivatives            
ASSETS:            
Assets at fair value 8     8   9
LIABILITIES:            
Liabilities at fair value 11     11   7
Level 2 | Nonrecurring Basis            
ASSETS:            
Assets at fair value           0
Level 2 | Nonrecurring Basis | Investment in private company equity securities | Long-term Investments            
ASSETS:            
Assets at fair value 18     18   0 [2]
Level 2 | Nonrecurring Basis | Goodwill | OpenTable And KAYAK            
ASSETS:            
Assets at fair value [3]           0
Level 3 | Recurring Basis            
ASSETS:            
Assets at fair value 330     330   200
Level 3 | Recurring Basis | Money market fund investments | Cash Equivalents and Restricted Cash Equivalents            
ASSETS:            
Assets at fair value 0     0   0
Level 3 | Recurring Basis | Time deposits and certificates of deposit | Cash Equivalents and Restricted Cash Equivalents            
ASSETS:            
Assets at fair value 0     0   0
Level 3 | Recurring Basis | Investments in private company debt securities | Long-term Investments            
ASSETS:            
Assets at fair value 330     330   200
Level 3 | Recurring Basis | Equity securities | Long-term Investments            
ASSETS:            
Assets at fair value 0     0   0
Level 3 | Recurring Basis | Trip.com Group | Convertible Debt Securities | Short-term Investments            
ASSETS:            
Assets at fair value 0     0   0
Level 3 | Recurring Basis | Trip.com Group | Convertible Debt Securities | Long-term Investments            
ASSETS:            
Assets at fair value           0
Level 3 | Recurring Basis | Not Designated as Hedging Instrument | Foreign currency exchange derivatives            
ASSETS:            
Assets at fair value 0     0   0
LIABILITIES:            
Liabilities at fair value 0     0   0
Level 3 | Nonrecurring Basis            
ASSETS:            
Assets at fair value           1,404
Level 3 | Nonrecurring Basis | Investment in private company equity securities | Long-term Investments            
ASSETS:            
Assets at fair value $ 0     $ 0   404 [2]
Level 3 | Nonrecurring Basis | Goodwill | OpenTable And KAYAK            
ASSETS:            
Assets at fair value [3]           $ 1,000
[1] See Note 5 for additional information related to the net (losses) gains on equity securities and impairment of investment.
[2] At March 31, 2020, the investment in DiDi was written down to its estimated fair value of $400 million, resulting in an impairment charge of $100 million (see Note 5).
[3] At March 31, 2020, the goodwill of the OpenTable and KAYAK reporting unit was written down to its estimated fair value of $1.5 billion, resulting in an impairment charge of $489 million. At September 30, 2020, the goodwill was further written down to its estimated fair value of $1.0 billion, resulting in an additional impairment charge of $573 million (see Note 8).