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Debt (Tables)
12 Months Ended
Dec. 31, 2012
Debt Disclosure [Abstract]  
Schedule Of Short-Term Debt And Current Portion Of Long-Term Debt
Short-term debt and current portion of long-term debt at December 31 consisted of the following:
 
2012
 
2011

Consolidated Total

 
BCC
Only

 
Consolidated Total

 
BCC
Only

Unsecured debt securities

$1,224

 

$624

 

$2,186

 

$837

Non-recourse debt and notes
51

 
13

 
45

 
32

Capital lease obligations
96

 
11

 
97

 
10

Other notes
65

 

 
25

 
 
Total

$1,436

 

$648

 

$2,353

 

$879

Schedule Of Debt
Debt at December 31 consisted of the following:
 
2012

 
2011

Boeing Capital debt:
 
 
 
Unsecured debt securities
 
 
 
        1.54% – 7.58% due through 2023

$2,465

 

$3,308

Non-recourse debt and notes
 
 
 
        4.12% – 4.84% notes due through 2013
13

 
49

Capital lease obligations
 
 
 
        0.91% due through 2015
33

 
43

Boeing Capital debt subtotal

$2,511

 

$3,400

Other Boeing debt:
 
 
 
Unsecured debt securities
 
 
 
        3.50% – 5.00% due through 2020

$2,686

 

$3,381

        5.13% – 6.88% due through 2043
2,991

 
2,990

        7.25% – 8.75% due through 2043
1,642

 
1,991

Non-recourse debt and notes
 
 
 
        Enhanced equipment trust
231

 
269

Capital lease obligations due through 2017
146

 
192

Other notes
202

 
148

Other Boeing debt subtotal

$7,898

 

$8,971

Total debt

$10,409

 

$12,371

Scheduled Principal Payments For Debt And Capital Lease Obligations
Scheduled principal payments for debt and minimum capital lease obligations for the next five years are as follows:
 
2013

 
2014

 
2015

 
2016

 
2017

Boeing Capital

$648

 

$526

 

$16

 

$505

 

$5

Other Boeing
794

 
838

 
844

 
547

 
42

Total

$1,442

 

$1,364

 

$860

 

$1,052

 

$47