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Arrangements With Off-Balance Sheet Risk (Tables)
6 Months Ended
Jun. 30, 2013
Guarantees [Abstract]  
Schedule Of Arrangements With Off-Balance Sheet Risk
The following table provides quantitative data regarding our third party guarantees. The maximum potential payments represent a “worst-case scenario,” and do not necessarily reflect amounts that we expect to pay. Estimated proceeds from collateral and recourse represent the anticipated values of assets we could liquidate or receive from other parties to offset our payments under guarantees. The carrying amount of liabilities represents the amount included in Accrued liabilities. 
  
Maximum
Potential Payments
 
Estimated Proceeds from
Collateral/Recourse
 
Carrying Amount of
 Liabilities
 
June 30
2013

December 31
2012

 
June 30
2013

December 31
2012

 
June 30
2013

December 31
2012

Contingent repurchase commitments

$2,170


$2,065

 

$2,165


$2,065

 

$5


$5

Indemnifications to ULA:
 
 
 
 
 
 
 
 
Contributed Delta program launch inventory
135

137

 
 
 
 
 
 
Contract pricing
261

261

 
 
 
 
7

7

Other Delta contracts
234

232

 
 
 
 
8

8

Other indemnifications
116

137

 
 
 
 
26

32