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Quarterly report pursuant to Section 13 or 15(d)

Long-Term Debt (Narrative) (Details)

v3.7.0.1
Long-Term Debt (Narrative) (Details)
1 Months Ended 3 Months Ended 12 Months Ended
Oct. 05, 2016
USD ($)
Jun. 23, 2016
USD ($)
Aug. 31, 2016
USD ($)
$ / shares
Mar. 31, 2017
USD ($)
Mar. 31, 2016
USD ($)
Dec. 31, 2016
USD ($)
Proceeds from Issuance of Long-term Debt Ìý Ìý Ìý $ 499,000,000 $ 623,000,000 Ìý
1% Exchangeable Senior Debentures due 2043 Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument, Face Amount Ìý Ìý Ìý 1,000 Ìý Ìý
Repayments of Debt $ 345,000,000 Ìý Ìý Ìý Ìý Ìý
0.75% Exchangeable Senior Debentures due 2043 Ìý Ìý Ìý Ìý Ìý Ìý
Debt exchanged Ìý Ìý Ìý Ìý Ìý $ 523,000,000
Repayments of Debt Ìý Ìý Ìý Ìý Ìý 1,181,000,000
Extraordinary Distribution to Bondholder Ìý Ìý Ìý Ìý Ìý $ 325,000,000
1.75% Exchangeable Senior Debentures due 2046 [Member] Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý 1.75% Ìý Ìý Ìý
1.75% Exchangeable Senior Debentures due 2046 [Member] | Charter Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument, Convertible, Conversion Ratio Ìý Ìý 2.9317 Ìý Ìý Ìý
Exchange Price of Shares Attributable to Debentures | $ / shares Ìý Ìý $ 341.10 Ìý Ìý Ìý
1.75% Exchangeable Senior Debentures due 2046 [Member] | Charter Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument, Face Amount Ìý Ìý $ 1,000 Ìý Ìý Ìý
QVC Group Common Stock Ìý Ìý Ìý Ìý Ìý Ìý
Proceeds from Issuance of Long-term Debt Ìý Ìý Ìý $ 499,000,000 515,000,000 Ìý
QVC Group Common Stock | 8.5% Senior Debentures Due 2029 Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 8.50% Ìý Ìý
QVC Group Common Stock | 8.25% Senior Debentures Due 2030 Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 8.25% Ìý Ìý
QVC Group Common Stock | 1% Exchangeable Senior Debentures due 2043 Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 1.00% Ìý Ìý
QVC Group Common Stock | QVC 3.125% Senior Secured Notes Due 2019 [Member] Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 3.125% Ìý Ìý
QVC Group Common Stock | QVC 5.125% Senior Secured Notes Due 2022 [Member] Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 5.125% Ìý Ìý
QVC Group Common Stock | QVC 4.375% Senior Secured Notes due 2023 Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 4.375% Ìý Ìý
QVC Group Common Stock | QVC 4.85% Senior Secured Notes Due 2024 [Member] Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 4.85% Ìý Ìý
QVC Group Common Stock | QVC 4.45% Senior Secured Notes Due 2025 [Member] Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 4.45% Ìý Ìý
QVC Group Common Stock | QVC 5.45% Senior Secured Notes Due 2034 [Member] Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 5.45% Ìý Ìý
QVC Group Common Stock | QVC 5.95% Senior Secured Notes due 2043 Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 5.95% Ìý Ìý
QVC Group Common Stock | Amendment No. 3 QVC Bank Credit Facility Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 2.50% Ìý Ìý
Maximum Borrowing Capacity Ìý $ 2,650,000,000 Ìý Ìý Ìý Ìý
Remaining borrowing capacity Ìý Ìý Ìý $ 941,000,000 Ìý Ìý
QVC Group Common Stock | Standby Letters of Credit Ìý Ìý Ìý Ìý Ìý Ìý
Maximum Borrowing Capacity Ìý 300,000,000 Ìý Ìý Ìý Ìý
QVC Group Common Stock | Uncommitted Incremental Revolving Loan Commitments or Incremental Term Loans Ìý Ìý Ìý Ìý Ìý Ìý
Maximum Borrowing Capacity Ìý 1,500,000,000 Ìý Ìý Ìý Ìý
QVC Group Common Stock | Portion of Credit Facility Available Only to QVC Ìý Ìý Ìý Ìý Ìý Ìý
Maximum Borrowing Capacity Ìý 2,250,000,000 Ìý Ìý Ìý Ìý
QVC Group Common Stock | Portion of Credit Facility Available to QVC and zulily Ìý Ìý Ìý Ìý Ìý Ìý
Maximum Borrowing Capacity Ìý 400,000,000 Ìý Ìý Ìý Ìý
QVC Group Common Stock | Portion of Credit Facility that matures on March 9, 2020 [Member] Ìý Ìý Ìý Ìý Ìý Ìý
Maximum Borrowing Capacity Ìý $ 140,000,000 Ìý Ìý Ìý Ìý
QVC Group Common Stock | Minimum | LIBOR | Amendment No. 3 QVC Bank Credit Facility Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument, Basis Spread on Variable Rate Ìý 1.25% Ìý Ìý Ìý Ìý
QVC Group Common Stock | Minimum | ABR | Amendment No. 3 QVC Bank Credit Facility Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument, Basis Spread on Variable Rate Ìý 0.25% Ìý Ìý Ìý Ìý
QVC Group Common Stock | Maximum | LIBOR | Amendment No. 3 QVC Bank Credit Facility Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument, Basis Spread on Variable Rate Ìý 1.75% Ìý Ìý Ìý Ìý
QVC Group Common Stock | Maximum | ABR | Amendment No. 3 QVC Bank Credit Facility Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument, Basis Spread on Variable Rate Ìý 0.75% Ìý Ìý Ìý Ìý
Liberty Ventures common stock Ìý Ìý Ìý Ìý Ìý Ìý
Proceeds from Issuance of Long-term Debt Ìý Ìý Ìý Ìý $ 108,000,000 Ìý
Liberty Ventures common stock | 4% Exchangeable Senior Debentures Due 2029 Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 4.00% Ìý Ìý
Liberty Ventures common stock | 3.75% Exchangeable Senior Debentures Due 2030 Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 3.75% Ìý Ìý
Liberty Ventures common stock | 3.5% Exchangeable Senior Debentures Due 2031 Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 3.50% Ìý Ìý
Liberty Ventures common stock | 0.75% Exchangeable Senior Debentures due 2043 Ìý Ìý Ìý Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 0.75% Ìý Ìý
Liberty Ventures common stock | 1.75% Exchangeable Senior Debentures due 2046 [Member] Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument, Face Amount Ìý Ìý $ 750,000,000 Ìý Ìý Ìý
Interest rate (as a percent) Ìý Ìý Ìý 1.75% Ìý Ìý