SEC Info  
    Home      Search      My Interests      Help      Sign In      Please Sign In

Realogy Holdings Corp., et al. – ‘10-Q’ for 9/30/14 – ‘R20’

On:  Wednesday, 11/5/14, at 6:51am ET   ·   For:  9/30/14   ·   Accession #:  1398987-14-188   ·   File #s:  1-35674, 333-148153

Previous ‘10-Q’:  ‘10-Q’ on 8/4/14 for 6/30/14   ·   Next:  ‘10-Q’ on 5/4/15 for 3/31/15   ·   Latest:  ‘10-Q’ on 11/2/23 for 9/30/23

Find Words in Filings emoji
 
  in    Show  and   Hints

  As Of               Filer                 Filing    For·On·As Docs:Size

11/05/14  Realogy Holdings Corp.            10-Q        9/30/14   86:9.8M
          Realogy Group LLC

Quarterly Report   —   Form 10-Q   —   Sect. 13 / 15(d) – SEA’34
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 10-Q        Quarterly Report -- form10-q                        HTML    751K 
 2: EX-4.1      Supplemental Indenture No. 3 to the the 7.875%      HTML     55K 
                Senior Secured Note Indenture                                    
11: EX-4.10     Supplemental Indenture No. 2 to the the 4.500%      HTML     52K 
                Senior Note Indenture                                            
 3: EX-4.2      Supplemental Indenture No. 4 to the the 7.875%      HTML     57K 
                Senior Secured Note Indenture                                    
 4: EX-4.3      Supplemental Indenture No. 2 to the the 7.625%      HTML     54K 
                Senior Secured Note Indenture                                    
 5: EX-4.4      Supplemental Indenture No. 3 to the the 7.625%      HTML     57K 
                Senior Secured Note Indenture                                    
 6: EX-4.5      Supplemental Indenture No. 2 to the the 9.000%      HTML     56K 
                Senior Secured Note Indenture                                    
 7: EX-4.6      Supplemental Indenture No. 3 to the the 9.000%      HTML     56K 
                Senior Secured Note Indenture                                    
 8: EX-4.7      Supplemental Indenture No. 1 to the the 3.375%      HTML     52K 
                Senior Note Indenture                                            
 9: EX-4.8      Supplemental Indenture No. 2 to the the 3.375%      HTML     52K 
                Senior Note Indenture                                            
10: EX-4.9      Supplemental Indenture No. 1 to the the 4.500%      HTML     53K 
                Senior Note Indenture                                            
12: EX-15.1     Letter Regarding Interim Financial Statements       HTML     27K 
13: EX-31.1     Certification of the Chief Executive Officer of     HTML     32K 
                Realogy Holdings Corp.                                           
14: EX-31.2     Certification of the Chief Financial Officer of     HTML     32K 
                Realogy Holdings Corp.                                           
15: EX-31.3     Certification of the Chief Executive Officer of     HTML     32K 
                Realogy Group LLC                                                
16: EX-31.4     Certification of the Chief Financial Officer of     HTML     32K 
                Realogy Group LLC                                                
17: EX-32.1     Certification for Realogy Holdings Corp.            HTML     28K 
18: EX-32.2     Certification for Realogy Group LLC                 HTML     28K 
62: R1          Document And Entity Information                     HTML     47K 
52: R2          Condensed Consolidated Statements of Operations     HTML    117K 
60: R3          Condensed Consolidated Statements of Comprehensive  HTML     56K 
                Income                                                           
64: R4          Condensed Consolidated Balance Sheets               HTML    132K 
80: R5          Condensed Consolidated Balance Sheets               HTML     45K 
                (Parenthetical)                                                  
54: R6          Condensed Consolidated Statements of Cash Flows     HTML    141K 
59: R7          Basis Of Presentation                               HTML    137K 
48: R8          Acquisitions                                        HTML     42K 
39: R9          Intangible Assets                                   HTML    128K 
81: R10         Accrued Expenses And Other Current Liabilities      HTML     41K 
66: R11         Short And Long Term-Debt                            HTML    136K 
65: R12         Stock-Based Compensation                            HTML     83K 
70: R13         Separation Adjustments, Transactions With Former    HTML     35K 
                Parent And Subsidiaries And Related Parties                      
71: R14         Earnings Per Share Earnings Per Share (Notes)       HTML     56K 
69: R15         Commitments And Contingencies                       HTML     50K 
72: R16         Segment Information                                 HTML    101K 
61: R17         Basis Of Presentation (Tables)                      HTML    102K 
63: R18         Intangible Assets (Tables)                          HTML    126K 
68: R19         Accrued Expenses And Other Current Liabilities      HTML     40K 
                (Tables)                                                         
86: R20         Short And Long-Term Debt (Tables)                   HTML    102K 
76: R21         Stock-Based Compensation (Tables)                   HTML     73K 
56: R22         Earnings Per Share Earnings Per Share (Tables)      HTML     51K 
67: R23         Segment Information (Tables)                        HTML     97K 
58: R24         Basis Of Presentation Company Description and       HTML     30K 
                Background (Details)                                             
33: R25         Basis Of Presentation Financial Instruments - Fair  HTML     40K 
                Value Measurements (Details)                                     
77: R26         Basis Of Presentation Financial Instruments - Fair  HTML     50K 
                Value Indebtedness Table (Details)                               
83: R27         Basis Of Presentation Investment in PHH Home Loans  HTML     42K 
                and Transactions with PHH Corporation (Details)                  
43: R28         Basis Of Presentation Income Taxes (Details)        HTML     29K 
42: R29         Basis Of Presentation Derivative Instruments        HTML     52K 
                (Details)                                                        
46: R30         Basis Of Presentation Restricted Cash (Details)     HTML     29K 
47: R31         Basis Of Presentation Supplemental Cash Flow Info   HTML     33K 
                (Details)                                                        
49: R32         Basis Of Presentation Defined Benefit Pension Plan  HTML     35K 
                (Details)                                                        
31: R33         Acquisitions (Details)                              HTML     74K 
74: R34         Intangible Assets - Goodwill (Details)              HTML     49K 
55: R35         Intangible Assets - Intangible Assets (Details)     HTML     62K 
57: R36         Intangible Assets - Amortization Expense (Details)  HTML     52K 
36: R37         Accrued Expenses And Other Current Liabilities      HTML     51K 
                (Details)                                                        
85: R38         Short And Long-Term Debt Schedule of Total          HTML     46K 
                Indebtedness (Details)                                           
25: R39         Short And Long-Term Debt Schedule of Debt           HTML    106K 
                (Details)                                                        
50: R40         Short And Long-Term Debt Maturities Table           HTML     37K 
                (Details)                                                        
79: R41         Short And Long-Term Debt Senior Secured Credit      HTML     74K 
                Facility (Details)                                               
35: R42         Short And Long-Term Debt First Lien Notes           HTML     31K 
                (Details)                                                        
41: R43         Short And Long-Term Debt First and a Half Lien      HTML     38K 
                Notes (Details)                                                  
45: R44         Short And Long-Term Debt Unsecured Notes (Details)  HTML     32K 
53: R45         Short And Long-Term Debt Other Bank Facilities      HTML     34K 
                (Details)                                                        
30: R46         Short And Long-Term Debt Securitization             HTML     43K 
                Obligations (Details)                                            
38: R47         Short And Long-Term Debt Loss on the Early          HTML     32K 
                Extinguishment of Debt and Write-Off of Deferred                 
                Financing Costs (Details)                                        
27: R48         Stock-Based Compensation Introduction Narrative     HTML     39K 
                (Details)                                                        
78: R49         Stock-Based Compensation Incentive Equity Awards    HTML     63K 
                Activity - Summary of Option Activity (Details)                  
34: R50         Stock-Based Compensation Incentive Equity Awards    HTML     67K 
                Activity - Summary of Restricted Stock, RSU, and                 
                Performance Unit Activity (Details)                              
75: R51         Stock-Based Compensation Incentive Equity Awards    HTML     40K 
                Activity - Summary of Stock Options Valuation                    
                Assumptions (Details)                                            
37: R52         Stock-Based Compensation Stock Based Compensation   HTML     36K 
                Expense (Details)                                                
51: R53         Stock-Based Compensation Phantom Value Plan         HTML     40K 
                (Details)                                                        
26: R54         Transactions With Former Parent Transfer of         HTML     33K 
                Cendant Corporate Liabilities and Issuance of                    
                Guarantees to Cendant and Affiliates (Details)                   
29: R55         Earnings Per Share Earnings Per Share (Details)     HTML     53K 
44: R56         Commitments And Contingencies (Details)             HTML     42K 
32: R57         Segment Information - Revenues (Details)            HTML     43K 
82: R58         Segment Information - EBITDA (Details)              HTML     81K 
84: XML         IDEA XML File -- Filing Summary                      XML    112K 
28: EXCEL       IDEA Workbook of Financial Reports                  XLSX    195K 
40: EXCEL       IDEA Workbook of Financial Reports (.xls)            XLS   1.30M 
19: EX-101.INS  XBRL Instance -- rlgy-20140930                       XML   2.18M 
21: EX-101.CAL  XBRL Calculations -- rlgy-20140930_cal               XML    202K 
22: EX-101.DEF  XBRL Definitions -- rlgy-20140930_def                XML    748K 
23: EX-101.LAB  XBRL Labels -- rlgy-20140930_lab                     XML   1.53M 
24: EX-101.PRE  XBRL Presentations -- rlgy-20140930_pre              XML   1.00M 
20: EX-101.SCH  XBRL Schema -- rlgy-20140930                         XSD    166K 
73: ZIP         XBRL Zipped Folder -- 0001398987-14-000188-xbrl      Zip    235K 


‘R20’   —   Short And Long-Term Debt (Tables)


This is an IDEA Financial Report.  [ Alternative Formats ]



 
v2.4.0.8
Short And Long-Term Debt (Tables)
9 Months Ended
Debt Disclosure [Abstract]  
Schedule of Total Indebtedness
Total indebtedness is as follows:
 
 
Senior Secured Credit Facility:
 
 
 
Revolving credit facility
$

 
$

Term loan facility
1,875

 
1,887

7.625% First Lien Notes
593

 
593

7.875% First and a Half Lien Notes
332

 
700

9.00% First and a Half Lien Notes
196

 
225

3.375% Senior Notes
500

 
500

4.50% Senior Notes
450

 

Total Short Term & Long Term Debt
$
3,946

 
$
3,905

Securitization Obligations:
 
 
 
Apple Ridge Funding LLC
$
268

 
$
229

Cartus Financing Limited
13

 
23

Total Securitization Obligations
$
281

 
$
252

Schedule of Debt
As of September 30, 2014, the total capacity, outstanding borrowings and available capacity under the Company’s borrowing arrangements were as follows:
 
Interest
Rate
 
Expiration
Date
 
Total
Capacity
 
Outstanding
Borrowings
 
Available
Capacity
Senior Secured Credit Facility:
 
 
 
 
 
 
 
 
 
Revolving credit facility (1)
(2)
 
March 2018
 
$
475

 
$

 
$
475

Term loan facility
(3)
 
March 2020
 
1,891

 
1,875

 

First Lien Notes
7.625%
 
January 2020
 
593

 
593

 

First and a Half Lien Notes
7.875%
 
February 2019
 
332

 
332

 

First and a Half Lien Notes
9.00%
 
January 2020
 
196

 
196

 

Senior Notes
3.375%
 
May 2016
 
500

 
500

 

Senior Notes
4.50%
 
April 2019
 
450

 
450

 

Securitization Obligations: (4)
 
 
 
 
 
 
 
 
 
        Apple Ridge Funding LLC
 
 
June 2015
 
325

 
268

 
57

        Cartus Financing Limited (5)
 
 
August 2015
 
41

 
13

 
28

 
 
 
 
 
$
4,803

 
$
4,227

 
$
560

_______________
 
 
(1)
On October 31, 2014, the Company had no outstanding borrowings on the revolving credit facility and no outstanding letters of credit on such facility, leaving $475 million of available capacity.
(2)
Interest rates with respect to revolving loans under the senior secured credit facility are based on, at Realogy Group’s option, (a) adjusted LIBOR plus 2.75% or (b) JPMorgan Chase Bank, N.A.'s prime rate ("ABR") plus 1.75%.
(3)
Consists of a $1,891 million term loan, less a discount of $16 million. There is 1% per annum amortization of principal. The interest rate with respect to the term loan under the senior secured credit facility is based on, at Realogy Group’s option, (a) adjusted LIBOR plus 3.00% (with a LIBOR floor of 0.75%) or (b) JPMorgan Chase Bank, N.A.’s prime rate ("ABR") plus 2.00% (with an ABR floor of 1.75%).
(4)
Available capacity is subject to maintaining sufficient relocation related assets to collateralize these securitization obligations.
(5)
Consists of a £20 million revolving loan facility and a £5 million working capital facility.
Schedule of Maturities of Long-term Debt [Table Text Block]
Year
 
Amount
Remaining 2014
 
$
5

2015
 
19

2016
 
519

2017
 
19

2018
 
19


Dates Referenced Herein   and   Documents Incorporated by Reference

This ‘10-Q’ Filing    Date    Other Filings
Filed on:11/5/148-K
10/31/14
For Period end:9/30/14
12/31/1310-K
 List all Filings 
Top
Filing Submission 0001398987-14-000188   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

Copyright © 2024 Fran Finnegan & Company LLC – All Rights Reserved.
AboutPrivacyRedactionsHelp — Mon., Apr. 29, 1:49:31.1pm ET