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Quarterly report pursuant to Section 13 or 15(d)

Long-Term Debt - Narrative (Details)

v3.24.3
Long-Term Debt - Narrative (Details)
$ / shares in Units, shares in Millions
1 Months Ended 9 Months Ended
Sep. 05, 2023
May 09, 2022
USD ($)
Sep. 30, 2023
USD ($)
$ / shares
shares
Nov. 30, 2020
USD ($)
$ / shares
shares
Sep. 30, 2024
USD ($)
$ / shares
shares
Aug. 12, 2022
USD ($)
Â鶹×îгöÆ· Live Group | 2.375% Exchangeable Senior Debentures due 2053 Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument Ìý Ìý Ìý Ìý Ìý Ìý
Debt instrument interest rate (as a percent) Ìý Ìý Ìý Ìý 2.375% Ìý
Principal amount Ìý Ìý $ 1,150,000,000 Ìý Ìý Ìý
Â鶹×îгöÆ· Live Group | 0.5% Exchangeable Senior Debentures due 2050 Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument Ìý Ìý Ìý Ìý Ìý Ìý
Debt instrument interest rate (as a percent) Ìý Ìý Ìý Ìý 0.50% Ìý
Principal amount Ìý Ìý Ìý $ 920,000,000 Ìý Ìý
Â鶹×îгöÆ· Live Group | Live Nation Margin Loan Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument, Basis Spread on Variable Rate 2.00% 2.00% Ìý Ìý Ìý Ìý
Debt Instrument, Variable Interest Rate, Type [Extensible Enumeration] us-gaap:SecuredOvernightFinancingRateSofrMember us-gaap:SecuredOvernightFinancingRateSofrMember Ìý Ìý Ìý Ìý
Debt instrument, basis spread adjustment Ìý 0.10% Ìý Ìý Ìý Ìý
Line of Credit Facility, Remaining Borrowing Capacity Ìý Ìý Ìý Ìý $ 400,000,000 Ìý
Maximum borrowing capacity Ìý $ 400,000,000 Ìý Ìý Ìý Ìý
Undrawn commitment fee Ìý Ìý Ìý Ìý 0.50% Ìý
Â鶹×îгöÆ· Live Group | Live Nation | 2.375% Exchangeable Senior Debentures due 2053 Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument Ìý Ìý Ìý Ìý Ìý Ìý
Shares underlying the debentures | shares Ìý Ìý 11.0 Ìý Ìý Ìý
Conversion price for exchangeable debt | $ / shares Ìý Ìý $ 104.91 Ìý Ìý Ìý
Debt Instrument, Redemption Price, Percentage Ìý Ìý 100.00% Ìý Ìý Ìý
Â鶹×îгöÆ· Live Group | Live Nation | 0.5% Exchangeable Senior Debentures due 2050 Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument Ìý Ìý Ìý Ìý Ìý Ìý
Shares underlying the debentures | shares Ìý Ìý Ìý 10.0 0.6 Ìý
Conversion price for exchangeable debt | $ / shares Ìý Ìý Ìý $ 90.10 Ìý Ìý
Debt Instrument, Redemption Price, Percentage Ìý Ìý Ìý 100.00% Ìý Ìý
Â鶹×îгöÆ· Live Group | Live Nation | Live Nation Margin Loan Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument Ìý Ìý Ìý Ìý Ìý Ìý
Share value Ìý Ìý Ìý Ìý $ 982,000,000 Ìý
Financial Instrument, Owned, Pledged Status [Extensible Enumeration] Ìý Ìý Ìý Ìý us-gaap:AssetPledgedAsCollateralMember Ìý
Financial Instruments, Owned and Pledged as Collateral , Number | shares Ìý Ìý Ìý Ìý 9.0 Ìý
Formula One Group | 2.25% Convertible Senior Notes due 2027 Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument Ìý Ìý Ìý Ìý Ìý Ìý
Debt instrument interest rate (as a percent) Ìý Ìý Ìý Ìý 2.25% Ìý
Principal amount Ìý Ìý Ìý Ìý Ìý $ 475,000,000
Formula One Group | 2.25% Convertible Senior Notes due 2027 | Common Class C Ìý Ìý Ìý Ìý Ìý Ìý
Debt Instrument Ìý Ìý Ìý Ìý Ìý Ìý
Debt instrument, face amount per debenture Ìý Ìý Ìý Ìý $ 1,000 Ìý
Debt Instrument, Convertible, Conversion Ratio Ìý Ìý Ìý Ìý 12.0505 Ìý
Conversion price for exchangeable debt | $ / shares Ìý Ìý Ìý Ìý $ 82.98 Ìý