v3.26.1
Debt and Finance Lease Obligations - Schedule of Maturities of Debt (Details) - USD ($)
$ in Millions
Jun. 30, 2026
Dec. 31, 2025
Years ending December 31:    
Total debt maturities $ 8,527.5 $ 8,349.8
Premiums, discounts and deferred financing costs, net (85.9) (79.3)
Total carrying amount of debt 8,441.6 $ 8,270.5
C&W    
Years ending December 31:    
2026 (remainder of year) 195.9  
2027 180.4  
2028 492.6  
2029 595.0  
2030 5.7  
Thereafter 3,485.7  
Total debt maturities 4,955.3  
Premiums, discounts and deferred financing costs, net (39.4)  
Total carrying amount of debt 4,915.9  
Current portion 370.5  
Long-term portion 4,545.4  
Liberty Puerto Rico    
Years ending December 31:    
2026 (remainder of year) 6.0  
2027 1,163.8  
2028 621.6  
2029 820.7  
2030 410.8  
Thereafter 38.0  
Total debt maturities 3,060.9  
Premiums, discounts and deferred financing costs, net (36.3)  
Total carrying amount of debt 3,024.6  
Current portion 7.8  
Long-term portion 3,016.8  
Liberty Costa Rica    
Years ending December 31:    
2026 (remainder of year) 40.0  
2027 0.0  
2028 0.0  
2029 0.0  
2030 0.0  
Thereafter 470.0  
Total debt maturities 510.0  
Premiums, discounts and deferred financing costs, net (10.2)  
Total carrying amount of debt 499.8  
Current portion 40.0  
Long-term portion 459.8  
Liberty Latin America    
Years ending December 31:    
2026 (remainder of year) 0.6  
2027 0.7  
2028 0.0  
2029 0.0  
2030 0.0  
Thereafter 0.0  
Total debt maturities 1.3  
Premiums, discounts and deferred financing costs, net 0.0  
Total carrying amount of debt 1.3  
Current portion 1.3  
Long-term portion 0.0  
Consolidated    
Years ending December 31:    
2026 (remainder of year) 242.5  
2027 1,344.9  
2028 1,114.2  
2029 1,415.7  
2030 416.5  
Thereafter 3,993.7  
Total debt maturities 8,527.5  
Premiums, discounts and deferred financing costs, net (85.9)  
Total carrying amount of debt 8,441.6  
Current portion 419.6  
Long-term portion $ 8,022.0